
ADAMS DIVERSIFIED EQUITY FUND, INC.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | TSLA | 122K | $54.17M |
![]() | V | 117K | $39.89M |
![]() | POST | 111K | $11.93M |
![]() | PANW | 108K | $21.95M |
![]() | RTX | 104K | $17.32M |
![]() | JNJ | 103K | $19.06M |
![]() | CBRE | 98K | $15.47M |
![]() | TMUS | 97K | $23.20M |
![]() | MTB | 94K | $18.50M |
![]() | BRK-B | 93K | $46.78M |
![]() | LW | 93K | $5.40M |
![]() | IBM | 88K | $24.80M |
![]() | PGR | 86K | $21.24M |
![]() | ORCL | 86K | $24.13M |
![]() | LECO | 81K | $19.10M |
![]() | HD | 81K | $32.70M |
![]() | ADI | 79K | $19.41M |
![]() | TEAM | 76K | $12.19M |
![]() | MCD | 74K | $22.61M |
![]() | CL | 72K | $5.78M |

Tesla, Inc.
TSLA
Shares Held
122K
Value
$54.17M

Visa Inc.
V
Shares Held
117K
Value
$39.89M

Post Holdings, Inc.
POST
Shares Held
111K
Value
$11.93M

Palo Alto Networks, Inc.
PANW
Shares Held
108K
Value
$21.95M

RTX Corporation
RTX
Shares Held
104K
Value
$17.32M

Johnson & Johnson
JNJ
Shares Held
103K
Value
$19.06M

CBRE Group, Inc.
CBRE
Shares Held
98K
Value
$15.47M

T-Mobile US, Inc.
TMUS
Shares Held
97K
Value
$23.20M

M&T Bank Corporation
MTB
Shares Held
94K
Value
$18.50M

Berkshire Hathaway Inc.
BRK-B
Shares Held
93K
Value
$46.78M

Lamb Weston Holdings, Inc.
LW
Shares Held
93K
Value
$5.40M

International Business Machines Corporation
IBM
Shares Held
88K
Value
$24.80M

The Progressive Corporation
PGR
Shares Held
86K
Value
$21.24M

Oracle Corporation
ORCL
Shares Held
86K
Value
$24.13M

Lincoln Electric Holdings, Inc.
LECO
Shares Held
81K
Value
$19.10M

The Home Depot, Inc.
HD
Shares Held
81K
Value
$32.70M

Analog Devices, Inc.
ADI
Shares Held
79K
Value
$19.41M

Atlassian Corporation
TEAM
Shares Held
76K
Value
$12.19M

McDonald's Corporation
MCD
Shares Held
74K
Value
$22.61M

Colgate-Palmolive Company
CL
Shares Held
72K
Value
$5.78M
