Boyar Asset Management Inc. Portfolio Stock Holdings

Boyar Asset Management Inc. disclosed 78 stock positions valued at approximately $175.7 million in its latest SEC 13F filing. The largest holdings include MICROSOFT CORP, JPMORGAN CHASE & CO, and AMERIPRISE FINL INC. The filing reflects positions held as of March 31, 2026 and was filed on May 8, 2026.

Report Period
March 31, 2026
No. of Stocks
78
Portfolio Value
$175.7M
Holdings by Sector
Boyar Asset Management Inc. Portfolio Holdings in Q1 2026

78 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
MICROSOFT CORPMSFTTechnology8.73%41,435+677+1.66%$15,338,175
JPMORGAN CHASE & COJPMFinancial Services7.86%46,944+284+0.61%$13,808,912
AMERIPRISE FINL INCAMPFinancial Services4.98%19,706+638+3.35%$8,757,543
HOME DEPOT INCHDConsumer Cyclical4.77%25,506+934+3.80%$8,388,768
MADISON SQUARE GRDN SPRT CORMSGSCommunication Services4.59%25,102+4,184+20.00%$8,067,848
BANK AMERICA CORPBACFinancial Services4.47%161,277+18,711+13.12%$7,862,237
UBER TECHNOLOGIES INCUBERTechnology4.40%107,531+19,269+21.83%$7,734,705
BANK NEW YORK MELLON CORPBKFinancial Services3.21%47,559-873-1.80%$5,641,937
CISCO SYS INCCSCOTechnology2.78%63,060+9,445+17.62%$4,892,821
ALPHABET INCGOOGLCommunication Services2.60%15,906+4,600+40.69%$4,573,987
SPHERE ENTERTAINMENT COSPHRCommunication Services2.48%37,113+3,016+8.85%$4,357,067
MADISON SQUARE GARDEN ENTMTMSGEConsumer Cyclical2.29%68,337+18,638+37.50%$4,025,733
JOHNSON & JOHNSONJNJHealthcare2.27%16,306-100-0.61%$3,985,827
MEDTRONIC PLCMDTOther2.21%44,844+38,649+623.87%$3,885,733
ATLANTA BRAVES HLDGS INCBATRKCommunication Services1.90%78,101+27,681+54.90%$3,334,913
COMCAST CORP NEWCMCSACommunication Services1.68%102,562+19,062+22.83%$2,944,558
DISNEY WALT CODISCommunication Services1.62%29,577-323-1.08%$2,850,661
PFIZER INCPFEHealthcare1.59%99,212+8,266+9.09%$2,785,887
MARRIOTT INTL INC NEWMARConsumer Cyclical1.51%8,132--$2,659,760
MONDELEZ INTL INCMDLZConsumer Defensive1.47%44,762-100-0.22%$2,580,104
SCOTTS MIRACLE-GRO COSMGBasic Materials1.39%40,189+11,414+39.67%$2,443,908
MUELLER WTR PRODS INCMWAIndustrials1.29%82,256+23,722+40.53%$2,261,220
MARKEL GROUP INCMKLFinancial Services1.26%1,154+442+62.08%$2,208,837
CALLAWAY GOLF COMODGConsumer Cyclical1.19%151,183+42,738+39.41%$2,098,417
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services1.17%4,274+2,431+131.90%$2,048,101
SS&C TECH HLDGSSSNCTechnology1.00%25,983+7,137+37.87%$1,755,694
CITIGROUP INCCFinancial Services0.95%14,731-1,075-6.80%$1,670,673
MCDONALDS CORPMCDConsumer Cyclical0.90%5,108-167-3.17%$1,587,515
GLOBAL PMTS INCGPNIndustrials0.90%23,566+11,590+96.78%$1,585,967
COCA COLA COKOConsumer Defensive0.85%19,614-616-3.04%$1,491,657
UNITED PARCEL SVCS INCUPSIndustrials0.83%14,912-66-0.44%$1,467,033
SALESFORCE INCCRMTechnology0.82%7,694+7,694+100.00%$1,436,239
SYSCO CORPSYYConsumer Defensive0.79%19,556-493-2.46%$1,394,943
MERCK & CO INCMRKHealthcare0.76%11,038+4,949+81.28%$1,327,791
CHUBB LTD SWITZCBFinancial Services0.76%4,072+1,824+81.14%$1,327,198
AMERICAN EXPRESS COAXPFinancial Services0.73%4,251-7-0.16%$1,285,895
HOWARD HUGHES HOLDINGS INCHHHReal Estate0.72%20,095+9,616+91.76%$1,271,210
WASTE MGMT INC DELWMIndustrials0.72%5,488-423-7.16%$1,261,093
KENVUE INCKVUEConsumer Defensive0.70%71,620-3,721-4.94%$1,234,731
GENERAL DYNAMICS CORPGDIndustrials0.65%3,340+2,085+166.14%$1,146,355
BROADRIDGE FINL SOLUTIONS INBRTechnology0.65%7,053--$1,146,010
CVS HEALTH CORPCVSHealthcare0.64%15,758-1,403-8.18%$1,131,765
IAC INCIACCommunication Services0.64%28,175+15,194+117.05%$1,127,845
COOPER COS INCCOOHealthcare0.64%15,718+7,661+95.09%$1,123,837
ACUSHNET HLDGS CORPGOLFConsumer Cyclical0.58%10,877-620-5.39%$1,016,782
BRISTOL-MYERS SQUIBB COBMYHealthcare0.57%16,532-37-0.22%$1,002,689
RESTAURANT BRANDS INTL INCQSRConsumer Cyclical0.55%13,173+13,173+100.00%$973,485
TARGET CORPTGTConsumer Defensive0.53%7,628-146-1.88%$924,467
LABCORP HOLDINGS INCLHHealthcare0.52%3,412-286-7.73%$910,356
NEWS CORP NEWNWSACommunication Services0.52%36,458+21,047+136.57%$908,898
TRIPADVISOR INCTRIPConsumer Cyclical0.51%84,781+22,436+35.99%$903,765
MATCH GROUP INC NEWMTCHCommunication Services0.50%28,343-4,193-12.89%$870,414
MGM RESORTS INTERNATIONALMGMConsumer Cyclical0.46%21,854+1,515+7.45%$808,817
GE HEALTHCARE TECHNOLOGIES IGEHCHealthcare0.46%11,361+5,896+107.89%$808,654
APPLE INCAAPLTechnology0.44%3,071--$779,389
INTEL CORPINTCTechnology0.43%17,240-929-5.11%$760,782
EBAY INC.EBAYConsumer Cyclical0.42%8,054+1+0.01%$733,099
LIBERTY MEDIA CORP DELFWONACommunication Services0.41%9,334+1,071+12.96%$728,799
KNIFE RIVER CORPKNFBasic Materials0.41%8,858+8,858+100.00%$723,256
CORNING INCGLWTechnology0.40%5,195-2,802-35.04%$706,364
GXO LOGISTICS INCORPORATEDGXOIndustrials0.35%11,849+7,823+194.31%$614,371
VERIZON COMMUNICATIONS INCVZCommunication Services0.35%12,141+2,400+24.64%$609,475
ALPHABET INCGOOGCommunication Services0.32%1,954-46-2.30%$560,524
CULLEN FROST BANKERS INCCFRFinancial Services0.30%3,892+3,892+100.00%$533,515
AIRBNB INCABNBConsumer Cyclical0.29%4,074+4,074+100.00%$514,465
TOWNSQUARE MEDIA INCTSQCommunication Services0.27%86,773+49,954+135.67%$471,177
CARRIER GLOBAL CORPORATIONCARRIndustrials0.27%8,325+8,325+100.00%$468,781
LOEWS CORPLFinancial Services0.26%4,246-410-8.81%$453,218
NASDAQ INCNDAQFinancial Services0.24%4,896--$415,621
INTERNATIONAL BUSINESS MACHSIBMTechnology0.23%1,641--$397,837
KLA CORPKLACTechnology0.22%265--$390,189
SOUTHERN COSOUtilities0.15%2,765--$266,878
SCHWAB CHARLES CORPSCHWFinancial Services0.15%2,805-100-3.44%$263,614
AMERICAN INTL GROUP INCAIGFinancial Services0.15%3,447--$259,387
WATSCO INCWSOIndustrials0.12%583+583+100.00%$212,090
KIMBERLY-CLARK CORPKMBConsumer Defensive0.12%2,150--$207,410
WENDYS COWENConsumer Cyclical0.10%25,742-116-0.45%$178,910
CONDUENT INCCNDTTechnology0.02%25,481-122-0.48%$32,616