Hall Capital Management Co Inc
Institutional manager — quarterly 13F holdings, Q ending 2026-03-31
Reported value
$279.8M
Q ending 2026-03-31
Prior quarter
$259.1M
Q ending 2025-12-31
Change
+8.0% QoQ · +29.6% YoY
Positions
107
reported holdings
Largest positions
Top 100 of 107 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 |
|---|---|---|---|---|
| Vanguard Intl Equity Index F | VEU | Shares | $22.4M | 277K |
| Vanguard Scottsdale Fds | VCIT | Shares | $21.0M | 254K |
| Microsoft Corp | MSFT | Shares | $15.2M | 37K |
| Ishares Tr | IGSB | Shares | $14.2M | 269K |
| Vanguard Index Fds | VO | Shares | $13.3M | 172K |
| Apple Inc | AAPL | Shares | $13.1M | 48K |
| Jpmorgan Chase & Co | JPM | Shares | $9.2M | 29K |
| Alphabet Inc | GOOGL | Shares | $9.1M | 24K |
| Janus Detroit Str Tr | JAAA | Shares | $8.7M | 173K |
| Walmart Inc | WMT | Shares | $8.4M | 64K |
| Johnson & Johnson | JNJ | Shares | $6.3M | 27K |
| Costco Wholesale Corporation | COST | Shares | $6.1M | 6K |
| Select Sector Spdr Tr | XLE | Shares | $6.0M | 101K |
| Vaneck Etf Trust | SMH | Shares | $5.7M | 11K |
| Waste Mgmt Inc Del | WM | Shares | $4.7M | 20K |
| Amazon Com Inc | AMZN | Shares | $4.4M | 16K |
| Pepsico Inc | PEP | Shares | $4.3M | 27K |
| Union Pac Corp | UNP | Shares | $4.1M | 15K |
| Digital Rlty Tr Inc | DLR | Shares | $3.8M | 19K |
| Ishares Tr | HYG | Shares | $3.6M | 45K |
| Mcdonalds Corp | MCD | Shares | $3.5M | 12K |
| Vanguard Specialized Funds | VIG | Shares | $3.5M | 15K |
| Automatic Data Processing In | ADP | Shares | $3.4M | 16K |
| Visa Inc | V | Shares | $3.4M | 10K |
| Duke Energy Corp New | DUK | Shares | $3.3M | 26K |
| Abbvie Inc | ABBV | Shares | $3.3M | 16K |
| Home Depot Inc | HD | Shares | $2.9M | 9K |
| Lockheed Martin Corp | LMT | Shares | $2.9M | 6K |
| Nextera Energy Inc | NEE | Shares | $2.9M | 29K |
| Honeywell Intl Inc | HONGBP | Shares | $2.7M | 12K |
| Oracle Corp | ORCL | Shares | $2.6M | 16K |
| Nvidia Corporation | NVDA | Shares | $2.6M | 13K |
| Tjx Cos Inc New | TJX | Shares | $2.5M | 16K |
| Abbott Laboratories | ABT | Shares | $2.5M | 28K |
| Select Sector Spdr Tr | XLF | Shares | $2.4M | 46K |
| Meta Platforms Inc | META | Shares | $2.3M | 4K |
| American Express Co | AXP | Shares | $2.3M | 7K |
| Berkshire Hathaway Inc Del | BRK/B | Shares | $2.2M | 5K |
| Emerson Elec Co | EMR | Shares | $2.1M | 15K |
| Vanguard Index Fds | VNQ | Shares | $2.0M | 20K |
| Vanguard Index Fds | VB | Shares | $1.8M | 6K |
| Broadcom Inc | AVGO | Shares | $1.8M | 4K |
| Coca Cola Co | KO | Shares | $1.7M | 22K |
| Procter & Gamble Co | PG | Shares | $1.7M | 12K |
| Intuitive Surgical Inc | ISRG | Shares | $1.7M | 4K |
| Blackstone Inc | BX | Shares | $1.5M | 12K |
| Vanguard World Fd | VCR | Shares | $1.4M | 4K |
| Bristol-Myers Squibb Co | BMY | Shares | $1.4M | 24K |
| Vanguard Index Fds | VBR | Shares | $1.4M | 6K |
| Eli Lilly & Co | LLY | Shares | $1.2M | 1K |
| Vanguard Index Fds | VOO | Shares | $1.0M | 2K |
| State Str Spdr S&P 500 Etf T | SPY | Shares | $986K | 1K |
| Price T Rowe Group Inc | TROW | Shares | $958K | 9K |
| Alphabet Inc | GOOG | Shares | $895K | 2K |
| Bank America Corp | BAC | Shares | $854K | 16K |
| Profesionally Managed Portfo | AKRE | Shares | $787K | 14K |
| Tesla Inc | TSLA | Shares | $746K | 2K |
| Berkshire Hathaway Inc Del | BRK/A | Shares | $712K | 1 |
| Vanguard Index Fds | VTV | Shares | $704K | 3K |
| Stryker Corporation | SYK | Shares | $603K | 2K |
| Thermo Fisher Scientific Inc | TMO | Shares | $570K | 1K |
| Caterpillar Inc | CAT | Shares | $546K | 613 |
| Fidelity Covington Trust | FDIS | Shares | $525K | 5K |
| Paychex Inc | PAYX | Shares | $519K | 6K |
| Cameco Corp | CCJ | Shares | $487K | 4K |
| Yum Brands Inc | YUM | Shares | $477K | 3K |
| Intel Corp | INTC | Shares | $476K | 5K |
| Disney Walt Co | DIS | Shares | $472K | 5K |
| Merck & Co Inc | MRK | Shares | $470K | 4K |
| Select Sector Spdr Tr | XLK | Shares | $470K | 3K |
| Schwab Strategic Tr | SCHG | Shares | $468K | 14K |
| Morgan Stanley | MS | Shares | $443K | 2K |
| Boston Scientific Corp | BSX | Shares | $435K | 8K |
| Wisdomtree Tr | DGRW | Shares | $427K | 5K |
| Southern Co | SO | Shares | $427K | 4K |
| Norfolk Southn Corp | NSC | Shares | $415K | 1K |
| Analog Devices Inc | ADI | Shares | $402K | 1K |
| Blackrock Inc | BLK | Shares | $391K | 367 |
| Invesco Exch Traded Fd Tr Ii | RWJ | Shares | $375K | 7K |
| Starbucks Corp | SBUX | Shares | $368K | 3K |
| Crowdstrike Hldgs Inc | CRWD | Shares | $357K | 800 |
| Flexshares Tr | ESGG | Shares | $355K | 2K |
| Ge Vernova Inc | GEV | Shares | $354K | 327 |
| Medtronic Plc | Shares | $349K | 4K | |
| Hershey Co | HSY | Shares | $348K | 2K |
| Citizens Finl Group Inc | CFG | Shares | $331K | 5K |
| Ge Aerospace | GE | Shares | $325K | 1K |
| Lowes Cos Inc | LOW | Shares | $318K | 1K |
| 3M Co | MMM | Shares | $317K | 2K |
| Kimberly-Clark Corp | KMB | Shares | $310K | 3K |
| Chevron Corporation | CVX | Shares | $310K | 2K |
| Palo Alto Networks Inc | PANW | Shares | $300K | 2K |
| Novartis Ag | NVS | Shares | $293K | 2K |
| Mondelez Intl Inc | MDLZ | Shares | $293K | 5K |
| Spdr Series Trust | SDY | Shares | $285K | 2K |
| Netflix Inc. | NFLX | Shares | $284K | 3K |
| Darden Restaurants Inc | DRI | Shares | $283K | 1K |
| State Str Spdr Dow Jones Ind | DIA | Shares | $279K | 562 |
| Ishares Tr | IJH | Shares | $273K | 4K |
| Goldman Sachs Group Inc | GS | Shares | $256K | 277 |
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.