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Everett Harris & Co

SEC CIK
0001009254
Latest filing
Aug 3, 2026

Holdings in Q3 2021

Holdings as of Sep 30, 2021, filed Nov 3, 2021. Long positions only; changes compare share counts with Q2 2021.

Institution overview
Positions
266
+2 vs. Q2 2021
Portfolio value
$6.33B
+$75.1M (+1.2%) vs. Q2 2021
Filed
Nov 3, 2021
SEC
Holdings of Everett Harris & Co in Q3 2021
SecurityClassSharesValue% of portfolioShare changeActionHistory
AAPLApple Inc.Stock5,022,783$710.7M11.2%−48,922−1.0%ReducedHistory
BRK.ABerkshire Hathaway IncCL A1,431$588.7M9.3%−3−0.2%ReducedHistory
MSFTMicrosoft CorpStock1,679,436$473.5M7.5%−10,536−0.6%ReducedHistory
COSTCostco Wholesale CorpStock905,769$407.0M6.4%−3,407−0.4%ReducedHistory
NVONovo Nordisk A SADR3,271,483$314.1M5.0%−2,902−0.1%ReducedHistory
GOOGAlphabet Inc.Stock116,160$309.6M4.9%−2,155−1.8%ReducedHistory
DISWalt Disney CoStock1,228,051$207.7M3.3%−4,383−0.4%ReducedHistory
BRK.BBerkshire Hathaway IncStock712,704$194.5M3.1%−9,099−1.3%ReducedHistory
ABTAbbott LaboratoriesStock1,610,606$190.3M3.0%−19,716−1.2%ReducedHistory
Vanguard Health Care ETF92204A504ETF759,544$187.7M3.0%−3,237−0.4%Reduced–
AMZNAmazon Com IncStock54,066$177.6M2.8%−218−0.4%ReducedHistory
NKENIKE, Inc.Stock1,068,587$155.2M2.5%−1,504−0.1%ReducedHistory
JNJJohnson & JohnsonStock883,509$142.7M2.3%−4,269−0.5%ReducedHistory
ACNAccenture plcStock380,449$121.7M1.9%+1,366+0.4%AddedHistory
SBUXStarbucks CorpStock1,096,748$121.0M1.9%+3890.0%AddedHistory
BACBank of America CorpStock2,811,584$119.4M1.9%−20,349−0.7%ReducedHistory
BDXBecton Dickinson & CoStock483,175$118.8M1.9%−1,202−0.2%ReducedHistory
MCDMcDonalds CorpStock404,968$97.6M1.5%+744+0.2%AddedHistory
GOOGLAlphabet Inc.Stock33,473$89.5M1.4%+31+0.1%AddedHistory
ULUnilever PLCSPON ADR NEW1,620,648$87.9M1.4%+9,478+0.6%AddedHistory
CLColgate Palmolive CoStock1,075,336$81.3M1.3%−2,232−0.2%ReducedHistory
iShares Core MSCI Emerging Markets ETF46434G103ETF1,300,957$80.3M1.3%−47,534−3.5%Reduced–
TJXTJX Companies IncStock1,117,998$73.8M1.2%+10,290+0.9%AddedHistory
PEPPepsiCo IncStock421,430$63.4M1.0%+140.0%AddedHistory
AWKAmerican Water Works Company, Inc.Stock368,000$62.2M1.0%−8,000−2.1%ReducedHistory
FDSFactset Research Systems IncStock149,070$58.9M0.9%+50.0%AddedHistory
ABBVAbbVie Inc.Stock513,919$55.4M0.9%+16,551+3.3%AddedHistory
HDHome Depot, Inc.Stock160,686$52.7M0.8%+1,428+0.9%AddedHistory
BAXBaxter International IncStock648,049$52.1M0.8%+1,670+0.3%AddedHistory
CVXChevron CorpStock510,316$51.8M0.8%+11,143+2.2%AddedHistory
WMTWalmart Inc.Stock345,476$48.2M0.8%−1,327−0.4%ReducedHistory
Vanguard Short-Term Bond ETF921937827ETF583,724$47.8M0.8%+134,396+29.9%Added–
CMCSAComcast CorpStock784,673$43.9M0.7%+25,525+3.4%AddedHistory
EXPDExpeditors International of Washington IncCOM342,575$40.8M0.6%−2,498−0.7%ReducedHistory
MAMastercard IncStock98,992$34.4M0.5%−780−0.8%ReducedHistory
PGRProgressive CorpStock362,382$32.8M0.5%−1,242−0.3%ReducedHistory
Invesco Exchange Traded FD T46137V407INVESCO MSCI396,250$25.1M0.4%−107,150−21.3%Reduced–
VZVerizon Communications IncStock462,746$25.0M0.4%+19,529+4.4%AddedHistory
SCHWSchwab Charles CorpStock318,323$23.2M0.4%−675−0.2%ReducedHistory
MDTMedtronic plcStock174,668$21.9M0.3%−2,525−1.4%ReducedHistory
PYPLPayPal Holdings, Inc.Stock83,503$21.7M0.3%+808+1.0%AddedHistory
EWEdwards Lifesciences CorpStock187,072$21.2M0.3%−500.0%ReducedHistory
Vanguard Scottsdale FDS92206C409SHRT TRM CORP BD252,425$20.8M0.3%+18,675+8.0%Added–
UPSUnited Parcel Service IncStock112,751$20.5M0.3%−806−0.7%ReducedHistory
NVSNovartis AGADR233,023$19.1M0.3%−63,085−21.3%ReducedHistory
Vanguard Morningstar Growth ETF922908736ETF62,395$18.1M0.3%−771−1.2%Reduced–
VVisa Inc.Stock79,664$17.7M0.3%−2,040−2.5%ReducedHistory
LMTLockheed Martin CorpStock47,898$16.5M0.3%+6,216+14.9%AddedHistory
ECLEcolab Inc.Stock78,496$16.4M0.3%00.0%UnchangedHistory
BUDAnheuser-Busch InBev SA/NVADR201,997$11.4M0.2%−21,973−9.8%ReducedHistory
ZBHZimmer Biomet Holdings, Inc.Stock71,581$10.5M0.2%+1,219+1.7%AddedHistory
METAMeta Platforms, Inc.Stock30,008$10.2M0.2%−816−2.6%ReducedHistory
XOMExxonMobil Holdings CorpCOM166,958$9.82M0.2%−3,763−2.2%ReducedHistory
CVSCVS Health CorpStock115,093$9.77M0.2%+2,206+2.0%AddedHistory
PGProcter & Gamble CoStock66,674$9.32M0.1%00.0%UnchangedHistory
NEENextera Energy IncStock115,556$9.07M0.1%00.0%UnchangedHistory
MRKMerck & Co., Inc.Stock119,908$9.01M0.1%+61,247+104.4%AddedHistory
Vanguard S&P 500 ETF922908363ETF21,908$8.64M0.1%+35+0.2%Added–
TMOThermo Fisher Scientific Inc.Stock13,159$7.52M0.1%+725+5.8%AddedHistory
OKEONEOK IncCOM127,038$7.37M0.1%−1,565−1.2%ReducedHistory
UNPUnion Pacific CorpStock36,984$7.25M0.1%+3,814+11.5%AddedHistory
KOCoca Cola CoStock136,050$7.14M0.1%−2,595−1.9%ReducedHistory
SYYSysco CorpStock89,208$7.00M0.1%−950−1.1%ReducedHistory
RTXRTX CorpStock76,280$6.56M0.1%+173+0.2%AddedHistory
Vanguard BD Index FDS92203C303VANGUARD ULTRA126,700$6.35M0.1%+31,550+33.2%Added–
Vanguard Ftse Emerging Markets ETF922042858ETF119,158$5.96M0.1%+1,028+0.9%Added–
Industrias Bachoco SAB456463108SPON ADR B132,744$5.87M0.1%+5,587+4.4%Added–
PFEPfizer IncStock134,872$5.80M0.1%+8,305+6.6%AddedHistory
USBUS Bancorp DECOM NEW93,366$5.55M0.1%−840−0.9%ReducedHistory
YUMYum Brands IncStock42,886$5.25M0.1%−850−1.9%ReducedHistory
SPGSimon Property Group Inc.REIT40,285$5.24M0.1%−5,253−11.5%ReducedHistory
QCOMQualcomm IncStock37,278$4.81M0.1%+745+2.0%AddedHistory
AMGNAmgen IncStock22,011$4.68M0.1%+386+1.8%AddedHistory
ISRGIntuitive Surgical IncCOM NEW4,560$4.53M0.1%00.0%UnchangedHistory
MMM3M CoStock22,377$3.92M0.1%−288−1.3%ReducedHistory
Vanguard Information Technology ETF92204A702ETF9,463$3.80M0.1%00.0%Unchanged–
CPCanadian Pacific Kansas City LtdCOM57,980$3.77M0.1%−960−1.6%ReducedHistory
DHRDanaher CorpStock11,922$3.63M0.1%+80+0.7%AddedHistory
INTCIntel CorpStock66,370$3.54M0.1%00.0%UnchangedHistory
SPYSPDR S&P 500 ETF TrustETF7,953$3.41M0.1%−125−1.5%ReducedHistory
Vanguard High Dividend Yield Index ETF921946406ETF32,127$3.32M0.1%+4,559+16.5%Added–
LHLabcorp Holdings Inc.COM NEW11,075$3.12M<0.1%−50−0.4%ReducedHistory
JPMJPMorgan Chase & CoStock17,989$2.94M<0.1%+1,350+8.1%AddedHistory
FDXFedEx CorpStock13,042$2.86M<0.1%−272−2.0%ReducedHistory
BLKBlackRock, Inc.COM3,272$2.74M<0.1%+30+0.9%AddedHistory
RCIRogers Communications IncCL B58,475$2.73M<0.1%+9,505+19.4%AddedHistory
EMREmerson Electric CoStock28,281$2.66M<0.1%−2,625−8.5%ReducedHistory
iShares Tr464287697U.S. UTILITS ETF33,046$2.61M<0.1%00.0%Unchanged–
CSWCSW Industrials, Inc.COM20,346$2.60M<0.1%+440+2.2%AddedHistory
Vanguard Ftse Developed Markets ETF921943858ETF51,435$2.60M<0.1%−200−0.4%Reduced–
ENBEnbridge IncStock62,766$2.50M<0.1%−2,403−3.7%ReducedHistory
TRPTC Energy CorpCOM50,895$2.45M<0.1%−1,739−3.3%ReducedHistory
KSUKansas City SouthernCOM NEW7,733$2.09M<0.1%+30+0.4%AddedHistory
EPDEnterprise Products Partners L.P.Stock96,354$2.08M<0.1%−951−1.0%ReducedHistory
ALSNAllison Transmission Holdings IncStock57,795$2.04M<0.1%+16,895+41.3%AddedHistory
NUANNuance Communications, Inc.COM37,000$2.04M<0.1%00.0%UnchangedHistory
ADPAutomatic Data Processing IncStock9,927$1.99M<0.1%00.0%UnchangedHistory
DEDeere & CoStock5,920$1.98M<0.1%00.0%UnchangedHistory
KMIKinder Morgan, Inc.Stock115,978$1.94M<0.1%−29,290−20.2%ReducedHistory
LLYEli Lilly & CoStock8,334$1.93M<0.1%+977+13.3%AddedHistory

Sold out since Q2 2021 (7)

Positions held at the end of Q2 2021 that are gone from this filing.

Positions of Everett Harris & Co sold out since Q2 2021
SecurityClassShares in Q2 2021Value in Q2 2021% of portfolio in Q2 2021History
STTState Street CorpCOM5,317$437.0K<0.1%History
PKPark Hotels & Resorts Inc.COM19,400$400.0K<0.1%History
MACMacerich CoCOM17,390$317.0K<0.1%History
CICigna GroupStock981$233.0K<0.1%History
HUMHumana IncStock490$217.0K<0.1%History
HUBBHubbell IncCOM1,100$206.0K<0.1%History
iShares Russell 2000 ETF464287655ETF886$203.0K<0.1%–