Vestcor Inc

Investment Portfolio & 13F Holdings Analysis

About
CIK: 0001536925
Type: FundHoldings: 1,159Value: $3.0BLatest: 2025Q1

Vestcor Inc is an institutional investment manager that filed its latest Form 13F for 2025Q1, reporting 1159 holdings worth $3.0 billion. Form 13F filings provide transparency into the equity holdings of institutional investment managers with over $100 million in assets under management. This page displays the most recent portfolio holdings, allowing investors to track position changes, new investments, and portfolio composition.

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-08
Total Holdings
1,159
Total Value
2974103
Accession Number
0001536925-25-000004
Form Type
13F-HR
Manager Name
Vestcor
Data Enrichment
95% identified
1,099 identified60 unidentified

Holdings

1,159 positions • $3.0M total value
Manager:
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Apple Inc.
Shares:385.0K
Value:$85.5M
% of Portfolio:2875.6% ($85.5M/$3.0M)
MICROSOFT CORP
Shares:227.1K
Value:$85.3M
% of Portfolio:2866.4% ($85.3M/$3.0M)
NVIDIA CORP
Shares:549.4K
Value:$59.5M
% of Portfolio:2002.1% ($59.5M/$3.0M)
AMAZON COM INC
Shares:269.2K
Value:$51.2M
% of Portfolio:1721.8% ($51.2M/$3.0M)
PROGRESSIVE CORP/OH/
Shares:125.1K
Value:$35.4M
% of Portfolio:1190.7% ($35.4M/$3.0M)
T-Mobile US, Inc.
Shares:129.6K
Value:$34.6M
% of Portfolio:1162.1% ($34.6M/$3.0M)
Walmart Inc.
Shares:384.7K
Value:$33.8M
% of Portfolio:1135.6% ($33.8M/$3.0M)
Meta Platforms, Inc.
Shares:55.7K
Value:$32.1M
% of Portfolio:1079.9% ($32.1M/$3.0M)
ELI LILLY & Co
Shares:38.3K
Value:$31.6M
% of Portfolio:1063.5% ($31.6M/$3.0M)
PROCTER & GAMBLE Co
Shares:178.0K
Value:$30.3M
% of Portfolio:1019.9% ($30.3M/$3.0M)
VERIZON COMMUNICATIONS INC
Shares:663.1K
Value:$30.1M
% of Portfolio:1011.3% ($30.1M/$3.0M)
COLGATE PALMOLIVE CO
Shares:299.4K
Value:$28.1M
% of Portfolio:943.3% ($28.1M/$3.0M)
AT&T INC.
Shares:977.2K
Value:$27.6M
% of Portfolio:929.2% ($27.6M/$3.0M)
ALTRIA GROUP, INC.
Shares:460.2K
Value:$27.6M
% of Portfolio:928.7% ($27.6M/$3.0M)
Sprouts Farmers Market, Inc.
Shares:176.6K
Value:$27.0M
% of Portfolio:906.6% ($27.0M/$3.0M)
UNITEDHEALTH GROUP INC
Shares:51.2K
Value:$26.8M
% of Portfolio:900.8% ($26.8M/$3.0M)
Merck & Co., Inc.
Shares:296.8K
Value:$26.6M
% of Portfolio:895.7% ($26.6M/$3.0M)
CONSOLIDATED EDISON INC
Shares:228.5K
Value:$25.3M
% of Portfolio:849.8% ($25.3M/$3.0M)
CISCO SYSTEMS, INC.
Shares:404.1K
Value:$24.9M
% of Portfolio:838.5% ($24.9M/$3.0M)
JOHNSON & JOHNSON
Shares:148.4K
Value:$24.6M
% of Portfolio:827.4% ($24.6M/$3.0M)