PHYSICIANS FINANCIAL SERVICES, INC. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 21, 2026, for the 2025 Q4 period, PHYSICIANS FINANCIAL SERVICES, INC. held in its portfolio 107 assets valued at $372,737 (i.e. $372.74K).

The most valuable assets in the portfolio included: Apple Computer ($57.32K), Nvidia Corp. ($25.12K), and Alphabet Cl A ($24.05K).

The chart below shows the top 10 valuable assets, and the table below shows the top 107 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in PHYSICIANS FINANCIAL SERVICES, INC. Portfolio
Apple Computer
Nvidia Corp.
Alphabet Cl A
Amazon.com
Microsoft
Wal-Mart Stores Inc.
Caterpillar
Mastercard Inc Cl A
Meta Platforms A
Cummins Inc.
PHYSICIANS FINANCIAL SERVICES, INC. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Apple Computer 210839 57319 COM
Nvidia Corp. 134672 25116 COM
Alphabet Cl A 76846 24053 CAP STK CL A
Amazon.com 98963 22843 COM
Microsoft 41285 19966 COM
Wal-Mart Stores Inc. 157303 17525 COM
Caterpillar 18949 10855 COM
Mastercard Inc Cl A 18008 10281 CL A
Meta Platforms A 13051 8615 CL A
Cummins Inc. 12217 6236 COM
McDonalds 20088 6140 COM
Visa Inc 16918 5933 COM CL A
Auto Data Processing 22508 5790 COM
Chevron Corp. 37783 5758 COM
Costco Wholesale 6572 5668 COM
Amgen 17092 5594 COM
Lowes 22599 5450 COM
Broadcom, Inc. 15615 5404 COM
Parker Hannifin 5835 5129 COM
Johnson & Johnson 23479 4859 COM
Oracle Systems 23893 4657 COM
Berkshire Hathaway Inc-B 9040 4544 CL B NEW
Eli Lilly 4098 4404 COM
Coca-Cola 60586 4236 COM
Duke Energy Corp New 35047 4108 COM NEW
Home Depot Inc. 11773 4051 COM
Lockheed Martin Corp. 7415 3586 COM
Procter & Gamble 24355 3490 COM
International Business Machines 10087 2988 COM
Pepsi Co 20407 2929 COM
Qualcomm, Inc. 16465 2816 COM
AbbVie 11850 2708 COM
RTX Corporation 14024 2572 COM
Adobe Systems Inc. 7236 2533 COM
JP Morgan Chase & Co 7777 2506 COM
Cisco Systems 32101 2473 COM
Alphabet Cl C 7760 2435 CAP STK CL C
Deere & Co. 4964 2311 COM
3M Co 14297 2289 COM
Eaton Corp PLC 6363 2027 SHS
Hershey 9908 1803 COM
FedEx Corp 6034 1743 COM
Novartis AG 12284 1694 SPONSORED ADR
Truist Financial Corp 34315 1689 COM
Advanced Micro Devices 7883 1688 COM
Illinois Tool Works 6352 1564 COM
Equinix Inc 1971 1510 COM
GE VERNOVA INC 2166 1416 COM
American Express 3815 1411 COM
Union Pacific Corp. 5694 1317 COM
Philip Morris Intl Inc 7991 1282 COM
BankAmerica Corp 22994 1265 COM
LAM Research 6730 1152 COM NEW
Texas Instruments Inc 6599 1145 COM
Merck 10860 1143 COM
Marriott Intl 3575 1109 CL A
First Citizens Bank 510 1095 CL A
Nucor Corp 6575 1072 COM
Palantir Technologies 5782 1028 CL A
Toyota 4697 1005 SP ADR REP2COM
Tesla Inc. 2221 999 COM
Target Corp. 9978 975 COM
NETFLIX INC 9670 907 COM
Nike Inc. 13953 889 CL B
UBER TECHNOLOGIES INC 10661 871 COM
Vanguard Information Tech ETF 1135 855 INF TECH ETF
Stryker Corp 2371 833 COM
T. Rowe Price Group 7821 801 COM
BERKSHIRE HATHAWAY INC DEL 1 755 CL A
Boeing 3375 733 COM
AFLAC, Inc. 6586 726 COM
Applied Matls Inc 2758 709 COM
Bristol-Meyers Squibb 12567 678 COM
Sherwin Williams 2090 677 COM
Abbott Labs 5240 657 COM
Starbucks Corp. 7619 642 COM
Verizon Communications Inc. 15255 621 COM
Emerson Electric Company 4609 612 COM
Unilever PLC 8828 577 SPON ADR NEW
APA Corporation 20000 489 COM
Northrop Grumman 840 479 COM
Chipotle Mexican Grill Inc 12445 460 COM
GE Aerospace 1420 437 COM NEW
Veeva SyS Inc 1890 422 CL A COM
Paychex, Inc. 3702 415 COM
Palto Alto Networks Inc 2171 400 COM
Clorox 3634 366 COM
McCormick & Co. 5299 361 COM NON VTG
Delta Air Lines Inc DEL 5100 354 COM NEW
Pfizer Incorporated 13575 338 COM
Regeneron Pharms Inc 400 309 COM
SCHWAB CHARLES CORP 3050 305 COM
Labcorp Holdings 1202 302 COM SHS
Church & Dwight 3553 298 COM
ConocoPhillips 2982 279 COM
Select Sector SPDR TR 6178 276 State Street ENE
Exxon Mobil Corp 2097 252 COM
INTUIT 381 252 COM
TE Connectivity PLC 1102 251 ORD SHS
Becton Dickinson 1250 243 COM
CHECK POINT SOFTWARE TECH LT 1290 239 ORD
Packaging Corp Amer 1150 237 COM
Genuine Parts 1920 236 COM
Royal Bank of Canada 1379 235 COM
General Mills Inc. 4897 228 COM
Norfolk Southern 775 224 COM
Generac 1500 205 COM