CIK 1344717
Estabrook Capital Management
Institutional 13F holdings & portfolio
Holdings
327
Portfolio Value
$1M+
Latest Report
Dec 31, 2025
Report Periods
1
Holdings
13F filings as of Dec 31, 2025 · Showing 51–100 of 327
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| MDLZ | MONDELEZ INTL INC COM | 59K | $1M+ | SH |
| NXPI | NXP SEMICONDUCTORS N V COM | 14K | $1M+ | SH |
| UNH | UNITEDHEALTH GROUP INC | 9K | $1M+ | SH |
| TXN | TEXAS INSTRUMENTS INC | 17K | $1M+ | SH |
| ABBV | ABBVIE INC COM | 13K | $1M+ | SH |
| FRPH | FRP HLDGS INC COM | 117K | $1M+ | SH |
| SLB | SCHLUMBERGER | 69K | $1M+ | SH |
| ADI | ANALOG DEVICES INC | 9K | $1M+ | SH |
| NVGS | NAVIGATOR HOLDINGS LTD SHS | 140K | $1M+ | SH |
| BA | BOEING CO | 11K | $1M+ | SH |
| SYK | STRYKER CORP | 7K | $1M+ | SH |
| — | BNY MELLON INVT GRADE FDS INEQ | 64K | $1M+ | SH |
| GEHC | GE HEALTHCARE TECHNOLOGIES ICO | 22K | $1M+ | SH |
| NKE | NIKE INC CLASS B | 28K | $1M+ | SH |
| INTC | INTEL CORPORATION | 45K | $1M+ | SH |
| ALL | ALLSTATE CORP | 8K | $1M+ | SH |
| KMI | KINDER MORGAN INC DEL COM | 59K | $1M+ | SH |
| TGT | TARGET CORP | 16K | $1M+ | SH |
| V | VISA INC COM CL A | 4K | $1M+ | SH |
| DIS | DISNEY (WALT) PRODUCTIONS | 11K | $1M+ | SH |
| CNI | CANADIAN NATL RY CO | 12K | $1M+ | SH |
| VTRS | VIATRIS INC COM | 96K | $1M+ | SH |
| META | META PLATFORMS, INC | 2K | $1M+ | SH |
| F | FORD MTR CO DEL PAR $0.01 | 85K | $1M+ | SH |
| ABT | ABBOTT LABS | 9K | $1M+ | SH |
| AME | AMETEK INC NEW | 5K | $1M+ | SH |
| BLX | BANCO LATINOAMER EXPORT S A CL | 22K | $500K+ | SH |
| BRK.B | BERKSHIRE HATHAWAY INC DEL CL | 2K | $500K+ | SH |
| HII | HUNTINGTON INGALLS INDS INC CO | 2K | $500K+ | SH |
| DD | DUPONT DE NEMOURS INC COM | 21K | $500K+ | SH |
| Q | QNITY ELECTRONICS INC COMMON S | 10K | $500K+ | SH |
| DE | DEERE & CO. | 2K | $500K+ | SH |
| CARR | CARRIER GLOBAL CORPORATION COM | 13K | $500K+ | SH |
| SOLS | SOLSTICE ADVANCED MATLS INC CO | 14K | $500K+ | SH |
| — | HANCOCK JOHN FDS II MLTMGR 202 | 77K | $500K+ | SH |
| FHN-PC | FIRST HORIZON NATL CORP DP SHS | 25K | $500K+ | SH |
| KO | COCA COLA CO | 9K | $500K+ | SH |
| BKR | BAKER HUGHES A GE CO CL A | 13K | $500K+ | SH |
| SHEL | SHELL PLC SPON ADS | 8K | $500K+ | SH |
| MTB | M & T BK CORP | 3K | $500K+ | SH |
| BMY | BRISTOL MYERS SQUIBB CO. | 10K | $500K+ | SH |
| GWW | GRAINGER W W INC | 500 | $500K+ | SH |
| TDW | TIDEWATER INC NEW COM | 10K | $100K–$500K | SH |
| OMC | OMNICOM GROUP | 6K | $100K–$500K | SH |
| AMD | ADVANCED MICRO DEVICES | 2K | $100K–$500K | SH |
| MU | MICRON TECHNOLOGY INC | 2K | $100K–$500K | SH |
| IRM | IRON MTN INC NEW COM | 5K | $100K–$500K | SH |
| LIN | LINDE PLC SHS | 934 | $100K–$500K | SH |
| EPD | ENTERPRISE PRODS PARTNERS L CO | 12K | $100K–$500K | SH |
| PSX | PHILLIPS 66 COM | 3K | $100K–$500K | SH |