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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

HUDSON VALLEY INVESTMENT ADVISORS INC /ADV

Quarter ended Q3 2025 · Filed October 16, 2025 · Accession 0001062993-25-016137

Total Value
$960.5M
Positions
177
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (177)

#IssuerTicker / CUSIPSharesValue% of Filing
1NVIDIA CorpNVDA262,537$49.0M5.10%
2SPDR Portfolio Intermediate Term Corporate Bond ETF78464A3751,307,674$44.3M4.61%
3Microsoft CorpMSFT83,662$43.3M4.51%
4Eli Lilly and CoLLY47,976$36.6M3.81%
5SPDR Portfolio Short Term Corporate Bond ETF78464A4741,155,275$35.0M3.64%
6Apple IncAAPL122,960$31.3M3.26%
7Intuitive Surgical IncISRG66,312$29.7M3.09%
8Orange County Bancorp IncORANY1,161,617$29.3M3.05%
9Alphabet Inc Class CGOOG116,099$28.3M2.94%
10Technology Select Sector SPDR ETF81369Y80399,412$28.0M2.92%
11Amazon.com IncAMZN98,523$21.6M2.25%
12KLA CorpKLAC18,026$19.4M2.02%
13JPMorgan Chase & CoVYLD61,497$19.4M2.02%
14Broadcom IncAVGO56,487$18.6M1.94%
15Meta Platforms IncMETA21,078$15.5M1.61%
16American Express CoAXP44,217$14.7M1.53%
17SPDR S&P 500 ETFSPY19,633$13.1M1.36%
18Visa IncV35,404$12.1M1.26%
19Ciena CorpCIEN80,616$11.7M1.22%
20AbbVie IncABBV50,690$11.7M1.22%
21AutoZone IncAZO2,625$11.3M1.17%
22Financial Select Sector SPDR ETF81369Y605204,284$11.0M1.15%
23United Rentals IncURI11,131$10.6M1.11%
24Exxon Mobil CorpXOM92,753$10.5M1.09%
25Chart Industries Inc16115Q30851,278$10.3M1.07%
26Morgan StanleyMS-PQ64,130$10.2M1.06%
27International Business Machines CorpINTR35,711$10.1M1.05%
28Thermo Fisher Scientific IncTMO20,547$10.0M1.04%
29Medtronic PLCMDT102,609$9.8M1.02%
30Marsh & McLennan Companies Inc57174810247,072$9.5M0.99%
31The Home Depot IncHD22,240$9.0M0.94%
32Consumer Discretionary Select Sector SPDR ETF81369Y40736,838$8.8M0.92%
33Cisco Systems IncCSCO126,775$8.7M0.90%
34Adobe Systems IncADBE24,287$8.6M0.89%
35iShares Floating Rate Bond ETF46429B655165,725$8.5M0.88%
36Salesforce IncCRM35,681$8.5M0.88%
37Communication Services Select Sector SPDR ETF81369Y85270,736$8.4M0.87%
38Health Care Select Sector SPDR ETF81369Y20956,545$7.9M0.82%
39Danaher Corp23585110237,182$7.4M0.77%
40SPDR Portfolio S&P 600 Small Cap ETF78468R853149,911$6.9M0.72%
41Industrial Select Sector SPDR ETF81369Y70442,869$6.6M0.69%
42UnitedHealth Group IncUNH19,125$6.6M0.69%
43Goldman Sachs Group IncGSCE8,249$6.6M0.68%
44Chipotle Mexican Grill IncCMG165,835$6.5M0.68%
45W.W. Grainger Inc3848021046,808$6.5M0.68%
46Fluor CorporationFLR152,312$6.4M0.67%
47Amphenol Corp03209510151,754$6.4M0.67%
48Charles Schwab CorpSCHW-PJ66,812$6.4M0.66%
49Take-Two Interactive Software IncTTWO22,828$5.9M0.61%
50CBRE Group IncCBRE37,411$5.9M0.61%
51Sherwin-Williams CoSHW16,902$5.9M0.61%
52PepsiCo IncPEP41,204$5.8M0.60%
53Baker Hughes CoBKR118,254$5.8M0.60%
54Starbucks CorpSBUX65,832$5.6M0.58%
55Quanta Services Inc74762E10213,325$5.5M0.57%
56NETFLIX IncNFLX4,492$5.4M0.56%
57Duke Energy CorpDUKB43,397$5.4M0.56%
58ServiceNow IncNOW5,773$5.3M0.55%
59McDonald's CorpMCD17,103$5.2M0.54%
60CSX CorpCSX140,443$5.0M0.52%
61MercadoLibre IncMELI2,104$4.9M0.51%
62Lincoln Electric Holdings Inc53390010620,373$4.8M0.50%
63Prologis IncPLDGP39,137$4.5M0.47%
64Oracle CorpORCL-PD15,085$4.2M0.44%
65Bank of America Corporation06050510481,078$4.2M0.44%
66NextEra Energy IncNEE-PW55,209$4.2M0.43%
67Consumer Staples Select Sector SPDR ETF81369Y30852,741$4.1M0.43%
68Blue Owl Capital Corp - Class AOWL235,443$4.0M0.41%
69Walmart IncWMT38,404$4.0M0.41%
70Mondelez International Inc60920710559,753$3.7M0.39%
71Trimble IncTRMB44,960$3.7M0.38%
72Nucor CorpNUE26,640$3.6M0.38%
73Advanced Micro Devices IncAMD20,806$3.4M0.35%
74Chevron CorpCVX21,596$3.4M0.35%
75Schlumberger LtdSLB95,375$3.3M0.34%
76SPDR Portfolio S&P 500 ETF78464A85441,103$3.2M0.34%
77Rockwell Automation IncROK9,127$3.2M0.33%
78ResMed IncRSMDF11,000$3.0M0.31%
79Procter & Gamble Co74271810918,427$2.8M0.29%
80Webster Financial Corp94789010945,884$2.7M0.28%
81Energy Select Sector SPDR ETF81369Y50630,446$2.7M0.28%
82Weyerhaeuser CoWY109,671$2.7M0.28%
83SPDR S&P MidCap 400 ETFMDY4,357$2.6M0.27%
84Automatic Data Processing IncADP8,298$2.4M0.25%
85Generac Holdings IncGNRC13,481$2.3M0.23%
86Blackstone IncBX12,435$2.1M0.22%
87Johnson & JohnsonJNJ11,102$2.1M0.21%
88Utilities Select Sector SPDR ETF81369Y88622,013$1.9M0.20%
89Southern CoSOMN20,190$1.9M0.20%
90SPDR Portfolio S&P 400 Mid Cap ETF78464A84730,111$1.7M0.18%
91Invesco QQQ TrustIVZ2,740$1.6M0.17%
92Alphabet Inc Class AGOOG6,765$1.6M0.17%
93RTX CorpRTX9,759$1.6M0.17%
94Costco Wholesale Corp22160K1051,697$1.6M0.16%
95Real Estate Select Sector SPDR ETF81369Y86033,455$1.4M0.15%
96Abbott LaboratoriesABLZF10,299$1.4M0.14%
97Emerson Electric CoEMR10,487$1.4M0.14%
98ConocoPhillipsCOP14,290$1.4M0.14%
99iShares Short Term National Muni Bond ETF46428815812,053$1.3M0.13%
100Caterpillar IncCAT2,629$1.3M0.13%
101Materials Select Sector SPDR ETF81369Y10013,817$1.2M0.13%
102General Electric Co3696043013,815$1.1M0.12%
103Northrop Grumman CorpNOC1,870$1.1M0.12%
104Verizon Communications IncVZ22,312$980,6040.10%
105AT&T IncT-PC34,313$969,0070.10%
106Merck & Co IncMRK10,884$913,4620.10%
107iShares U.S. Technology ETF4642877214,440$869,6180.09%
108Commercial Metals CoCMC14,610$836,8610.09%
109Corning IncGLW9,645$791,1790.08%
110CSW Industrials IncCSW3,212$779,7130.08%
111Sysco CorpSYY9,144$752,9250.08%
112Capital One Financial Corp14040H1053,500$744,0300.08%
113Pfizer IncPFE28,764$732,9130.08%
114Lockheed Martin CorpLMT1,396$696,6530.07%
115Boeing CoBA-PA3,064$661,3030.07%
116American Tower Corp03027X1003,323$639,0790.07%
117Mastercard IncMA1,111$631,9480.07%
118Sunoco Lp Com Unit Repstg Ltd Partnership IntSUN12,000$600,1200.06%
119CVS Health CorpCVS7,459$562,3460.06%
120GE Vernova IncGEV850$522,6650.05%
121iShares Core S&P 500 ETF464287200775$518,7080.05%
122iShares New York Muni Bond ETF4642883239,700$517,4950.05%
123SPDR Portfolio S&P 500 Growth ETF78464A4094,936$515,8610.05%
124iShares Core S&P Small-Cap ETF4642878044,261$506,3350.05%
125Norfolk Southern Corp6558441081,500$450,6150.05%
126Chubb LtdCB1,481$417,9880.04%
127Oshkosh CorpOSK3,131$406,0910.04%
128Extra Space Storage IncEXR2,812$396,3230.04%
129Walt Disney Co2546871063,435$393,3080.04%
130Hubbell IncHUBB900$387,2790.04%
131Bank of New York Mellon Corp0640581003,490$380,2700.04%
132Aflac IncAFL3,370$376,4290.04%
133Balchem CorpBCPC2,493$374,1000.04%
134Illinois Tool Works Inc4523081091,385$361,1530.04%
135SPDR Portfolio S&P 500 Value ETF78464A5086,462$357,5420.04%
136Amgen IncAMGN1,250$352,7500.04%
137Nuveen Municipal Value, IncNU39,215$352,1430.04%
1383M CoMMM2,197$340,9300.04%
139Tesla IncTSLA721$320,6430.03%
140PNC Financial Services Group Inc6934751051,575$316,4650.03%
141Digital Realty Trust Inc2538681031,815$313,7770.03%
142Invesco CEF Income Composite ETFIVZ15,704$313,6090.03%
143Bristol-Myers Squibb CompanyCELG-RI6,889$310,6940.03%
144Enbridge IncENNPF6,094$307,5470.03%
145Phillips 66PSX2,225$302,6450.03%
146Coca-Cola CoKO4,433$293,9970.03%
147Nuveen AMT-Free Quality Municipal Income FundNU23,870$271,8790.03%
148QUALCOMM IncQCOM1,609$267,6730.03%
149Etfis Ser Tr I Virtus Infracap US Pfd Stk ETF26923G82212,000$260,5200.03%
150Honeywell International Inc4385161061,223$257,4420.03%
151Cardinal Health IncCAH1,600$251,1360.03%
152iShares S&P 500 Growth ETF4642873092,075$250,4940.03%
153PPL CorpPPLC6,625$246,1850.03%
154BP PLCBPPFF7,139$246,0100.03%
155Alps Barrons 400 ETF00162Q7263,000$243,5500.03%
156Valero Energy CorpVLO1,425$242,6210.03%
157Consolidated Edison IncED2,383$239,5390.02%
158Cigna Corp125523100811$233,7710.02%
159Devon Energy Corp25179M1036,600$231,3960.02%
160The Hershey CoHSY1,164$217,7260.02%
161Intel CorpINTC6,350$213,0430.02%
162Rithm Capital CorpRITM-PF18,377$209,3140.02%
163SPDR Gold Shares ETFGLD581$206,5280.02%
164Texas Instruments Inc8825081041,100$202,1030.02%
165AGNC Investment Corp00123Q10416,000$156,6400.02%
166Brookfield Real Assets Income Fund Inc - Shs Ben IntRA10,000$133,6000.01%
167Nuveen Municipal Credit Income FundNU10,500$131,8800.01%
168Mach Natural Resources LPMNR10,000$131,8000.01%
169Nuveen AMT-Free Municipal Credit Income FundNU10,500$129,0450.01%
170Open Lending CorpLPRO58,445$123,3190.01%
171Nuveen Municipal High Income Opportunity FundNU11,500$121,7850.01%
172Pangaea Logistics Solution LtdG6891L10523,000$116,8400.01%
173Amcor PlcAMCCF11,000$89,9800.01%
174Eagle Point Credit Co LLCECCW10,500$69,4050.01%
175BrightSpire Capital IncBRSP12,000$65,1600.01%
176Ready Capital CorpRC-PE15,700$60,7590.01%
177Platinum Group Metals LtdPLG13,150$34,8480.00%