ABLES, IANNONE, MOORE & ASSOCIATES, INC.
Holdings as of 2026-06-30, filed 2026-07-13
This is history, not a current position. These holdings describe 2026-06-30, and the report became public 13 days later. The portfolio has changed since.
Aggregates
computed from the positions belowPositions reported
62
Value reported by manager
$187.7M
Sum of our stored positions
$187.7M
should match the line above
Disclosure lag
13 d
quarter end to filing
Top 5 concentration
50.3%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls
Positions
62 largest shown| Issuer | Class | Value | Shares | Type | CUSIP |
|---|---|---|---|---|---|
| APPLE INC | COM | $27.4M | 94,788 | — | 037833100 |
| NVIDIA CORPORATION | COM | $21.5M | 107,456 | — | 67066G104 |
| ALPHABET INC | CAP STK CL A | $21M | 58,753 | — | 02079K305 |
| AMAZON COM INC | COM | $16.4M | 68,695 | — | 023135106 |
| JPMORGAN CHASE & CO. | COM | $8M | 24,495 | — | 46625H100 |
| VISA INC | COM CL A | $7.6M | 22,264 | — | 92826C839 |
| MICROSOFT CORP | COM | $6.7M | 17,986 | — | 594918104 |
| HOME DEPOT INC | COM | $6.3M | 17,854 | — | 437076102 |
| BANK AMERICA CORP | COM | $5.4M | 95,494 | — | 060505104 |
| ALPHABET INC | CAP STK CL C | $4.8M | 13,537 | — | 02079K107 |
| AMERICAN TOWER CORP | COM | $3.7M | 22,685 | — | 03027X100 |
| BERKSHIRE HATHAWAY INC DEL | CL B NEW | $3.7M | 7,314 | — | 084670702 |
| UNITEDHEALTH GROUP INC | COM | $3.3M | 7,978 | — | 91324P102 |
| VULCAN MATLS CO | COM | $3.2M | 11,000 | — | 929160109 |
| JOHNSON & JOHNSON | COM | $3M | 11,913 | — | 478160104 |
| UNITED PARCEL SERVICE INC | CL B | $2.8M | 26,140 | — | 911312106 |
| DEERE & CO | COM | $2.5M | 4,016 | — | 244199105 |
| MCDONALDS CORP | COM | $2.1M | 7,831 | — | 580135101 |
| TAIWAN SEMICONDUCTOR MANUFAC | SPONSORED ADS | $2M | 4,226 | — | 874039100 |
| COSTCO WHOLESALE CORPORATION | COM | $1.9M | 2,039 | — | 22160K105 |
| CSX CORP | COM | $1.8M | 37,981 | — | 126408103 |
| VALERO ENERGY CORP | COM | $1.8M | 6,763 | — | 91913Y100 |
| SIMPLIFY EXCHANGE TRADED FUN | GOVT MONE MA ETF | $1.7M | 16,878 | — | 82889N269 |
| ELI LILLY & CO | COM | $1.6M | 1,343 | — | 532457108 |
| TESLA INC | COM | $1.5M | 3,641 | — | 88160R101 |
| INVESCO QQQ TR | UNIT SER 1 | $1.5M | 2,034 | — | 46090E103 |
| WATTS WATER TECHNOLOGIES INC | CL A | $1.5M | 3,748 | — | 942749102 |
| ALPS ETF TR | ALERIAN MLP | $1.3M | 24,748 | — | 00162Q452 |
| WASTE MGMT INC DEL | COM | $1.3M | 5,655 | — | 94106L109 |
| CHEVRON CORP | COM | $1.2M | 7,480 | — | 166764100 |
| CONSTELLATION BRANDS INC | CL A | $1.1M | 8,237 | — | 21036P108 |
| PEPSICO INC | COM | $1.1M | 8,401 | — | 713448108 |
| AMGEN INC | COM | $1M | 2,858 | — | 031162100 |
| EXXON MOBIL CORP | COM | $1M | 7,467 | — | 30231G102 |
| ISHARES TR | CORE S&P500 ETF | $907.7K | 1,212 | — | 464287200 |
| MID-AMER APT CMNTYS INC | COM | $888.1K | 6,392 | — | 59522J103 |
| SOUTHERN CO | COM | $844.1K | 8,818 | — | 842587107 |
| DUKE ENERGY CORP NEW | COM NEW | $838.4K | 6,623 | — | 26441C204 |
| DOMINION ENERGY INC | COM | $833.1K | 12,200 | — | 25746U109 |
| AIRBNB INC | COM CL A | $817.8K | 5,715 | — | 009066101 |
| NEXTERA ENERGY INC | COM | $796.2K | 9,072 | — | 65339F101 |
| UBER TECHNOLOGIES INC | COM | $741.7K | 10,279 | — | 90353T100 |
| CATERPILLAR INC | COM | $737.9K | 692 | — | 149123101 |
| MARRIOTT INTL INC NEW | CL A | $693K | 1,870 | — | 571903202 |
| OLD NATL BANCORP IND | COM | $634.3K | 24,490 | — | 680033107 |
| ISHARES BITCOIN TRUST ETF | SHS BEN INT | $631.6K | 18,973 | — | 46438F101 |
| LINDE PLC | SHS | $619.6K | 1,194 | — | G54950103 |
| CHUBB LIMITED | COM | $521.7K | 1,531 | — | H1467J104 |
| THE TRADE DESK INC | COM CL A | $513.5K | 28,402 | — | 88339J105 |
| GOLDMAN SACHS GROUP INC | COM | $503.7K | 498 | — | 38141G104 |
| WALMART INC | COM | $426.9K | 3,769 | — | 931142103 |
| COCA COLA CO | COM | $369.5K | 4,546 | — | 191216100 |
| SIMPLIFY EXCHANGE TRADED FUN | MBS ETF | $305K | 6,215 | — | 82889N525 |
| ISHARES TR | RUSSELL 2000 ETF | $296.8K | 988 | — | 464287655 |
| PROLOGIS INC. | COM | $281.8K | 2,080 | — | 74340W103 |
| LABCORP HOLDINGS INC | COM SHS | $273K | 975 | — | 504922105 |
| MICRON TECHNOLOGY INC | COM | $259.7K | 225 | — | 595112103 |
| BLACKROCK ETF TRUST | ISHA SYST AL ETF | $238.2K | 8,492 | — | 09290C665 |
| MASTERCARD INCORPORATED | CL A | $229.1K | 446 | — | 57636Q104 |
| AIR PRODUCTS AND CHEMICALS INC | COM | $216.1K | 737 | — | 009158106 |
| 3M CO | COM | $204.7K | 1,264 | — | 88579Y101 |
| ALIGHT INC | COM CL A | $16.8K | 30,050 | — | 01626W101 |
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 2026-07-13