ADAMS DIVERSIFIED EQUITY FUND, INC.

Holdings as of 2026-06-30, filed 2026-07-22

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 22 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
103
Value reported by manager
$3.3B
Sum of our stored positions
$3.3B
should match the line above
Disclosure lag
22 d
quarter end to filing
Top 5 concentration
28.7%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

103 largest shown
IssuerClassValueSharesTypeCUSIP
NVIDIA CorporationCOM$251.1M1,255,00067066G104
Apple Inc.COM$220M760,200037833100
Alphabet Inc. Class ACOM$191.4M535,50002079K305
Microsoft CorporationCOM$150.9M404,500594918104
Amazon.com, Inc.COM$126.2M529,400023135106
Broadcom Inc.COM$94.4M250,00011135F101
Lam Research CorporationCOM$86.4M199,300512807306
Advanced Micro Devices, Inc.COM$74.4M128,000007903107
JPMorgan Chase & Co.COM$67.1M204,86346625H100
Adams Natural Resources Fund, Inc.COM$66.1M2,673,45300548F105
Meta Platforms, Inc. Class ACOM$62.2M110,50030303M102
Eli Lilly and CompanyCOM$60.9M50,768532457108
Micron Technology, Inc.COM$57.5M49,800595112103
Tesla, Inc.COM$53.5M127,20088160R101
Bank of America Corp.COM$53.1M932,768060505104
AbbVie, Inc.COM$43.5M172,80000287Y109
Berkshire Hathaway Inc. Class BCOM$42M83,843084670702
Cisco Systems, Inc.COM$41.6M353,80017275R102
GE Vernova Inc.COM$40.4M34,40036828A101
Visa Inc. Class ACOM$38.9M113,26192826C839
Palo Alto Networks, Inc.COM$37.5M110,000697435105
Goldman Sachs Group, Inc.COM$36.9M36,50038141G104
Philip Morris International Inc.COM$35.5M196,235718172109
Merck & Co., Inc.COM$34.7M270,30058933Y105
Caterpillar Inc.COM$34.1M32,000149123101
Walmart Inc.COM$33.9M299,043931142103
Analog Devices, Inc.COM$31.4M79,000032654105
UnitedHealth Group IncorporatedCOM$29.7M71,50091324P102
M&T Bank CorporationCOM$28.5M119,90055261F104
Johnson & JohnsonCOM$26.1M102,800478160104
Home Depot, Inc.COM$25.4M71,900437076102
Vertex Pharmaceuticals IncorporatedCOM$23.5M47,30092532F100
Arista Networks, Inc.COM$23M135,464040413205
NextEra Energy, Inc.COM$22.8M259,40065339F101
IDEX CorporationCOM$22.7M100,00045167R104
CSX CorporationCOM$22.7M477,000126408103
Principal Financial Group, Inc.COM$22.5M209,10074251V102
SanDisk CorporationCOM$22.5M9,90080004C200
Howmet Aerospace Inc.COM$22.4M83,400443201108
Entergy CorporationCOM$22.4M194,60029364G103
Airbnb, Inc. Class ACOM$22.2M155,000009066101
Uber Technologies, Inc.COM$22.1M306,00090353T100
Biogen Inc.COM$21.7M100,30009062X103
Prologis, Inc.COM$21.4M158,30074340W103
CVS Health CorporationCOM$20.8M200,700126650100
Intel CorporationCOM$20.4M145,900458140100
McDonald's CorporationCOM$20.1M74,400580135101
Johnson Controls International plcCOM$20.1M137,300G51502105
Hartford Insurance Group, Inc.COM$19.9M150,500416515104
MSCI Inc. Class ACOM$19.4M34,60055354G100
Carrier Global CorporationCOM$18.9M257,70014448C104
Simon Property Group, Inc.COM$18.8M83,900828806109
L3Harris Technologies, Inc.COM$18.4M63,400502431109
EMCOR Group, Inc.COM$18.1M21,80029084Q100
Mastercard Incorporated Class ACOM$18M35,06257636Q104
TKO Group Holdings, Inc. Class ACOM$17.8M88,50087256C101
Western Digital CorporationCOM$17.8M27,800958102105
International Business Machines CorporationCOM$17.4M61,900459200101
Vertiv Holdings Co. Class ACOM$17.3M51,80092537N108
Freeport-McMoRan, Inc.COM$17.3M275,50035671D857
ConocoPhillipsCOM$17.1M164,10020825C104
Everest Group, Ltd.COM$16.7M46,800G3223R108
Ameren CorporationCOM$16.5M146,200023608102
Starbucks CorporationCOM$16.1M158,000855244109
Amphenol Corporation Class ACOM$15.9M90,400032095101
Deckers Outdoor CorporationCOM$15.8M159,400243537107
Nucor CorporationCOM$15.7M70,400670346105
BlackRock, Inc.COM$15.7M16,30009290D101
Dollar General CorporationCOM$15.3M133,100256677105
Medtronic plcCOM$15.1M192,900G5960L103
FedEx CorporationCOM$15.1M48,10031428X106
Netflix, Inc.COM$15M210,52064110L106
PepsiCo, Inc.COM$14.7M108,576713448108
Republic Services, Inc.COM$14.6M68,500760759100
Centene CorporationCOM$14.5M226,50015135B101
Palantir Technologies Inc. Class ACOM$13.8M118,70069608A108
Take-Two Interactive Software, Inc.COM$13.3M53,200874054109
Targa Resources Corp.COM$13M48,60087612G101
Iron Mountain, Inc.COM$13M102,90046284V101
Costco Wholesale CorporationCOM$12.8M13,70022160K105
State Street Financial Select Sector SPDR ETFCOM$12.7M237,00081369Y605
FedEx Freight Holding Company, Inc.COM$12.5M82,950314352105
Coca-Cola CompanyCOM$11.7M144,000191216100
State Street Technology Select Sector SPDR ETFCOM$11.5M60,60081369Y803
State Street Materials Select Sector SPDR ETFCOM$11M217,30081369Y100
Oracle CorporationCOM$10.9M74,70068389X105
Halliburton CompanyCOM$10.3M303,500406216101
Procter & Gamble CompanyCOM$10.3M70,249742718109
Salesforce, Inc.COM$10.3M65,70079466L302
DexCom, Inc.COM$9.8M145,000252131107
Snowflake, Inc.COM$9.7M38,300833445109
State Street Consumer Staples Select Sector SPDR ETFCOM$9.6M116,00081369Y308
Ecolab Inc.COM$9.3M33,300278865100
Corning IncorporatedCOM$9.3M36,300219350105
T-Mobile US, Inc.COM$8.9M53,000872590104
Boeing CompanyCOM$8.2M37,700097023105
Twilio, Inc. Class ACOM$7.6M36,60090138F102
State Street Communication Services Select Sector SPDR ETFCOM$7.2M67,10081369Y852
iShares U.S. Real Estate ETFCOM$6.4M62,900464287739
Chevron CorporationCOM$5.5M33,427166764100
Constellation Energy CorporationCOM$5.3M21,40021037T109
Lumentum Holdings, Inc.COM$4.9M5,70055024U109
Vistra Corp.COM$3M18,90092840M102
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 2026-07-22