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Miramar Capital, LLC

57 holdingsFiling period: 2026-03-31Current AUM: $479.5Mestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1CVXCHEVRON CORPORATION108.8K$22.5M$21.4M4.46%-3,3322026-03-31
2ABBVABBVIE INC102.6K$22.3M$25.7M5.37%-2,4232026-03-31
3VZVERIZON COMMUNICATIONS INC441.7K$22.2M$20.7M4.31%-11,3632026-03-31
4AVGOBROADCOM INC71.0K$22.0M$27.6M5.76%-1,6282026-03-31
5MSFTMICROSOFT CORP55.7K$20.6M$25.9M5.40%+2.7K2026-03-31
6GOOGLALPHABET INC70.6K$20.3M$25.1M5.24%-17,0232026-03-31
7OKEONEOK INC NEW221.6K$20.0M$20.1M4.20%+6.9K2026-03-31
8PEPPEPSICO INC120.8K$18.8M$16.9M3.51%-3,1302026-03-31
9CMECME GROUP INC55.7K$16.5M$14.9M3.11%-1,6702026-03-31
10LMTLOCKHEED MARTIN CORP27.0K$16.3M$15.7M3.28%-8962026-03-31
11MCDMCDONALDS CORP51.8K$16.1M$14.0M2.92%-1,3292026-03-31
12VVISA INC50.9K$15.4M$18.6M3.89%+9.1K2026-03-31
13JPMJPMORGAN CHASE & CO52.1K$15.3M$18.3M3.82%+6502026-03-31
14HDHOME DEPOT INC44.9K$14.8M$14.9M3.11%+1.9K2026-03-31
15UNPUNION PAC CORP60.9K$14.8M$17.8M3.71%-1,4532026-03-31
16AAPLAPPLE INC52.7K$13.4M$16.3M3.39%-1,0242026-03-31
17HSYHERSHEY CO63.8K$13.3M$11.2M2.33%-1,5792026-03-31
18WMWASTE MGMT INC DEL57.7K$13.3M$13.1M2.72%-1,1422026-03-31
19BMYBRISTOL-MYERS SQUIBB CO214.7K$13.0M$14.0M2.92%-5,0052026-03-31
20MRKMERCK & CO INC103.5K$12.5M$13.5M2.81%-2,4772026-03-31
21GDGENERAL DYNAMICS CORP36.1K$12.4M$13.9M2.89%-9842026-03-31
22EOGEOG RES INC82.3K$11.9M$12.2M2.55%-1,9262026-03-31
23KRKROGER CO159.6K$11.5M$9.2M1.92%+28.0K2026-03-31
24ABTABBOTT LABORATORIES105.2K$10.8M$11.1M2.32%+24.1K2026-03-31
25PAYXPAYCHEX INC115.4K$10.6M$13.5M2.81%+35.1K2026-03-31
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