Private Capital Advisors, Inc. Portfolio Stock Holdings

Private Capital Advisors, Inc. disclosed 73 stock positions valued at approximately $872.0 million in its latest SEC 13F filing. The largest holdings include LILLY ELI & CO COM, APPLE INC, and ENERGY TRANSFER L P COM UNIT L. The filing reflects positions held as of March 31, 2026 and was filed on May 12, 2026.

Report Period
March 31, 2026
No. of Stocks
73
Portfolio Value
$872.0M
Holdings by Sector
Private Capital Advisors, Inc. Portfolio Holdings in Q1 2026

53 holdings in the latest reporting period.

Page 1 of 1
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
LILLY ELI & CO COMLLYHealthcare42.82%405,955-21,548-5.04%$373,385,230
APPLE INCAAPLTechnology7.76%266,769+1,201+0.45%$67,703,305
ENERGY TRANSFER L P COM UNIT LETEnergy3.29%1,485,158+650,058+77.84%$28,663,549
PALO ALTO NETWORKS INCPANWTechnology2.55%138,449+491+0.36%$22,196,144
ENTERPRISE PRODS PART LPEPDEnergy2.30%529,184+800+0.15%$20,024,323
WILLIAMS COS INCWMBEnergy2.10%251,908+960+0.38%$18,333,864
CACI INTL INC CLASS CLASS ACACITechnology2.03%32,505-53-0.16%$17,678,494
AMAZON.COM INCAMZNConsumer Cyclical1.80%75,367+739+0.99%$15,696,685
MPLX LPMPLXEnergy1.69%257,752+1,000+0.39%$14,709,907
NORTHROP GRUMMAN CORP COMNOCIndustrials1.60%20,402-16-0.08%$13,919,060
THERMO FISHER SCIENTIFICTMOHealthcare1.57%27,904+145+0.52%$13,715,653
UNION PAC CORPUNPIndustrials1.51%54,350+10+0.02%$13,186,397
ABBVIE INC COMABBVHealthcare1.39%55,904--$12,158,561
LOCKHEED MARTIN CORP COMLMTIndustrials1.33%19,156-47-0.24%$11,577,695
BLACKSTONE INC COMBXFinancial Services1.03%78,047-1,397-1.76%$8,974,625
ALPHABET INC CAP STK CL CGOOGCommunication Services0.99%30,133--$8,643,952
REGAL REXNORD CORPRRXIndustrials0.87%40,549-1,468-3.49%$7,593,206
EXXON MOBIL CORP COMXOMEnergy0.54%27,815--$4,719,093
CHEVRON CORP NEW COMCVXEnergy0.39%16,285--$3,369,366
PARKER-HANNIFIN CORP COMPHIndustrials0.38%3,727--$3,336,559
CANADIAN NATL RY CO COM ISIN#CCNIIndustrials0.38%31,878-200-0.62%$3,276,102
STATE STR SPDR S&P 500 ETF TRSPYOther0.32%4,322-1,459-25.24%$2,810,769
PTC THERAPEUTICS INC COMPTCTHealthcare0.30%38,983+9,870+33.90%$2,655,912
ISHARES TR SELECT DIVID ETF FDDVYOther0.24%13,975--$2,115,955
MICROSOFT CORPMSFTTechnology0.23%5,329+980+22.53%$1,972,636
INTUIT COMINTUTechnology0.21%4,300--$1,859,234
OMNICOM GROUP INC COMOMCCommunication Services0.14%16,000--$1,204,960
EDWARDS LIFESCIENCES CORP COMEWHealthcare0.12%13,200--$1,057,056
COCA COLA CO COMKOConsumer Defensive0.09%10,811--$822,177
JOHNSON & JOHNSON COMJNJHealthcare0.09%3,301--$806,896
GRAYSCALE ETHEREUM TR ETF SHSETHEOther0.09%45,611+23,000+101.72%$778,580
IMMUNOME INC COMIMNMHealthcare0.09%34,082+10,542+44.78%$745,373
GRAYSCALE BITCOIN TR ETF SHSGBTCOther0.08%13,998+13,998+100.00%$738,534
GOLDMAN SACHS GROUP INC COMGSFinancial Services0.08%860--$727,551
CANADIAN PACIFIC KANSAS CITYCPIndustrials0.08%9,000--$707,940
BERKSHIRE HATHAWAY INC DEL CLBRK-BFinancial Services0.07%1,316--$630,627
GLOBAL X FDS MLP & ENERGY INFRMLPXOther0.07%8,500--$628,490
BROADCOM INC COMAVGOTechnology0.06%1,618+1,618+100.00%$500,787
SPDR GOLD TR GOLD SHSGLDOther0.06%1,143+490+75.04%$491,821
SELECT SECTOR SPDR TR STATE STXLKOther0.06%3,626--$481,895
CROWDSTRIKE HLDGS INC CL ACRWDTechnology0.05%1,142+1,142+100.00%$445,848
FIRST CTZNS BANCSHARES INC CLFCNCAFinancial Services0.04%197--$371,278
VANGUARD INDEX FDS S&P 500 ETFVOOOther0.04%535--$319,689
SOUTHERN CO COMSOUtilities0.04%3,200--$308,864
BEONE MEDICINES LTD ADRBGNEHealthcare0.03%999+999+100.00%$296,673
JPMORGAN CHASE & CO COMJPMFinancial Services0.03%1,007-450-30.89%$296,219
ROBINHOOD MKTS INC COM CL AHOODFinancial Services0.03%4,251+4,251+100.00%$294,594
AMERICAN ELEC PWR CO INC COMAEPUtilities0.03%2,241--$293,750
REGENERON PHARMACEUTICALS INCREGNHealthcare0.03%350--$270,424
ADVANCED MICRO DEVICES INCAMDTechnology0.03%1,126+1,126+100.00%$229,062
IMMUNITYBIO INC COMIBRXHealthcare0.02%26,978+26,978+100.00%$206,921
LADDER CAP CORP CL ALADRReal Estate0.02%18,098--$176,817
CIPHER MNG INC COMCIFRFinancial Services0.01%10,000--$128,700