Violich Capital Management, Inc.

Holdings as of 2026-09-30, filed 2026-10-05

This is history, not a current position. These holdings describe 2026-09-30, and the report became public 5 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
113
Value reported by manager
$926.7M
Sum of our stored positions
$926.7M
should match the line above
Disclosure lag
5 d
quarter end to filing
Top 5 concentration
45.6%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

113 largest shown
IssuerClassValueSharesTypeCUSIP
Alphabet Inc Cl CCOM$110.7M324,953—02079K107
Alphabet Inc Cl ACOM$108.1M314,208—02079K305
Microsoft CorpCOM$88.9M173,373—594918104
Apple IncCOM$67.5M202,816—037833100
Visa Inc Cl ACOM$47.4M131,877—92826C839
Costco Wholesale CorpCOM$41.1M45,120—22160K105
Lam Research CorpCOM$30.3M92,250—512807306
Abbvie IncCOM$28.1M107,254—00287Y109
Berkshire Hathaway Inc Cl BCOM$27.4M55,076—084670702
Amazon IncCOM$24.3M97,491—023135106
Johnson & JohnsonCOM$22.1M83,615—478160104
Oracle CorpCOM$21.7M158,203—68389X105
Alerian MLP ETFCOM$18.4M353,870—00162Q452
SPDR Gold SharesCOM$17M44,638—78463V107
Philip Morris Intl IncCOM$16.8M88,270—718172109
BHP Billiton Ltd Spon AdsCOM$14.6M171,914—088606108
Chevron CorpCOM$14M68,762—166764100
UnitedHealth Group IncCOM$13.3M36,134—91324P102
JPMorgan Chase & CoCOM$11.4M34,337—46625H100
Vanguard S&P 500 ETFCOM$9.6M13,668—922908363
Agnico Eagle Mines LtdCOM$9.1M49,545—008474108
Pepsico IncCOM$8.8M69,154—713448108
ExxonMobil Holdings CorpCOM$8.6M52,900—30233Q108
Union Pacific CorpCOM$8.2M29,990—907818108
Advanced Micro Devices IncCOM$8M13,100—007903107
Cisco Sys IncCOM$8M73,935—17275R102
Merck & Co IncCOM$7M48,307—58933Y105
Vanguard S&P Mid-Cap 400 Index Fund ETFCOM$6.7M55,295—921932885
Broadcom IncCOM$6.1M17,390—11135F101
Honeywell Intl IncCOM$5.8M27,724—438516205
AON Plc Cl ACOM$5.8M20,815—G0403H108
Verizon Communications IncCOM$4.9M106,910—92343V104
Danaher CorpCOM$4.7M21,145—235851102
Goldman Sachs Group IncCOM$4.5M5,050—38141G104
Honeywell Aerospace IncCOM$4.4M28,224—43849R105
Meta Platforms Inc Cl ACOM$4.2M5,845—30303M102
Nvidia CorpCOM$3.9M17,230—67066G104
Nextera Energy IncCOM$3.8M49,872—65339F101
Eli Lilly & CoCOM$3.8M3,241—532457108
CVS Health CorpCOM$3.7M42,738—126650100
Dell Technologies Inc Cl CCOM$3.6M6,720—24703L202
ConocoPhillipsCOM$3.5M28,134—20825C104
Amgen IncCOM$3.4M8,150—031162100
Automatic Data Processing IncCOM$3.1M12,125—053015103
Deere & CoCOM$3.1M4,624—244199105
Becton Dickinson & CoCOM$3M16,539—075887109
Coca Cola CoCOM$2.8M32,949—191216100
Accenture Plc Ireland Cl ACOM$2.8M15,350—G1151C101
SPDR S&P 500 ETFCOM$2.6M3,444—78462F103
Procter & Gamble CoCOM$2.6M18,064—742718109
Vanguard Mid-Cap Index Fund Admiral SharesCOM$2.3M604—922908645
Fleetcor Technologies IncCOM$2.3M5,800—219948106
iShares Silver TrCOM$2M36,610—46428Q109
iShares Core S&P 500 ETFCOM$2M2,604—464287200
Vanguard 500 Index Fund AdmiralCOM$1.8M2,523—922908710
Rio Tinto Plc Spon ADRCOM$1.5M16,200—767204100
Caterpillar IncCOM$1.5M1,800—149123101
Invesco QQQ TrustCOM$1.4M1,837—46090E103
Emerson Elec CoCOM$1.3M8,550—291011104
Hewlett Packard Enterprise CoCOM$1.3M20,000—42824C109
Lockheed Martin CorpCOM$1.2M2,360—539830109
Mastercard Inc Cl ACOM$1M1,900—57636Q104
Walmart IncCOM$1M10,025—931142103
McDonalds CorpCOM$1M4,503—580135101
Stryker CorpCOM$1M3,700—863667101
Waters CorpCOM$962.7K2,191—941848103
Thermo Fisher Scientific IncCOM$901.2K1,335—883556102
Dynatrace IncCOM$866.1K15,000—268150109
Duke Energy CorpCOM$841.7K7,383—26441C204
Palo Alto Networks IncCOM$794.6K2,000—697435105
Pfizer IncCOM$731.5K25,650—717081103
Paccar IncCOM$691.8K6,300—693718108
Linde PlcCOM$671.6K1,415—G54950103
Fedex CorpCOM$598.7K2,100—31428X106
3M CoCOM$580.4K3,536—88579Y101
Novartis A G Spon ADRCOM$548.5K3,847—66987V109
Vanguard Extended Market Index FundCOM$543.6K3,095—922908694
Nike Inc Cl BCOM$531.4K15,010—654106103
Kenvue IncCOM$504.9K28,591—49177J102
Schlumberger LtdCOM$487.2K10,000—806857108
Wesdome Gold Mines LtdCOM$458.2K18,550—95083R100
Adobe IncCOM$425.9K1,775—00724F101
American Funds The Growth Fund of America ACOM$423.8K4,799—399874106
Blackrock IncCOM$423.3K400—09290D101
Veralto CorpCOM$415.1K4,401—92338C103
The Charles Schwab CorpCOM$410.5K4,200—808513105
Colgate Palmolive CoCOM$402.7K4,720—194162103
Veeva Systems IncCOM$385.4K1,350—922475108
Southern CoCOM$383.7K4,629—842587107
Vanguard Total Stock Market Index Admiral ShrsCOM$364.3K2,000—922908728
Astera Labs IncCOM$356K1,000—04626A103
Taiwan Semiconductor Mfg Ltd SP ADSCOM$353.5K775—874039100
Home Depot IncCOM$352.8K1,240—437076102
ACM Research IncCOM$352K4,350—00108J109
Ross Stores IncCOM$350.1K1,500—778296103
Enterprise Prods Partners LPCOM$340.1K9,550—293792107
PureCycle Technologies IncCOM$325.5K73,800—74623V103
Fifth Third BancorpCOM$314.7K6,222—316773100
S&P Global IncCOM$295.9K750—78409V104
Ovintiv IncCOM$289.1K5,000—69047Q102
Nestle S A Spon ADRCOM$281.4K3,100—641069406
Microchip Technology IncCOM$272.2K3,500—595017104
Royal Gold IncCOM$259.6K1,100—780287108
Dominion Energy IncCOM$245.4K4,055—25746U109
General Dynamics CorpCOM$242.2K730—369550108
United Technologies CorpCOM$232.1K1,250—75513E101
American Tower CorpCOM$229.2K1,400—03027X100
Vanguard Mid-Cap Index FundCOM$229K2,920—922908629
Alamos Gold Inc Cl ACOM$226.7K7,000—011532108
Cloudflare Inc Cl ACOM$225.7K650—18915M107
Laboratory Corp Amer HldgsCOM$221.2K718—504922105
Boeing CoCOM$204.7K1,100—097023105
Wells Fargo CoCOM$200.1K2,500—949746101
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-10-05

Violich Capital Management, Inc. — 113 positions reported for 2026Q3 — investment.com