Slice of Stock

Institutional manager

STIFEL FINANCIAL CORP

Holds positions in 510 of the S&P 500, worth $67.5bn as reported for the quarter ended 31-mar-2026.

Positions held510of 488 index companies covered
Reported value$67.5bnS&P 500 positions only
Top ten weight27%how concentrated the book is
Filing entities1single filer

Largest positions

The 60 biggest by reported value, of 510 held. The rest are smaller than every one of these.

NvidiaNVDA16.6m$2.89bnInformation TechnologyApple Inc.AAPL11.1m$2.81bnInformation TechnologyAlphabet Inc. (Class A)GOOGL9.2m$2.65bnCommunication ServicesMicrosoftMSFT6.7m$2.47bnInformation TechnologyAmazonAMZN8.3m$1.72bnConsumer DiscretionaryBroadcomAVGO4.5m$1.39bnInformation TechnologyJPMorgan ChaseJPM3.8m$1.13bnFinancialsJohnson & JohnsonJNJ4.5m$1.10bnHealth CareCiscoCSCO13.5m$1.05bnInformation TechnologyMerck & Co.MRK8.3m$997mHealth CareVisa Inc.V3.3m$991mFinancialsPepsiCoPEP6.3m$985mConsumer StaplesHome Depot (The)HD2.5m$822mConsumer DiscretionaryAbbVieABBV3.7m$812mHealth CareMeta PlatformsMETA1.4m$795mCommunication ServicesLockheed MartinLMT1.2m$724mIndustrialsLilly (Eli)LLY779,157$717mHealth CareCostcoCOST702,918$701mConsumer StaplesProcter & GamblePG4.6m$661mConsumer StaplesIBMIBM2.7m$649mInformation TechnologyChevron CorporationCVX3.1m$638mEnergyCoca-Cola Company (The)KO8.3m$635mConsumer StaplesExxonMobilXOM3.7m$633mEnergyTexas InstrumentsTXN2.9m$571mInformation TechnologyAmgenAMGN1.6m$547mHealth CareUnion Pacific CorporationUNP2.2m$525mIndustrialsEaton CorporationETN1.4m$516mIndustrialsBerkshire HathawayBRK.B882,920$505mFinancialsMedtronicMDT5.8m$499mHealth CareWaste ManagementWM2.1m$491mIndustrialsNetflixNFLX5.1m$487mCommunication ServicesTJX CompaniesTJX3.0m$480mConsumer DiscretionaryAir ProductsAPD1.6m$478mMaterialsAmphenolAPH3.7m$468mInformation TechnologyCumminsCMI840,971$452mIndustrialsAccentureACN2.2m$437mInformation TechnologyColgate-PalmoliveCL5.0m$423mConsumer StaplesWalmartWMT3.4m$421mConsumer StaplesIllinois Tool WorksITW1.6m$412mIndustrialsCaterpillar Inc.CAT577,396$409mIndustrialsRTX CorporationRTX2.1m$407mIndustrialsHoneywell TechnologiesHON1.8m$404mIndustrialsChurch & DwightCHD4.3m$400mConsumer StaplesMarsh McLennanMRSH2.3m$400mFinancialsAbbott LaboratoriesABT3.9m$397mHealth CareW. W. GraingerGWW358,629$391mIndustrialsVerizonVZ7.5m$376mCommunication ServicesTaiwan Semiconductor ManufacturingTSM1.1m$373mAutomatic Data ProcessingADP1.8m$372mIndustrialsCorning Inc.GLW2.7m$363mInformation TechnologyRepublic ServicesRSG1.6m$353mIndustrialsMcDonald'sMCD1.1m$352mConsumer DiscretionaryPalo Alto NetworksPANW2.2m$347mInformation TechnologyMastercardMA676,186$338mFinancialsTractor SupplyTSCO7.3m$332mConsumer DiscretionaryASML HoldingASML248,817$329mThermo Fisher ScientificTMO649,147$319mHealth CareMotorola SolutionsMSI702,015$305mInformation TechnologyFerguson EnterprisesFERG1.3m$298mIndustrialsYum! BrandsYUM1.9m$296mConsumer Discretionary

What this page is not

Positions in the companies this site covers, from 13F filings, which report US listed, long, US custodied holdings. A manager's real book is larger than this in every case: anything outside the index, outside US custody, held through derivatives, or below its reporting obligation is not here.