$549Million– No. of Holdings #126
| Ticker | $ Bought |
|---|---|
| vanguard index fds s&p 500 etf | 479,000 |
| dimensional etf trust us core | 391,000 |
| dimensional etf trust us high | 248,000 |
| brown forman corp cl b | 232,000 |
| dimensional etf trust us mktwi | 228,000 |
| ishares tr msci usa mmentm | 216,000 |
| hershey co com | 205,000 |
| farmers & merchants bancorp in | 200,000 |
| Ticker | % Inc. |
|---|---|
| boeing co com | 38.1 |
| vanguard tax-managed fds van f | 24.29 |
| pinterest inc cl a | 13.08 |
| vanguard intl equity index fds | 11.76 |
| ishares inc core msci emkt | 5.94 |
| ishares tr core s&p scp etf | 5.71 |
| ishares tr core s&p mcp etf | 5.00 |
| ishares tr core msci eafe | 3.41 |
| Ticker | % Reduced |
|---|---|
| chesapeake utils corp com | -63.33 |
| disney walt co com | -29.4 |
| nvidia corporation com | -12.71 |
| corning inc com | -11.98 |
| qnity electronics inc common s | -11.87 |
| union pac corp com | -11.13 |
| costco wholesale corporation c | -10.18 |
| walmart inc com | -6.21 |
| Ticker | $ Sold |
|---|---|
| mccormick & co inc com vtg | -213,000 |
| salesforce com inc | -201,000 |
| mongo db inc | -251,000 |
| intuit inc | -320,000 |
Tufton Capital Management has about 18.3% of it's holdings in Technology sector.
| Sector | % |
|---|---|
| Technology | 18.3 |
| Industrials | 16.5 |
| Healthcare | 13.1 |
| Financial Services | 11.3 |
| Consumer Defensive | 8.5 |
| Communication Services | 7.4 |
| Others | 7.3 |
| Consumer Cyclical | 7.2 |
| Energy | 6 |
| Real Estate | 2.1 |
| Utilities | 2 |
Tufton Capital Management has about 92.5% of it's portfolio invested in the large-cap and mega-cap stocks.
| Category | % |
|---|---|
| MEGA-CAP | 53.3 |
| LARGE-CAP | 39.2 |
| UNALLOCATED | 7.3 |
About 91% of the stocks held by Tufton Capital Management either belong to S&P 500 or RUSSELL 2000 index.
| Index | % |
|---|---|
| S&P 500 | 91 |
| Others | 8.1 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
Tufton Capital Management has 126 stocks in it's portfolio. About 35.7% of the portfolio is in top 10 stocks. MSFT proved to be the most loss making stock for the portfolio. GLW was the most profitable stock for Tufton Capital Management last quarter.
Last Reported on: 12 May, 2026| Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
|---|---|---|---|---|---|---|---|---|
| AAPL | apple inc com | 4.41 | 95,460 | 24,226,000 | reduced | -5.1 | ||
| ABBV | abbvie inc com | 2.14 | 54,133 | 11,773,000 | reduced | -1.74 | ||
| ABT | abbott laboratories com | 1.23 | 65,869 | 6,762,000 | reduced | -0.93 | ||
| ADP | automatic data processing inc | 1.85 | 50,155 | 10,190,000 | reduced | -0.9 | ||
| AMP | ameriprise finl inc com | 0.04 | 455 | 202,000 | unchanged | 0.00 | ||
| AMZN | amazon com inc com | 2.59 | 68,432 | 14,252,000 | reduced | -1.51 | ||
| ANTX | elevance health inc formerly a | 0.22 | 4,124 | 1,207,000 | unchanged | 0.00 | ||
| APD | air products and chemicals inc | 0.08 | 1,510 | 438,000 | unchanged | 0.00 | ||
| AXP | american express co com | 0.24 | 4,445 | 1,344,000 | reduced | -0.07 | ||
| AZYO | elutia inc cl a com | 0.00 | 14,550 | 15,000 | unchanged | 0.00 | ||
| BA | boeing co com | 0.06 | 1,624 | 323,000 | added | 38.1 | ||
| BAC | bank america corp com | 2.01 | 226,397 | 11,036,000 | reduced | -2.67 | ||
| BIL | spdr series trust state street | 0.30 | 11,371 | 1,659,000 | added | 0.05 | ||
| BMY | bristol-myers squibb co com | 0.71 | 64,370 | 3,904,000 | reduced | -0.71 | ||
| BSX | boston scientific co | 0.10 | 9,077 | 569,000 | reduced | -1.09 | ||
| BX | blackstone inc com | 0.04 | 1,784 | 205,000 | reduced | -4.03 | ||
| CARR | carrier global corporation com | 0.92 | 90,085 | 5,072,000 | reduced | -1.55 | ||
| CAT | caterpillar inc com | 3.09 | 23,957 | 16,972,000 | reduced | -3.01 | ||
| CB | chubb ltd switz com | 1.98 | 33,382 | 10,880,000 | reduced | -2.23 | ||
| CCI | crown castle inc com | 0.75 | 50,937 | 4,141,000 | reduced | -5.54 | ||