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
| Company | Symbol | Sector | Portfolio % | Shares | Change (Shares) | Change % | Value |
|---|---|---|---|---|---|---|---|
| Vanguard FTSE Europe Index | VGK | Other | 6.52% | 275,892 | +350 | +0.13% | $24,427,000 |
| Vanguard FTSE Emerging Markets Index | VWO | Other | 5.59% | 350,860 | -210 | -0.06% | $20,943,000 |
| Goldman Sachs | GS | Financial Services | 5.44% | 20,129 | -708 | -3.40% | $20,358,000 |
| JP Morgan Chase | JPM | Financial Services | 5.05% | 57,728 | -488 | -0.84% | $18,896,000 |
| Micron Technology | MU | Technology | 4.35% | 14,101 | -4,880 | -25.71% | $16,277,000 |
| Citigroup | C | Financial Services | 4.06% | 108,679 | -1,505 | -1.37% | $15,211,000 |
| Eaton | ETN | Other | 4.03% | 35,410 | +50 | +0.14% | $15,089,000 |
| Vanguard FTSE Pacific Index | VPL | Other | 3.95% | 127,975 | +5,410 | +4.41% | $14,805,000 |
| Amazon.com | AMZN | Consumer Cyclical | 3.69% | 58,046 | +425 | +0.74% | $13,835,000 |
| Visa | V | Financial Services | 3.68% | 40,152 | +300 | +0.75% | $13,776,000 |
| Apple | AAPL | Technology | 3.28% | 42,401 | - | - | $12,269,000 |
| Palo Alto Networks | PANW | Technology | 3.09% | 33,913 | +2,745 | +8.81% | $11,565,000 |
| Merck | MRK | Healthcare | 2.94% | 85,640 | +425 | +0.50% | $11,005,000 |
| Labcorp Holdings | LH | Healthcare | 2.63% | 35,241 | +200 | +0.57% | $9,867,000 |
| AbbVie | ABBV | Healthcare | 2.62% | 39,036 | +350 | +0.90% | $9,823,000 |
| MetLife | MET | Financial Services | 2.54% | 112,225 | -6,175 | -5.22% | $9,495,000 |
| FedEx | FDX | Industrials | 2.49% | 29,840 | +85 | +0.29% | $9,344,000 |
| Boeing | BA | Industrials | 2.21% | 38,199 | +1,300 | +3.52% | $8,269,000 |
| Starbucks | SBUX | Consumer Cyclical | 2.19% | 80,383 | +115 | +0.14% | $8,214,000 |
| Gilead Sciences | GILD | Healthcare | 2.15% | 63,605 | -200 | -0.31% | $8,036,000 |
| L3Harris Technologies | LHX | Industrials | 2.10% | 27,098 | +150 | +0.56% | $7,874,000 |
| Oracle | ORCL | Technology | 2.06% | 52,745 | +75 | +0.14% | $7,730,000 |
| Microsoft | MSFT | Technology | 2.00% | 20,051 | +155 | +0.78% | $7,479,000 |
| Thermo Fisher Scientific | TMO | Healthcare | 1.72% | 12,852 | +275 | +2.19% | $6,443,000 |
| Northrop Grumman | NOC | Industrials | 1.70% | 12,537 | +95 | +0.76% | $6,385,000 |
| Medtronic | MDT | Other | 1.67% | 80,090 | +805 | +1.02% | $6,265,000 |
| Meta Platforms | META | Communication Services | 1.55% | 10,305 | +1,470 | +16.64% | $5,805,000 |
| Abbott Laboratories | ABT | Healthcare | 1.54% | 63,655 | -2,798 | -4.21% | $5,776,000 |
| Owens Corning | OC | Industrials | 1.54% | 36,185 | +2,465 | +7.31% | $5,752,000 |
| Walt Disney | DIS | Communication Services | 1.52% | 59,031 | -1,790 | -2.94% | $5,682,000 |
Showing 30 of 44 holdings in the latest reporting period.