Harrington Investments, Inc Portfolio Stock Holdings

Harrington Investments, Inc disclosed 84 stock positions valued at approximately $190.0 million in its latest SEC 13F filing. The largest holdings include APPLE INC, MICROSOFT CORP, and ALPHABET INC. The filing reflects positions held as of March 31, 2026 and was filed on April 13, 2026.

Report Period
March 31, 2026
No. of Stocks
84
Portfolio Value
$190.0M
Holdings by Sector
Harrington Investments, Inc Portfolio Holdings in Q1 2026

84 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
APPLE INCAAPLTechnology7.99%59,801-617-1.02%$15,176,813
MICROSOFT CORPMSFTTechnology5.17%26,558+24+0.09%$9,831,151
ALPHABET INCGOOGLCommunication Services4.61%30,435-303-0.99%$8,752,028
ALPHABET INCGOOGCommunication Services3.85%25,520-296-1.15%$7,320,667
NETFLIX INC.NFLXCommunication Services3.34%66,070-875-1.31%$6,352,631
AMAZON COM INCAMZNConsumer Cyclical2.85%25,987-120-0.46%$5,412,312
SCHWAB CHARLES CORPSCHWFinancial Services2.81%56,755+98+0.17%$5,333,835
ORACLE CORPORCLTechnology2.76%35,594+319+0.90%$5,236,233
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive2.74%5,225-11-0.21%$5,206,347
TJX COS INC NEWTJXConsumer Cyclical2.59%30,784-135-0.44%$4,916,205
THERMO FISHER SCIENTIFIC INCTMOHealthcare2.52%9,748+100+1.04%$4,791,434
MARSH & MCLENNAN COS INCMMCFinancial Services2.36%25,816+835+3.34%$4,477,785
SCHWAB STRATEGIC TRSCHOOther2.33%182,594+824+0.45%$4,431,556
AMGEN INCAMGNHealthcare1.92%10,369+136+1.33%$3,648,333
STARBUCKS CORPSBUXConsumer Cyclical1.75%37,025+280+0.76%$3,317,070
INTEL CORPINTCTechnology1.71%73,572-1,300-1.74%$3,246,743
EBAY INC.EBAYConsumer Cyclical1.67%34,773+691+2.03%$3,165,023
AMALGAMATED FINANCIAL CORPAMALFinancial Services1.65%80,860-700-0.86%$3,143,028
CONSOLIDATED EDISON INCEDUtilities1.64%27,588-70-0.25%$3,122,410
QUALCOMM INCQCOMTechnology1.59%23,402+190+0.82%$3,013,710
CHURCH & DWIGHT CO INCCHDConsumer Defensive1.56%31,685-945-2.90%$2,956,844
ILLINOIS TOOL WKS INCITWIndustrials1.53%11,205+109+0.98%$2,916,549
STRYKER CORPORATIONSYKHealthcare1.49%8,635+284+3.40%$2,837,375
GILEAD SCIENCES INCGILDHealthcare1.43%19,475+10+0.05%$2,714,231
DEERE & CODEIndustrials1.41%4,764-41-0.85%$2,683,561
XYLEM INCXYLIndustrials1.41%22,377+5+0.02%$2,674,102
EMERSON ELEC COEMRIndustrials1.35%19,649+135+0.69%$2,574,412
DIGITAL RLTY TR INCDLRReal Estate1.31%13,825+177+1.30%$2,491,393
ECOLAB INCECLBasic Materials1.31%9,358+10+0.11%$2,489,543
FIRST SOLAR INCFSLRTechnology1.28%12,376-75-0.60%$2,441,290
NVIDIA CORPORATIONNVDATechnology1.28%13,963+1,995+16.67%$2,435,147
ASML HLDG NVASMLOther1.24%1,784+65+3.78%$2,356,361
JOHNSON CONTROLS INTERNATIONJCIIndustrials1.11%16,114-60-0.37%$2,110,128
ADVANCED MICRO DEVICES INCAMDTechnology1.09%10,190+1,270+14.24%$2,072,952
CANADIAN NATL RY COCNIIndustrials1.07%19,843-295-1.46%$2,039,265
PROLOGIS INC.PLDReal Estate1.03%14,747-347-2.30%$1,949,258
MASTERCARD INCORPORATEDMAFinancial Services1.00%3,793+102+2.76%$1,895,210
GRAHAM HLDGS COGHCConsumer Defensive0.99%1,775-15-0.84%$1,877,018
SYSCO CORPSYYConsumer Defensive0.95%25,435+435+1.74%$1,814,279
SPDR GOLD TRGLDOther0.95%4,191-95-2.22%$1,803,345
VERIZON COMMUNICATIONS INCVZCommunication Services0.95%35,776+11+0.03%$1,795,966
WW GRAINGER INCGWWIndustrials0.94%1,634--$1,782,384
BANK HAWAII CORPBOHFinancial Services0.86%21,950+1,300+6.30%$1,629,788
PROCTER & GAMBLE COPGConsumer Defensive0.78%10,272-30-0.29%$1,483,688
INTUITINTUTechnology0.76%3,350-1,459-30.34%$1,448,259
MEDTRONIC PLCMDTOther0.69%15,173-65-0.43%$1,314,740
PAYPAL HLDGS INCPYPLFinancial Services0.69%28,992-28-0.10%$1,311,330
ZOOM COMMUNICATIONS INCZMTechnology0.68%16,059-115-0.71%$1,290,983
NOVO-NORDISK A SNVOHealthcare0.59%30,319+3,400+12.63%$1,114,223
KEYCORPKEYFinancial Services0.57%54,191+3,400+6.69%$1,086,530
VEEVA SYS INCVEEVHealthcare0.55%6,002-580-8.81%$1,054,311
SHOPIFY INCSHOPTechnology0.54%8,582+2,180+34.05%$1,017,997
ORMAT TECHNOLOGIES INCORAUtilities0.49%8,326-115-1.36%$931,846
HOLOGIC INCHOLXHealthcare0.48%12,154-1,500-10.99%$918,721
DARLING INGREDIENTS INCDARConsumer Defensive0.48%14,819-1,700-10.29%$916,555
INTUITIVE SURGICAL INCISRGHealthcare0.48%1,975-30-1.50%$910,455
HONDA MOTOR CO LTDHMCConsumer Cyclical0.46%35,788+1,265+3.66%$870,006
UNITED PARCEL SVCS INCUPSIndustrials0.43%8,304+675+8.85%$816,948
JPMORGAN CHASE & COJPMFinancial Services0.43%2,747-17-0.62%$808,058
BERKSHIRE HATHAWAY INC DELBRK-AFinancial Services0.38%1--$718,140
AIR PRODUCTS AND CHEMICALS IAPDBasic Materials0.38%2,469-1,137-31.53%$717,220
KONINKLIJKE PHILIPS N VPHGHealthcare0.34%23,408--$641,379
WARNER BROS DISCOVERY INCWBDCommunication Services0.34%23,296-7,589-24.57%$639,708
SHERWIN WILLIAMS COSHWBasic Materials0.32%1,898+212+12.57%$608,404
TARGET CORPTGTConsumer Defensive0.31%4,793-40-0.83%$580,912
HA SUSTAINABLE INFRA CAP INCHASIReal Estate0.29%15,148+1,000+7.07%$556,689
HEALTHPEAK PROPERTIES INCDOCReal Estate0.29%33,421-3,960-10.59%$549,107
BROADCOM INCAVGOTechnology0.26%1,610-105-6.12%$498,311
ANALOG DEVICES INCADITechnology0.25%1,498-10-0.66%$476,574
ISHARES TRIWMOther0.21%1,610--$399,280
TRANE TECHNOLOGIES PLCTTOther0.20%910--$379,233
PACKAGING CORP AMERPKGConsumer Cyclical0.20%1,765+465+35.77%$374,568
ISHARES GOLD TRIAUOther0.18%3,843--$338,799
ISHARES INCIEMGOther0.17%4,632--$323,082
VANGUARD TAX-MANAGED FDSVEAOther0.17%5,000--$320,400
NUSHARES ETF TRNUSCOther0.17%7,104-400-5.33%$320,106
TREX INCTREXIndustrials0.16%8,217+1,000+13.86%$299,263
CHUBB LTD SWITZCBFinancial Services0.15%901-17-1.85%$293,663
VISA INCVFinancial Services0.15%954-90-8.62%$288,337
FAIR ISAAC CORPFICOTechnology0.13%239-60-20.07%$255,142
T-MOBILE US INCTMUSCommunication Services0.13%1,189-24-1.98%$249,726
VANGUARD SCOTTSDALE FDSVCSHOther0.13%3,000--$237,810
SANOFI SASNYHealthcare0.12%4,657--$224,374
MERCK & CO INCMRKHealthcare0.11%1,723+1,723+100.00%$207,260