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Portfolio (Quarterly) Guide ↗

Essex Bank

· CIK 0001752212
13F Portfolio $452.0B AUM 553 positions Filed Apr 17, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 13 New 55 Added 141 Reduced 20 Exited
Page 1 of 16  ·  305 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
1 XOM EXXON MOBIL CORPORATION Energy 174,384.0 $29.6M 6.54% -2K -1.3% $169.66 -6.9%
2 CVX CHEVRON COM Energy 132,458.0 $27.4M 6.06% -1K -0.9% $206.90 -7.6%
3 AAPL APPLE COMPUTER INC. CMN. Technology 107,599.0 $27.3M 6.04% -3K -2.6% $253.79 +17.4%
4 JNJ JOHNSON & JOHNSON COM Healthcare 68,230.0 $16.7M 3.69% $244.44 -7.3%
5 BERKSHIRE HATHAWAY INC DEL 16.0 $11.5M 2.54% $718140.00
6 MSFT MICROSOFT COM Technology 27,222.0 $10.1M 2.23% -1K -3.7% $370.16 +14.0%
7 LLY LILLY ELI & COMPANY Healthcare 10,421.0 $9.6M 2.12% -400.0 -3.7% $919.77 +9.5%
8 ADP AUTOMATIC DATA PROCESSING INC - TAXABLE Industrials 42,755.0 $8.7M 1.92% $203.18 +9.7%
9 GOOG ALPHABET INC. Communication Services 30,049.0 $8.6M 1.91% -5K -13.6% $286.85 +37.1%
10 NVDA NVIDIA CORP Technology 46,714.0 $8.1M 1.80% -719.0 -1.5% $174.40 +29.2%
11 JPM JP MORGAN CHASE & CO COM Financial Services 27,484.0 $8.1M 1.79% -876.0 -3.1% $294.15 +1.2%
12 AVGO BROADCOM INC Technology 24,560.0 $7.6M 1.68% $309.51 +35.9%
13 GOOGL ALPHABET INC CAP STK CL A Communication Services 25,767.0 $7.4M 1.64% -2K -6.0% $287.55 +38.0%
14 AMZN AMAZON COM INC COM Consumer Cyclical 33,953.0 $7.1M 1.56% -1K -3.7% $208.27 +27.2%
15 IVV ISHARES TR S&P 500 INDEX 8,874.0 $5.8M 1.28% -182.0 -2.0% $653.21 +13.6%
16 WMT WAL-MART Consumer Defensive 44,550.0 $5.5M 1.23% -3K -5.8% $124.28 +5.8%
17 VOO VANGUARD INDEX FDS S&P 500 ETF SHS 8,964.0 $5.4M 1.19% +89.0 +1.0% $597.54 +13.6%
18 BERKSHIRE HATHAWAY INC DEL CL B NEW 10,185.0 $4.9M 1.08% -546.0 -5.1% $479.20
19 SPY SPDR TR UNIT SER 1 Financial Services 7,367.0 $4.8M 1.06% -100.0 -1.3% $650.33 +13.6%
20 RTX RTX CORPORATION COM Industrials 24,163.0 $4.7M 1.03% -375.0 -1.5% $192.90 -11.3%
Page 1 of 16  ·  305 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 20.7%
Energy 18.0%
Industrials 13.8%
Healthcare 13.1%
Financial Services 12.4%
Consumer Defensive 7.0%
Communication Services 6.4%
Consumer Cyclical 5.1%
Utilities 2.1%
Basic Materials 1.1%