Fund HoldingsADELL HARRIMAN & CARPENTER INC

Total Portfolio Value
$1.64B
Total Bought
$116.29M
Total Sold
$143.80M
Net Transaction
-$27.51M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Quanta Services Inc122,103118,866-3,23751,53565,2603.98%+13,725
Valero Energy Corp(VLO)086,822+86,822021,4521.31%+21,452
Iron Mountain Inc(IRM)0315,817+315,817032,2581.97%+32,258
Exxon Mobil Corporation0129,903+129,903022,0401.34%+22,040
Costco Wholesale Corp(COST)040,296+40,296040,1532.45%+40,153
Williams Companies(WMB)0454,116+454,116033,0512.02%+33,051
Taiwan Semiconductor Manufacturing Co Ltd ADR(TSM)62,84472,638+9,79419,09824,5481.50%+5,450
Micron Technology Inc(MU)77,67381,475+3,80222,16927,5261.68%+5,357
Phillips 66(PSX)075,320+75,320013,7220.84%+13,722
Equinix Inc(EQIX)020,344+20,344019,9431.22%+19,943
Chevron Corp(CVX)70,26870,971+70310,71014,6840.90%+3,974
Ge Vernova Inc(GEV)6,8179,485+2,6684,4558,2800.51%+3,825
Eaton Corp PLC(ETN)062,138+62,138022,2251.36%+22,225
Shell PLC A Spons ADR(SHEL)156,733155,348-1,38511,51714,4470.88%+2,931
Walmart Inc(WMT)188,642189,964+1,32221,01723,6091.44%+2,592
AT&T Inc(T)272,066316,461+44,3956,7589,1740.56%+2,416
Marathon Petroleum Corp(MPC)031,378+31,37807,6620.47%+7,662
Dell Technologies -C(DELL)37,77940,455+2,6764,7566,6400.41%+1,884
Digital Realty Trust Inc(DLR)042,505+42,50507,6600.47%+7,660
Enterprise Products Partners LP(EPD)195,725208,096+12,3716,2757,8740.48%+1,599
RTX Corporation(RTX)107,546110,172+2,62619,72421,2521.30%+1,528
Marvell Technology Inc(MRVL)69,43874,160+4,7225,9017,3460.45%+1,445
Kinder Morgan Inc(KMI)109,477131,471+21,9943,0104,4080.27%+1,399
Pfizer Inc(PFE)272,898291,128+18,2306,7958,1750.50%+1,380
Verizon Communications(VZ)0117,696+117,69605,9080.36%+5,908
Johnson & Johnson(JNJ)32,55232,406-1466,7377,9220.48%+1,185
L3 Harris Technologies Inc(LHX)9,06910,338+1,2692,6633,5680.22%+906
Advanced Micro Devices(AMD)5,2739,737+4,4641,1291,9810.12%+852
Coca Cola Company(KO)146,647145,502-1,14510,25211,0650.68%+813
Energy Transfer LP(ET)0281,696+281,69605,4370.33%+5,437
Enbridge Inc(ENB)0114,691+114,69106,2090.38%+6,209
Amgen Inc(AMGN)22,00822,575+5677,2047,9430.48%+740
Honeywell International(HON)030,585+30,58506,9130.42%+6,913
Cummins Inc(CMI)17,07017,347+2778,7139,3330.57%+620
ProLogis Inc(PLD)36,38139,733+3,3524,6445,2520.32%+608
NextEra Energy Inc(NEE)44,99244,758-2343,6124,1570.25%+545
Palantir Tech Inc Com CL A(PLTR)1,7125,661+3,9493048280.05%+524
ASML Holding NV
N Y REGISTRY SHS
1,6301,707+771,7442,2550.14%+511
Citigroup Inc(C)114,925122,460+7,53513,41113,8880.85%+478
McDonald's Corporation(MCD)20,60321,759+1,1566,2976,7630.41%+466
MPLX LP(MPLX)87,67088,395+7254,6795,0450.31%+366
Caterpillar Inc(CAT)3,0312,957-741,7362,0950.13%+359
Constellation Energy(CEG)14,25819,309+5,0515,0375,3920.33%+355
Vanguard FTSE All-World ex-US Index ETF04,029+4,02903030.02%+303
Pepsico Incorporated(PEP)32,66832,125-5434,6894,9890.30%+300
Albemarle Corp(ALB)01,400+1,40002510.02%+251
ConocoPhillips(COP)6,0436,099+565668050.05%+239
iShares 0-5 Year High Yield Corporate Bond
0-5YR HI YL CP
112,204119,304+7,1004,8105,0480.31%+238
TC Energy Corp(TRP)03,431+3,43102150.01%+215
Seagate Technology
ORD SHS
1,6241,687+634476610.04%+214
Darden Restaurants Inc.(DRI)014,395+14,39502,8220.17%+2,822
SPDR S&P Biotech
ST STR SP BIOT
01,572+1,57202010.01%+201
TJX Companies Inc(TJX)21,61421,975+3613,3203,5100.21%+189
Cisco Systems Inc(CSCO)303,477303,423-5423,37723,5431.44%+166
Merck & Co Inc(MRK)12,61212,302-3101,3281,4800.09%+152
Waste Management Inc(WM)2,3142,836+5225086520.04%+143
Intuitive Surgical Inc173,306192,032+18,7263,8053,9050.24%+100
SPDR S&P 500 Trust(SPY)784953+1695356200.04%+85
Lam Research Corp(LRCX)1,2251,375+1502102940.02%+84
Intel Corp(INTC)9,9629,96203684400.03%+72
Emerson Electric Co(EMR)117,520119,568+2,04815,59715,6660.96%+69
American Tower Corp(AMT)029,930+29,93005,1650.32%+5,165
Oneok Inc(OKE)3,9713,97102923590.02%+67
Applied Materials Inc914875-392352990.02%+64
Lockheed Martin Corp(LMT)52352302533160.02%+63
Lyondellbasell Industries N V
SHS - A -
04,166+4,16603360.02%+336
Altria Group Inc(MO)06,275+6,27504140.03%+414
Deere & Company(DE)46046002142590.02%+45
iShares Core S&P 500680780+1004665100.03%+44
Texas Instruments Inc(TXN)08,325+8,32501,6160.10%+1,616
BHP Group Ltd ADR3,6693,614-552222630.02%+41
Analog Devices Inc(ADI)82082002222610.02%+38
iShares MSCI Emerging Markets ETF10,02110,253+2325485820.04%+34
Watsco Inc(WSO)0913+91303320.02%+332
Entergy Corp(ETR)2,3272,112-2152152370.01%+22
Philip Morris International Inc(PM)3,5223,52205655820.04%+17
Public Storage Inc(PSA)1,4291,42903713870.02%+16
iShares Russell 2000 ETF2,3152,345+305705820.04%+12
Chesapeake Utilities Corp(CPK)04,500+4,50005690.03%+569
Joint Corp050,000+50,00004430.03%+443
JPMorgan Ultra-Short Municipal Inc ETF
ULTRA SHT MUNCPL
11,75011,75005995990.04%0
iShares U.S. Industrials ETF02,991+2,99104410.03%+441
General Dynamics Corporation(GD)871840-312932880.02%-5
Royal Caribbean Cruises
COM
1,3171,31703673620.02%-5
iShares Biotechnology ETF7,3407,302-381,2391,2330.08%-6
Lowe's Companies Inc(LOW)1,3161,31603173110.02%-6
Procter & Gamble Co(PG)014,327+14,32702,0690.13%+2,069
Starbucks Corp(SBUX)017,673+17,67301,5830.10%+1,583
Marriott Intl Inc Cl A(MAR)1,2281,128-1003813690.02%-12
iShares Core Dividend Growth ETF
CORE DIV GRWTH
12,31211,988-3248558410.05%-13
Invesco QQQ Trust Series 10719+71904150.03%+415
Zoetis Inc(ZTS)02,040+2,04002410.01%+241
Vanguard S&P 5000572+57203420.02%+342
Toronto-Dominion Bank(TD)6,0755,950-1255725550.03%-17
Horizon Technology Finance C12,00012,000077510.00%-27
Crown Castle Inc(CCI)03,772+3,77203070.02%+307
JPMorgan Ultra-Short Income ETF
ULTRA SHRT ETF
077,140+77,14003,9040.24%+3,904
Sherwin Williams Co(SHW)03,851+3,85101,2340.08%+1,234
Comcast Corp A(CCZ)08,670+8,67002490.02%+249
iShares Russell 1000 ETF993893-1003713180.02%-52
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