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Latest Boit C F David Stock Portfolio

Boit C F David Performance:
2025 Q4: 4.89%YTD: -5.59%2024: 41.96%

Performance for 2025 Q4 is 4.89%, and YTD is -5.59%, and 2024 is 41.96%.

About Boit C F David and 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Boit C F David reported an equity portfolio of $231.4 Millions as of 31 Dec, 2025.

The top stock holdings of Boit C F David are , MSFT, GOOG. The fund has invested 6.8% of it's portfolio in BERKSHIRE HATHAWAY INC CL B (NEW) and 6.6% of portfolio in MICROSOFT CORP COM.

They significantly reduced their stock positions in UNILEVER PLC SPONSORED ADR (NEW), VERIZON COMMUNICATIONS INC COM (VZ) and AMERICAN TOWER CORP CL A (REIT) (AMT). Boit C F David opened new stock positions in MAGNUM ICE CREAM COMPANY. The fund showed a lot of confidence in some stocks as they added substantially to BROWN-FORMAN CORP CL B, ADOBE INC (ADBE) and QUALCOMM INC COM (QCOM).

Boit C F David Annual Return Estimates Vs S&P 500

Our best estimate is that Boit C F David made a return of 4.89% in the last quarter. In trailing 12 months, it's portfolio return was -5.59%.
  • Performance
  • S&P 500

New Buys

Ticker$ Bought
magnum ice cream company39,728
versant media group inc23,085

New stocks bought by Boit C F David

Additions

Ticker% Inc.
brown-forman corp cl b97.47
adobe inc2.17
qualcomm inc com1.42
intuit inc com0.64

Additions to existing portfolio by Boit C F David

Reductions

Ticker% Reduced
unilever plc sponsored adr (new)-11.12
verizon communications inc com-9.85
american tower corp cl a (reit)-5.43
caterpillar inc com-3.59
alphabet inc cl a-0.26

Boit C F David reduced stake in above stock

Sold off

None of the stocks were completely sold off by Boit C F David

Sector Distribution

Boit C F David has about 23.7% of it's holdings in Technology sector.

Sector%
Technology23.7
Healthcare15.6
Financial Services15.6
Industrials12.7
Others10
Communication Services6
Energy5.4
Consumer Defensive4.9
Consumer Cyclical4

Market Cap. Distribution

Boit C F David has about 89% of it's portfolio invested in the large-cap and mega-cap stocks.

Category%
MEGA-CAP51.3
LARGE-CAP37.7
UNALLOCATED10

Stocks belong to which Index?

About 89.1% of the stocks held by Boit C F David either belong to S&P 500 or RUSSELL 2000 index.

Index%
S&P 50089.1
Others10.9
Top 5 Winners (%)%
AMAT
applied materials inc com
47.1 %
ALGN
align technology inc
38.0 %
GOOG
alphabet inc cl a
35.1 %
MRK
merck & co inc (new)
31.7 %
asml holding n v ny reg shs (new)
31.6 %
Top 5 Winners ($)$
GOOG
alphabet inc cl a
3.3 M
CAT
caterpillar inc com
2.7 M
MRK
merck & co inc (new)
1.9 M
XOM
exxon mobil corp com
1.0 M
JNJ
johnson & johnson com
0.7 M
Top 5 Losers (%)%
fiserv inc com
-45.8 %
ORCL
oracle corp com
-29.4 %
PAYC
paycom software inc
-24.5 %
T
at&t inc com
-15.1 %
ANGI
angi inc
-13.6 %
Top 5 Losers ($)$
MSFT
microsoft corp com
-1.2 M
ORCL
oracle corp com
-0.8 M
ADP
automatic data processing inc com
-0.6 M
PG
procter & gamble co com
-0.3 M
INTU
intuit inc com
-0.3 M

Boit C F David Holdings Map

This heatmap illustrates the top 50 positions within the fund's portfolio.

Current Stock Holdings of Boit C F David

Boit C F David has 119 stocks in it's portfolio. About 46.6% of the portfolio is in top 10 stocks. MSFT proved to be the most loss making stock for the portfolio. GOOG was the most profitable stock for Boit C F David last quarter.

Last Reported on: 15 Jan, 2026
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions