13FBOX
Minot DeBlois Advisors LLC · 13F Holdings
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Minot DeBlois Advisors LLC

No.8884 Data as of 2026Q2
Latest AUM (Q2 2026)
$116.5M
QoQ Change Q1 2026
+$6.2M+5.7%
Holdings
234
New Buys
34
Adds
40
Reduces
68
Exits
22
Unchanged
92
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
VVANGUARD SCOTTSDALE FDSBSV
8.09%9.02%$9.4M119,244$9.9M125,354-6,110-4.87%Reduce
VVANGUARD INDEX FDSVOO
5.1%4.74%$5.9M8,641$5.2M8,748-107-1.22%Reduce
IISHARES INCIEMG
4.55%4.05%$5.3M64,000$4.5M63,933+67+0.10%Add
AAlphabet Inc Class CGOOG
4.29%3.85%$5.0M14,149$4.2M14,801-652-4.41%Reduce
VVANGUARD SCOTTSDALE FDSVGIT
4.22%4.62%$4.9M83,380$5.1M85,587-2,207-2.58%Reduce
IISHARES TRTIP
3.96%3.93%$4.6M42,133$4.3M39,231+2,902+7.40%Add
APPLE INCAAPL
3.62%3.48%$4.2M14,567$3.8M15,111-544-3.60%Reduce
VVANGUARD INDEX FDSVB
3.42%3.14%$4.0M13,159$3.5M13,198-39-0.30%Reduce
NVIDIA CORPORATIONNVDA
2.99%2.65%$3.5M17,388$2.9M16,774+614+3.66%Add
AMAZON COM INCAMZN
2.82%2.62%$3.3M13,778$2.9M13,877-99-0.71%Reduce
MICROSOFT CORPMSFT
2.55%2.64%$3.0M7,958$2.9M7,862+96+1.22%Add
VVANGUARD INTL EQUITY INDEX FVEU
2.31%2.21%$2.7M32,155$2.4M32,412-257-0.79%Reduce
ASML HLDG NVASML
1.73%1.25%$2.0M1,014$1.4M1,043-29-2.78%Reduce
VVANGUARD FTSEVEA
1.63%1.56%$1.9M26,689$1.7M26,771-82-0.31%Reduce
ANALOG DEVICES INC COMADI
1.54%1.3%$1.8M4,525$1.4M4,518+7+0.15%Add
CISCO SYS INCCSCO
1.5%1.09%$1.8M14,904$1.2M15,537-633-4.07%Reduce
AMERICAN EXPRESS COAXP
1.4%1.3%$1.6M4,822$1.4M4,754+68+1.43%Add
UNION PAC CORPUNP
1.38%1.33%$1.6M5,917$1.5M6,040-123-2.04%Reduce
CHUBB LIMITEDCB
1.36%1.37%$1.6M4,636$1.5M4,619+17+0.37%Add
NORTHERN TR CORPNTRS
1.33%1.13%$1.5M8,878$1.2M8,940-62-0.69%Reduce
DANAHER CORP DEL COMDHR
1.29%1.29%$1.5M7,864$1.4M7,495+369+4.92%Add
AUTOMATIC DATA PROCESSING INADP
1.2%1.11%$1.4M6,242$1.2M6,038+204+3.38%Add
VVANGUARD INTL EQUITY INDEX FVSS
1.18%1.19%$1.4M8,905$1.3M8,982-77-0.86%Reduce
JOHNSON & JOHNSONJNJ
1.17%1.21%$1.4M5,371$1.3M5,450-79-1.45%Reduce
ECOLAB INCECL
1.15%1.18%$1.3M4,828$1.3M4,905-77-1.57%Reduce
TJX COS INC NEWTJX
1.06%1.17%$1.2M8,128$1.3M8,042+86+1.07%Add
ABBOTT LABORATORIESABT
1%1.14%$1.2M12,847$1.3M12,227+620+5.07%Add
DISNEY WALT CODIS
0.99%1.04%$1.2M12,029$1.1M11,924+105+0.88%Add
PEPSICO INCPEP
0.98%1.19%$1.1M8,447$1.3M8,466-19-0.22%Reduce
META PLATFORMS INCMETA
0.97%1.02%$1.1M1,998$1.1M1,974+24+1.22%Add
NOVARTIS AGNVS
0.95%1.05%$1.1M7,091$1.2M7,556-465-6.15%Reduce
TRAVELERS COSTRV
0.95%0.9%$1.1M3,361$987,6663,386-25-0.74%Reduce
PROCTER & GAMBLE COPG
0.89%0.91%$1.0M7,078$1.0M6,933+145+2.09%Add
RROCHE HLDG LTD FSPONSORED ADR 1 ADR RE 0.125 ORD SHSRHHBY
0.86%0.88%$998,03919,436$966,16419,43600.00%Unchanged
RTX CORPORATIONRTX
0.85%0.91%$987,9435,207$1.0M5,190+17+0.33%Add
NNEXTERA ENERGY INCNEE
0.82%0.91%$953,14210,860$998,62710,752+108+1.00%Add
EXXON MOBIL CORPXOM
0.79%1.07%$922,9416,751$1.2M6,966-215-3.09%Reduce
NNESTLE S A FUNSPONSORED ADR 1 ADR REPS 1 ORD SHSNSRGY
0.79%0.81%$921,0278,969$887,6398,957+12+0.13%Add
WALMART INCWMT
0.77%0.91%$895,8527,910$1.0M8,094-184-2.27%Reduce
VVANGUARD SPECIALIZED FUNDSVIG
0.76%0.73%$879,4853,717$800,0813,720-3-0.08%Reduce
IISHARES TRICLN
0.72%0.68%$839,79840,986$750,52241,035-49-0.12%Reduce
XYLEM INCXYL
0.67%0.67%$774,8826,555$743,2836,220+335+5.39%Add
ACCENTURE PLC IRELANDACN
0.65%1.07%$759,1426,100$1.2M5,953+147+2.47%Add
BHP BILLITON LIMITED SPONSORED ADSBHP
0.64%0.59%$745,0638,943$646,3878,886+57+0.64%Add
VERIZON COMMUNICATIONS INCVZ
0.63%0.81%$730,98917,265$891,66717,762-497-2.80%Reduce
MCCORMICK & CO INC COM NON VTGMKC
0.62%0.62%$720,70214,294$681,53813,512+782+5.79%Add
SLB LIMITEDSLB
0.61%0.72%$707,84315,226$796,49515,499-273-1.76%Reduce
SALESFORCE INCCRM
0.59%0.74%$682,6814,358$817,7274,381-23-0.52%Reduce
BLACKSTONE INCBX
0.58%0.59%$673,8875,727$654,5545,692+35+0.61%Add
PFIZER INCPFE
0.57%0.7%$661,87927,487$772,58327,514-27-0.10%Reduce

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