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Latest Violich Capital Management, Inc. Stock Portfolio

$698Million

Equity Portfolio Value
Last Reported on: 30 Apr, 2024

About Violich Capital Management, Inc. and it’s 13F Hedge Fund Stock Holdings

Violich Capital Management, Inc. is a hedge fund based in SAN FRANCISCO, CA. On 16-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $709.4 Millions. In it's latest 13F Holdings report, Violich Capital Management, Inc. reported an equity portfolio of $698.8 Millions as of 31 Mar, 2024.

The top stock holdings of Violich Capital Management, Inc. are MSFT, GOOG, GOOG. The fund has invested 11% of it's portfolio in MICROSOFT CORP and 7.9% of portfolio in ALPHABET INC CL C.

The fund managers got completely rid off FLEETCOR TECHNOLOGIES INC (FLT), ANGLO AMERICAN and MAGNA INTL INC (MGA) stocks. They significantly reduced their stock positions in MICRON TECHNOLOGY INC (MU), WOODSIDE ENERGY GROUP ADR (WDS) and ISHARES SHORT-TERM BOND ETF (ACWF). Violich Capital Management, Inc. opened new stock positions in DEVON ENERGY (DVN), CORPAY INC and LINDE PLC (LIN). The fund showed a lot of confidence in some stocks as they added substantially to VANGUARD RUSSELL 2000 INDEX FU (BNDW), WALMART STORES INC (WMT) and THERMO FISHER SCIENTIFIC INC (TMO).

New Buys

Ticker$ Bought
DEVON ENERGY3,284,000
CORPAY INC1,481,000
LINDE PLC588,000
HOME DEPOT INC518,000
ISHARES MSCI USA QUALITY FACTO493,000
BLACKROCK INC333,000
AMERICAN TOWER CORP326,000
MICROCHIP TECHNOLOGY INC314,000

New stocks bought by Violich Capital Management, Inc.

Additions

Ticker% Inc.
VANGUARD RUSSELL 2000 INDEX FU350
WALMART STORES INC228
THERMO FISHER SCIENTIFIC INC202
ALERIAN MLP113
UNION PACIFIC CORP101
PALO ALTO NETWORKS INC100
JPMORGAN CHASE & CO87.84
ADOBE SYSTEMS87.08

Additions to existing portfolio by Violich Capital Management, Inc.

Reductions

Ticker% Reduced
MICRON TECHNOLOGY INC-35.29
WOODSIDE ENERGY GROUP ADR-24.87
ISHARES SHORT-TERM BOND ETF-20.23
PERRIGO CO PLC-3.64
SPDR S&P 500 ETF TRUST-2.99
SCHLUMBERGER LTD-0.93
FEDEX CORP-0.71
COCA-COLA CO-0.43

Violich Capital Management, Inc. reduced stake in above stock

Sold off

Ticker$ Sold
ANGLO AMERICAN-437,000
MAGNA INTL INC-380,000
FLEETCOR TECHNOLOGIES INC-1,357,000
ABM INDS-206,000
DIODES INC-322,000
GILEAD SCIENCES INC-205,000

Violich Capital Management, Inc. got rid off the above stocks

Current Stock Holdings of Violich Capital Management, Inc.

Last Reported on: 30 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC7.00285,27248,918,000ADDED5.11
ABBVABBVIE INC3.01115,44621,023,000ADDED4.16
ABMABM INDS0.000.000.00SOLD OFF-100
ACESALERIAN MLP1.43210,4559,988,000ADDED113
ACNACCENTURE PLC1.7936,12712,522,000ADDED4.5
ACWFISHARES SHORT-TERM BOND ETF0.0911,950604,000REDUCED-20.23
ADBEADOBE SYSTEMS0.344,7052,374,000ADDED87.08
ADPAUTOMATIC DATA PROCESSING INC1.2334,4208,596,000ADDED3.58
AEMAGNICO-EAGLE MINES LTD0.1821,6541,292,000ADDED1.4
AGGISHARES TR CORE S&P 500 INDEX0.101,292679,000ADDED5.73
AMGNAMGEN INC0.4912,0303,420,000ADDED2.12
AMZNAMAZON.COM1.0340,0557,225,000ADDED2.74
AONAON PLC1.0221,4187,148,000ADDED0.23
ARKFARK INNOVATION ETF0.045,000250,000UNCHANGED0.00
AVGOBROADCOM INC0.402,0902,770,000ADDED6.91
BABOEING CO0.031,243240,000NEW
BDXBECTON DICKINSON & CO0.7521,2645,262,000ADDED4.42
BHPBHP BILLITON LTD SPON ADR1.93233,28813,458,000ADDED2.5
BLKBLACKROCK INC0.05400333,000NEW
BNDWVANGUARD RUSSELL 2000 INDEX FU0.2722,5001,914,000ADDED350
CICIGNA CORP0.377,1782,607,000ADDED5.98
CLCOLGATE-PALMOLIVE CO0.075,610505,000UNCHANGED0.00
CMCSACOMCAST CORP CL A0.4064,8032,809,000ADDED6.33
COPCONOCOPHILLIPS1.3775,1999,571,000ADDED5.06
COSTCOSTCO WHOLESALE CORP6.5262,19245,564,000ADDED2.56
CVSCVS HEALTH CORP2.48217,35417,336,000ADDED2.07
CVXCHEVRON CORP1.5267,38410,629,000ADDED1.8
DDOMINION RESOURCES INC0.0811,055544,000UNCHANGED0.00
DEDEERE & CO0.305,1002,095,000UNCHANGED0.00
DELLDELL TECHNOLOGIES0.116,850782,000ADDED30.48
DHRDANAHER CORP1.6044,89911,212,000ADDED4.12
DIODDIODES INC0.000.000.00SOLD OFF-100
DISWALT DISNEY CO0.3419,2892,360,000ADDED4.89
DUKDUKE ENERGY CORP0.1410,021969,000ADDED9.87
DVNDEVON ENERGY0.4765,4353,284,000NEW
ELVELEVANCE HEALTH INC0.283,7001,919,000UNCHANGED0.00
EPDENTERPRISE PRODUCTS PARTNERS L0.0717,950524,000ADDED4.82
FANGDIAMONDBACK ENERGY INC0.082,900575,000UNCHANGED0.00
FCXFREEPORT-MCMORAN INC0.2334,0001,599,000ADDED6.25
FDXFEDEX CORP0.389,0702,628,000REDUCED-0.71
FLTFLEETCOR TECHNOLOGIES INC0.000.000.00SOLD OFF-100
GILDGILEAD SCIENCES INC0.000.000.00SOLD OFF-100
GLDSPDR GOLD TRUST1.2040,7378,380,000ADDED9.47
GOOGALPHABET INC CL C7.87361,33555,017,000ADDED4.14
GOOGALPHABET INC CL A7.00324,16548,926,000ADDED2.73
GPNGLOBAL PAYMENTS INC0.031,500200,000NEW
HDHOME DEPOT INC0.071,350518,000NEW
HONHONEYWELL INTL INC1.0937,0977,614,000ADDED6.24
IBCEISHARES MSCI USA QUALITY FACTO0.073,000493,000NEW
INTCINTEL CORP0.0913,700605,000ADDED15.13
JNJJOHNSON & JOHNSON2.1996,73615,303,000ADDED4.5
JPMJPMORGAN CHASE & CO0.5619,6953,945,000ADDED87.84
KMBKIMBERLY CLARK CORP0.3418,1362,346,000ADDED7.72
KOCOCA-COLA CO0.4046,0472,817,000REDUCED-0.43
KOSKOSMOS ENERGY LTD0.0220,700123,000UNCHANGED0.00
LINLINDE PLC0.081,267588,000NEW
LRCXLAM RESEARCH1.3910,0009,716,000UNCHANGED0.00
MAMASTERCARD INC0.233,3151,596,000ADDED5.24
MCDMCDONALDS CORP0.194,7651,343,000ADDED3.7
MCHPMICROCHIP TECHNOLOGY INC0.043,500314,000NEW
MDTMEDTRONIC PLC0.118,865773,000UNCHANGED0.00
MGAMAGNA INTL INC0.000.000.00SOLD OFF-100
MMM3M CO0.064,101435,000UNCHANGED0.00
MRKMERCK & CO INC1.6687,67711,569,000ADDED3.25
MSFTMICROSOFT CORP11.02183,11177,038,000ADDED3.03
MUMICRON TECHNOLOGY INC0.095,500648,000REDUCED-35.29
NEENEXTERA ENERGY INC0.4953,6003,426,000ADDED3.22
NKENIKE INC CL B1.85137,31612,905,000ADDED47.22
NVSNOVARTIS AG - ADR0.064,412427,000ADDED3.81
NXENEXGEN ENERGY LTD0.12109,400850,000ADDED1.3
OKEONEOK INC0.032,581207,000NEW
ORCLORACLE CORP3.64202,61125,450,000ADDED1.57
PANWPALO ALTO NETWORKS INC0.122,850810,000ADDED100
PCARPACCAR INC0.073,900483,000UNCHANGED0.00
PEPPEPSICO INC2.1686,08215,065,000ADDED4.62
PFEPFIZER INC0.1946,8691,301,000ADDED45.92
PGPROCTER & GAMBLE CO0.208,4371,369,000ADDED0.7
PMPHILIP MORRIS INTL INC0.5541,6303,814,000ADDED1.46
PRGOPERRIGO CO PLC0.1532,3851,042,000REDUCED-3.64
QQQINVESCO QQQ TRUST0.203,0751,365,000ADDED20.35
RGLDROYAL GOLD INC0.042,600317,000UNCHANGED0.00
RIORIO TINTO PLC-SPON ADR0.5256,9053,627,000REDUCED-0.26
SLBSCHLUMBERGER LTD0.5569,5833,814,000REDUCED-0.93
SLVISHARES SILVER TRUST0.0824,600560,000UNCHANGED0.00
SOSOUTHERN CO0.054,595330,000UNCHANGED0.00
SPGIS&P GLOBAL INC0.05750319,000UNCHANGED0.00
SPYSPDR S&P 500 ETF TRUST0.233,0151,577,000REDUCED-2.99
SYKSTRYKER CORP0.377,2002,577,000ADDED28.57
THCTENET HEALTHCARE CORP0.053,380355,000ADDED3.21
TMOTHERMO FISHER SCIENTIFIC INC0.131,513879,000ADDED202
TTETOTALENERGIES SE ADR0.044,254293,000ADDED0.57
UNHUNITEDHEALTH GROUP INC2.5435,84017,730,000ADDED5.88
UNPUNION PACIFIC CORP0.216,0521,488,000ADDED101
VVISA INC CL A5.72143,28739,989,000ADDED5.74
VMDVIEMED HEALTHCARE INC0.0322,500212,000UNCHANGED0.00
VOOVANGUARD S&P 500 INDEX FUND0.324,6652,242,000ADDED22.34
VOOVANGUARD 500 INDEX ADMIRAL0.142,057997,000ADDED28.97
VOOVANGUARD MID-CAP INDEX FUND AD0.03663205,000NEW
VVVVALVOLINE INC0.034,567204,000NEW
VZVERIZON COMMUNICATIONS INC0.93154,1396,468,000ADDED12.75
WDSWOODSIDE ENERGY GROUP ADR0.0312,088241,000REDUCED-24.87
WMTWALMART STORES INC0.1112,975781,000ADDED228
XOMEXXON MOBIL CORP0.4527,0653,146,000ADDED8.24
BERKSHIRE HATHAWAY CL B2.9148,42720,365,000ADDED2.88
CORPAY INC0.214,8001,481,000NEW
KENVUE INC0.1960,7481,304,000ADDED7.79
VERALTO CORP0.1310,289912,000ADDED4.67
NESTLE SA-SPONS ADR0.085,097541,000ADDED3.18
AMERICAN FUNDS-GROWTH FUND OF0.054,999355,000UNCHANGED0.00
AMERICAN TOWER CORP0.051,650326,000NEW
VANGUARD TOTAL STOCK MKT IDX A0.042,000253,000UNCHANGED0.00
NOBLE CORP PLC0.034,700228,000UNCHANGED0.00
SEI TAX MANAGED SMALL/MID CAP0.038,189217,000NEW
WESDOME GOLD MINES LTD0.0114,400108,000UNCHANGED0.00
ANGLO AMERICAN0.000.000.00SOLD OFF-100