Amalgamated Bank
Institutional manager — quarterly 13F holdings, Q ending 2026-03-31
Reported value
$13.1M
Q ending 2026-03-31
Prior quarter
$13.9M
Q ending 2025-12-31
Change
-5.7% QoQ · +11.8% YoY
Positions
1,618
reported holdings
Largest positions
Top 100 of 1,618 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
| Holding | Ticker | Type | Value ▼ | Shares |
|---|---|---|---|---|
| Nvidia Corporation | NVDA | Shares | $866K | 5.0M |
| Apple Inc | AAPL | Shares | $768K | 3.0M |
| Microsoft Corp | MSFT | Shares | $570K | 1.5M |
| Amazon Com Inc | AMZN | Shares | $404K | 1.9M |
| Alphabet Inc Class A | GOOGL | Shares | $336K | 1.2M |
| Broadcom Inc | AVGO | Shares | $302K | 976K |
| Alphabet Inc Cap Stk Cl C | GOOG | Shares | $270K | 942K |
| Meta Platforms Inc Cl A | META | Shares | $255K | 446K |
| Tesla Inc | TSLA | Shares | $217K | 583K |
| Berkshire Hathaway Inc Cl-B | BRK/B | Shares | $162K | 337K |
| Eli Lilly Co | LLY | Shares | $154K | 167K |
| Jpmorgan Chase Co. | JPM | Shares | $144K | 490K |
| Exxon Mobil Corp | XOM | Shares | $134K | 789K |
| Johnson Johnson | JNJ | Shares | $109K | 445K |
| Visa Inc Com Cl A | V | Shares | $107K | 354K |
| Walmart Inc | WMT | Shares | $101K | 815K |
| Costco Whsl Corp New | COST | Shares | $93K | 94K |
| Netflix Inc. | NFLX | Shares | $86K | 891K |
| Mastercard Inc-Class A | MA | Shares | $85K | 170K |
| Abbvie Inc Com | ABBV | Shares | $81K | 374K |
| Micron Technology Inc | MU | Shares | $78K | 231K |
| Chevron Corp New | CVX | Shares | $74K | 355K |
| Palantir Technologies Inc Cl A | PLTR | Shares | $70K | 481K |
| The Home Depot Inc. | HD | Shares | $67K | 202K |
| Advanced Micro Devices Inc | AMD | Shares | $66K | 325K |
| Caterpillar Inc Com | CAT | Shares | $63K | 90K |
| Ge Aerospace Com New | GE | Shares | $63K | 221K |
| Procter Gamble Co | PG | Shares | $61K | 423K |
| Bank Of America Corp | BAC | Shares | $59K | 1.2M |
| Lam Research Corp Com New | LRCX | Shares | $59K | 277K |
| Coca Cola Co | KO | Shares | $58K | 761K |
| Cisco Systems Inc | CSCO | Shares | $57K | 732K |
| Merck Co Inc | MRK | Shares | $55K | 459K |
| Applied Materials Inc | AMAT | Shares | $55K | 160K |
| Oracle Corp | ORCL | Shares | $52K | 357K |
| Ge Vernova Inc Com | GEV | Shares | $50K | 58K |
| Philip Morris Intl Inc Com | PM | Shares | $48K | 290K |
| Rtx Corporation Com | RTX | Shares | $48K | 247K |
| Goldman Sachs Group Inc Com | GS | Shares | $46K | 55K |
| Wells Fargo Co | WFC | Shares | $45K | 569K |
| Unitedhealth Group Inc | UNH | Shares | $44K | 164K |
| Kla Corp | KLAC | Shares | $42K | 29K |
| Linde Plc Shs Com | Shares | $42K | 85K | |
| International Business Machs | IBM | Shares | $42K | 172K |
| Mcdonald'S Corp. | MCD | Shares | $41K | 131K |
| Verizon Communications Inc | VZ | Shares | $40K | 804K |
| Pepsico Inc | PEP | Shares | $40K | 256K |
| Att Inc | T | Shares | $40K | 1.4M |
| Amgen Inc | AMGN | Shares | $39K | 111K |
| Citigroup Inc Com New | C | Shares | $37K | 327K |
| Intel Corporation | INTC | Shares | $37K | 834K |
| Morgan Stanley Com New | MS | Shares | $37K | 223K |
| Nextera Energy Inc | NEE | Shares | $36K | 386K |
| Tjx Companies Inc | TJX | Shares | $36K | 223K |
| Intuitive Surgical Inc | ISRG | Shares | $34K | 74K |
| Texas Instruments Inc. | TXN | Shares | $34K | 175K |
| Thermo Fisher Scientific Inc Com | TMO | Shares | $34K | 68K |
| Uber Technologies Inc | UBER | Shares | $33K | 464K |
| Gilead Sciences Inc | GILD | Shares | $33K | 239K |
| Abbott Laboratories | ABT | Shares | $33K | 321K |
| Amphenol Corporation Class A | APH | Shares | $33K | 260K |
| Salesforce Inc Com | CRM | Shares | $32K | 171K |
| American Express Co. | AXP | Shares | $32K | 104K |
| Walt Disney Co/The | DIS | Shares | $31K | 325K |
| Conocophillips | COP | Shares | $30K | 227K |
| Pfizer Inc Com | PFE | Shares | $29K | 1.0M |
| The Charles Schwab Corporation | SCHW | Shares | $29K | 308K |
| The Boeing Company | BA | Shares | $29K | 143K |
| Booking Holdings Inc | BKNG | Shares | $29K | 7K |
| Mckesson Corporation | MCK | Shares | $28K | 33K |
| Analog Devices Inc Com | ADI | Shares | $28K | 89K |
| Palo Alto Networks Inc | PANW | Shares | $27K | 169K |
| Qualcomm Inc | QCOM | Shares | $27K | 208K |
| Union Pacific Corp. | UNP | Shares | $27K | 110K |
| Arista Networks Inc Com Shs | ANET | Shares | $27K | 217K |
| Honeywell Intl Inc | HONGBP | Shares | $26K | 115K |
| Deere Company | DE | Shares | $26K | 46K |
| Blackrock Inc Com | BLK | Shares | $26K | 27K |
| Eaton Corp Plc Shs Com | Shares | $25K | 71K | |
| Intuit Inc | INTU | Shares | $25K | 58K |
| Welltower Inc Com | WELL | Shares | $25K | 126K |
| Lowe'S Cos Inc | LOW | Shares | $24K | 103K |
| Vertex Pharmaceuticals Inc | VRTX | Shares | $24K | 53K |
| Lockheed Martin Corp | LMT | Shares | $24K | 39K |
| Newmont Corporation | NEM | Shares | $24K | 218K |
| Sp Global Inc Com | SPGI | Shares | $23K | 55K |
| Bristol-Myers Squibb Co | BMY | Shares | $23K | 379K |
| Servicenow Inc | NOW | Shares | $23K | 219K |
| Applovin Corp Com Cl A | APP | Shares | $23K | 57K |
| Chubb Limited Com | Shares | $23K | 69K | |
| Prologis Inc | PLD | Shares | $22K | 170K |
| Altria Group Inc | MO | Shares | $22K | 337K |
| Accenture Plc Class A | Shares | $22K | 111K | |
| Progressive Corp | PGR | Shares | $22K | 110K |
| Capital One Financial Corp | COF | Shares | $22K | 119K |
| Danaher Corporation Com | DHR | Shares | $22K | 114K |
| Stryker Corporation | SYK | Shares | $21K | 65K |
| Cvs Health Corp Com | CVS | Shares | $21K | 296K |
| Parker Hannifin Corp. | PH | Shares | $21K | 23K |
| Adobe Inc | ADBE | Shares | $21K | 86K |
Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.