Wealthbridge Investment Counsel Inc. Portfolio Stock Holdings

According to the SEC 13F filed on July 15, 2026, Wealthbridge Investment Counsel Inc. disclosed 44 stock positions valued at approximately $374.54M as of quarter-end June 30, 2026. The largest holdings include Vanguard FTSE Europe Index, Vanguard FTSE Emerging Markets Index, and Goldman Sachs.

Report Period
June 30, 2026
No. of Stocks
44
Portfolio Value
$374.54M
Holdings by Sector
Wealthbridge Investment Counsel Inc. Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
Vanguard FTSE Europe IndexVGKOther6.52%275,892+350+0.13%$24,427,000
Vanguard FTSE Emerging Markets IndexVWOOther5.59%350,860-210-0.06%$20,943,000
Goldman SachsGSFinancial Services5.44%20,129-708-3.40%$20,358,000
JP Morgan ChaseJPMFinancial Services5.05%57,728-488-0.84%$18,896,000
Micron TechnologyMUTechnology4.35%14,101-4,880-25.71%$16,277,000
CitigroupCFinancial Services4.06%108,679-1,505-1.37%$15,211,000
EatonETNOther4.03%35,410+50+0.14%$15,089,000
Vanguard FTSE Pacific IndexVPLOther3.95%127,975+5,410+4.41%$14,805,000
Amazon.comAMZNConsumer Cyclical3.69%58,046+425+0.74%$13,835,000
VisaVFinancial Services3.68%40,152+300+0.75%$13,776,000
AppleAAPLTechnology3.28%42,401--$12,269,000
Palo Alto NetworksPANWTechnology3.09%33,913+2,745+8.81%$11,565,000
MerckMRKHealthcare2.94%85,640+425+0.50%$11,005,000
Labcorp HoldingsLHHealthcare2.63%35,241+200+0.57%$9,867,000
AbbVieABBVHealthcare2.62%39,036+350+0.90%$9,823,000
MetLifeMETFinancial Services2.54%112,225-6,175-5.22%$9,495,000
FedExFDXIndustrials2.49%29,840+85+0.29%$9,344,000
BoeingBAIndustrials2.21%38,199+1,300+3.52%$8,269,000
StarbucksSBUXConsumer Cyclical2.19%80,383+115+0.14%$8,214,000
Gilead SciencesGILDHealthcare2.15%63,605-200-0.31%$8,036,000
L3Harris TechnologiesLHXIndustrials2.10%27,098+150+0.56%$7,874,000
OracleORCLTechnology2.06%52,745+75+0.14%$7,730,000
MicrosoftMSFTTechnology2.00%20,051+155+0.78%$7,479,000
Thermo Fisher ScientificTMOHealthcare1.72%12,852+275+2.19%$6,443,000
Northrop GrummanNOCIndustrials1.70%12,537+95+0.76%$6,385,000
MedtronicMDTOther1.67%80,090+805+1.02%$6,265,000
Meta PlatformsMETACommunication Services1.55%10,305+1,470+16.64%$5,805,000
Abbott LaboratoriesABTHealthcare1.54%63,655-2,798-4.21%$5,776,000
Owens CorningOCIndustrials1.54%36,185+2,465+7.31%$5,752,000
Walt DisneyDISCommunication Services1.52%59,031-1,790-2.94%$5,682,000
Showing 30 of 44 holdings in the latest reporting period.
Wealthbridge Investment Counsel Inc. Portfolio Stock Holdings | InsiderSet