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Stillwater Capital Advisors, LLC

69 holdingsFiling period: 2026-03-31Current AUM: $1.01Bestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1AAPLAPPLE INC237.5K$60.3M$79.2M7.86%-4,4812026-03-31
2AVGOBROADCOM INC175.8K$54.4M$68.2M6.76%-34,3852026-03-31
3NVDANVIDIA CORPORATION305.1K$53.2M$59.5M5.90%-31,3982026-03-31
4GOOGLALPHABET INC152.3K$43.8M$50.8M5.04%-2,6762026-03-31
5XLKSELECT SECTOR SPDR TR326.2K$43.4M$57.3M5.69%+3.4K2026-03-31
6MSFTMICROSOFT CORP110.0K$40.7M$49.6M4.92%-1,1762026-03-31
7RTXRTX CORPORATION173.1K$33.4M$37.1M3.68%-3,5052026-03-31
8JPMJPMORGAN CHASE & CO107.3K$31.6M$37.6M3.73%-1,7582026-03-31
9LLYELI LILLY & CO34.1K$31.3M$39.3M3.90%-3152026-03-31
10WMTWALMART INC239.7K$29.8M$26.6M2.64%-3,7792026-03-31
11CATCATERPILLAR INC40.9K$28.9M$33.1M3.28%-6922026-03-31
12XOMEXXON MOBIL CORP146.6K$24.9M$23.0M2.28%-1,8332026-03-31
13XOMEXXON MOBIL CORP146.6K$24.9M$23.0M2.28%-1,8332026-03-31
14MARMARRIOTT INTL INC NEW74.5K$24.4M$28.0M2.78%-1,0902026-03-31
15HONHONEYWELL INTL INC104.6K$23.6M$12.6M1.25%--2026-03-31
16CEGCONSTELLATION ENERGY CORP81.4K$22.7M$21.4M2.13%-1,2482026-03-31
17AMZNAMAZON COM INC107.2K$22.3M$25.2M2.50%-1,0152026-03-31
18MRKMERCK & CO INC180.2K$21.7M$23.4M2.32%-2,3182026-03-31
19XLCSELECT SECTOR SPDR TR176.7K$19.6M$18.8M1.87%+17.6K2026-03-31
20ABBVABBVIE INC89.5K$19.5M$23.0M2.29%-1,1262026-03-31
21TMUST-MOBILE US INC92.6K$19.4M$16.0M1.59%-8372026-03-31
22IWFISHARES TR44.9K$19.1M$21.1M2.09%+1.8K2026-03-31
23IYWISHARES TR100.8K$18.3M$23.9M2.37%-6,2972026-03-31
24VVISA INC60.1K$18.2M$22.0M2.18%-7042026-03-31
25BLKBLACKROCK INC18.6K$17.9M$20.4M2.02%-2492026-03-31
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