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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 (Amended)

VESTOR CAPITAL, LLC

Quarter ended Q2 2023 · Filed May 10, 2023 · Accession 0001132699-23-000004

Total Value
$850,761
Positions
242
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (242)

#IssuerTicker / CUSIPSharesValue% of Filing
1Apple Inc ComAAPL344,109$56,7446.67%
2MicrosoftMSFT140,198$40,4194.75%
3Schlumberger LimitedSLB611,783$30,0393.53%
4Visa Inc Com Cl AV122,229$27,5583.24%
5Unitedhealth Group IncUNH49,931$23,5972.77%
6Cardinal Health Inc.CAH285,482$21,5542.53%
7Canadian Pacific LtdCP265,287$20,4112.40%
8McKesson CorpMCK53,850$19,1732.25%
9Pepsico IncPEP101,518$18,5072.18%
10Ishares Tr S&P 500 Index Fd46428720040,061$16,4681.94%
11SPDR S&P Midcap 400 TRMDY34,721$15,9161.87%
12Corteva Inc comCTVA259,643$15,6591.84%
13Nvidia CorpNVDA55,008$15,2791.80%
14S&Pglobal Inc ComSPGI43,941$15,1501.78%
15Ishares Tr MSCI Index464287465209,568$14,9881.76%
16Alphabet Inc. Class C CapitalGOOG140,022$14,5621.71%
17Merck & Co Inc New ComMRK136,136$14,4841.70%
18ConocoPhillipsCOP145,356$14,4211.70%
19McDonalds CorporationMCD51,336$14,3541.69%
20Becton DickinsonBDX56,102$13,8871.63%
21Home DepotHD45,125$13,3171.57%
22Palo Alto Networks IncPANW56,448$11,2751.33%
23Elevance Health IncELV24,226$11,1391.31%
24LyondellBasell Industries NVLYB115,896$10,8821.28%
25Broadcom LtdAVGO16,917$10,8531.28%
26Facebook Inc Cl AMETA51,000$10,8091.27%
27Verizon CommunicationsVZ256,021$9,9571.17%
28Fiserv IncFISV87,805$9,9251.17%
29JP Morgan Chase & CoVYLD73,872$9,6261.13%
30Marvell Technology IncMRVL209,270$9,0611.07%
31CrowdStrike Holdings IncCRWD65,042$8,9281.05%
32Snowflake Cl A OrdSNOW54,913$8,4731.00%
33Oracle Corp ComORCL-PD90,806$8,4380.99%
34Vanguard Emerging Markets Etf922042858203,124$8,2060.96%
35Advanced Micro Devices IncAMD83,676$8,2010.96%
36Abbott LaboratoriesABLZF80,347$8,1360.96%
37Thermo Electron CorpTMO14,091$8,1220.95%
38Autozone IncAZO3,256$8,0040.94%
39Procter & Gamble Co Com74271810952,421$7,7950.92%
40Select Sector SPDR TR Energy81369Y50693,840$7,7730.91%
41Eli Lilly & Co.LLY22,622$7,7690.91%
42Agilent Technologies Inc ComA52,385$7,2470.85%
43National Oilwell Varco IncNOV383,442$7,0980.83%
44Amazon Com IncAMZN65,398$6,7550.79%
45Vanguard Index Fds Reit92290855375,186$6,2430.73%
46Walgreen Boots Alliance Inc Co931427108179,418$6,2040.73%
47iShares MSCI Emerging Mkts ex46434G764120,457$5,9420.70%
48Waste Management Inc Com94106L10936,258$5,9160.70%
49Vanguard Utilities ETF92204A87640,003$5,9010.69%
50Airbnb IncABNB47,096$5,8590.69%
51Cloudflare IncNET93,374$5,7570.68%
52Vulcan Minerals Co92916010931,390$5,3850.63%
53O Reilly Automotive Inc67103H1076,308$5,3550.63%
54Adobe Systems IncADBE13,804$5,3200.63%
55Linde plcLIN14,917$5,3020.62%
56Abbvie Inc ComABBV30,522$4,8640.57%
57Monolithic Power Systems Inc6098391059,594$4,8020.56%
58Johnson & Johnson ComJNJ30,297$4,6960.55%
59IShares TR S&P 500 Growth Inde46428730972,814$4,6520.55%
60Union Pacific CorpUNP22,467$4,5220.53%
61FMC CorpFMC34,193$4,1760.49%
62Bunge LtdBG43,477$4,1530.49%
63Ishares Tr S&P Midcap 400 Inde46428750716,099$4,0270.47%
64Morgan Stanley Come NewMS-PQ44,149$3,8760.46%
65Ulta Salon Cosmetics & FragranULTA6,913$3,7720.44%
66Intl Flavors & Fragrances Inc45950610140,643$3,7380.44%
67Uber Technologies IncUBER117,525$3,7260.44%
68Danaher Corp. Del23585110214,721$3,7100.44%
69Illinois Tool Works45230810914,665$3,5700.42%
70TMobile US IncTMUSZ24,508$3,5500.42%
71Northrop Grumman CorpNOC7,432$3,4320.40%
72iShares Tr S&P Smallcap 60046428780434,944$3,3790.40%
73WASTE CONNECTIONS INC COMWCN23,407$3,2550.38%
74MSCI IncMSCI5,530$3,0950.36%
75Zscaler IncZS25,071$2,9290.34%
76Transocean LtdRIG454,571$2,8910.34%
77TechnipFMC PLCFTI207,216$2,8280.33%
78Canadian National Railroad13637510223,805$2,8080.33%
79Berkshire Hathaway Inc ABRK-A6$2,7940.33%
80EXPRO GROUP HLDGS NV COMN33462107142,541$2,6170.31%
81WisdomTree MidCap Dividend ETFWT61,252$2,5100.30%
82Seadrill LtdSDRL60,675$2,4370.29%
83WARNER BROS. DISCOVERY SRS A OWBD144,397$2,1800.26%
84The Trade Desk Inc Com Cl A88339J10535,499$2,1620.25%
85Datadog IncDDOG29,488$2,1430.25%
86Berkshire Hathaway Inc Del ClBRK-A6,686$2,0640.24%
87Wisdomtree Tr Smallcap Div FdWT72,163$2,0610.24%
88Main Street Capital Corp56035L10448,400$1,9100.22%
89Prologis ShsPLDGP12,764$1,5930.19%
90Intuitive Surgical IncISRG5,989$1,5300.18%
91Tesla Motors IncTSLA7,002$1,4530.17%
92Wintrust Financial Corp97650W10819,258$1,4050.17%
93Crown Castle Intl CorpCCI10,334$1,3830.16%
94Vanguard Mega Cap ETF 529F10891380730,783$1,0620.12%
95S&P Spider Trust Unit Series 1SPY2,502$1,0240.12%
96AON PLCAON3,193$1,0070.12%
97PORTILLOS CL A ORD73642K10646,677$9970.12%
98Exxon Mobil Corp ComXOM9,029$9900.12%
99Focus Financial Partners Inc34417P10019,000$9860.12%
100WisdomTree LargeCap Dividend EWT15,004$9280.11%
101Viatris IncVTRS95,298$9170.11%
102US Bancorp NewUSB-PS24,792$8940.11%
103Northern Trust CorporationNTRSO7,796$6870.08%
104Norfolk Southern Corp6558441083,174$6730.08%
105Boeing CompanyBA-PA3,066$6510.08%
106Spdr Gold Tr Gold Shs ETFGLD3,521$6450.08%
107Pfizer Inc.PFE14,952$6100.07%
108Costco Wholesale Corp22160K1051,043$5180.06%
109Universal Display CorpOLED3,255$5050.06%
110Hubbell IncHUBB2,066$5030.06%
111Coca Cola CompanyKO7,503$4650.05%
112AT&T IncT-PC23,209$4470.05%
113Alphabet Inc. Class A Common SGOOG4,304$4460.05%
114Vanguard Index Fds Total Stk M9229087691,933$3950.05%
115Gallagher Arthur J & Co3635761092,044$3910.05%
116Philip Morris Intl Inc Com7181721093,769$3670.04%
117Powershares QQQ Tr Unit Ser 1IVZ1,091$3500.04%
118Ares Cap Corp ComARCC17,198$3140.04%
119Vanguard 500 ETF922908363747$2810.03%
120Mondelez Intl Incl Cl A6092071053,873$2700.03%
121United Parcel Service Inc Cl BUPS1,368$2650.03%
122Illumina Inc Com Isin#US452327ILMN1,098$2550.03%
123Republic Bancorp Inc. Cl. ARBCAA5,594$2370.03%
124Invesco S&P 500 Quality ETFIVZ4,988$2360.03%
125Fidelity Blue Chip Growth ETF3160923528,918$2270.03%
126Kimberly Clark CorpKMB1,589$2130.03%
127Ford Motor Co.34537086016,493$2080.02%
128Altria Group IncMO4,582$2040.02%
129Valero EnergyVLO1,450$2020.02%
130Chevron CorpCVX1,218$1990.02%
131Starbucks Corp ComSBUX1,882$1960.02%
132Marathon Pete Corp ComMPC1,415$1910.02%
133General Electric Co3696043011,978$1890.02%
134Motorola Solutions Inc ComMSI661$1890.02%
135Walt Disney2546871061,853$1860.02%
136Sector Spdr Tr Shs Ben Int Tec81369y8031,206$1820.02%
137Old National Bancorp68003310712,548$1810.02%
138Phillips 66 ComPSX1,727$1750.02%
139CME Group IncCME903$1730.02%
140Bank of America Corp0605051045,822$1670.02%
141Xcel Energy IncXELLL2,442$1650.02%
142Cisco Systems Inc.CSCO3,053$1600.02%
143Occidental Petroleum Corp6745991052,546$1590.02%
1443M CompanyMMM1,495$1570.02%
145Marsh & McLennan571748102911$1520.02%
146Raytheon Technologies OrdRTX1,540$1510.02%
147Jefferies Group Inc New Com47233W1094,646$1470.02%
148Middleby CorpMIDD1,000$1470.02%
149Duke Energy Corp New Com NewDUKB1,523$1470.02%
150Huntington Bancshares IncHBANP12,917$1450.02%
151iShares Tr Russell 1000 Gorwth464287614586$1430.02%
152iShares US Treasury Bond46429B2676,013$1410.02%
153Commerce BancsharesCBSH2,356$1370.02%
154Wisconsin Energy CorpWEC1,449$1370.02%
155Vanguard S&P 500 Growth ETF921932505585$1350.02%
156International Business MachineINTR1,024$1340.02%
157Viad Corp Com New92552r4066,354$1320.02%
158Vanguard Small Cap ETF 529F1089138314,822$1280.02%
159Arista Networks IncANET738$1240.01%
160Salesforce.com IncCRM603$1200.01%
161iShares Trust Russell 2000 Ind464287655657$1170.01%
162Colgate PalmoliveCL1,560$1170.01%
163Vanguard Information Technolog92204A702300$1160.01%
164Simon Property Group Inc8288061091,000$1120.01%
165Autodesk IncADSK531$1110.01%
166BP Plc Spons ADRBPPFF2,895$1100.01%
167Constellation Brands Inc Cl ASTZ480$1080.01%
168Nuveen Dividend Advantage MuniNU9,319$1070.01%
169Vanguard Spcld Port Div App In921908844689$1060.01%
170MasTec IncMTZ1,108$1050.01%
171MercadoLibre IncMELI80$1050.01%
172St Microelectronics NVSTMEF1,900$1020.01%
173Stryker CorpSYK350$1000.01%
174Wal Mart Stores IncWMT676$1000.01%
175Fifth Third BancorpFITBM3,494$930.01%
176SPDR S&P Dividend ETF78464A763752$930.01%
177Target Corp ComTGT541$900.01%
178American States Water Co0298991011,000$890.01%
179Select Sector Spdr Fd Utilitie81369y8861,233$830.01%
180Select Sector Spdr Fd Healthca81369y209644$830.01%
181Saia IncSAIA295$800.01%
182Blackstone Group L P Com UnitBX900$790.01%
183iShares Tr Lehman US Aggregate464287226763$760.01%
184Ciena CorpCIEN1,431$750.01%
185iShares Tr Russell 1000 Value464287598483$740.01%
186American Financial Group Inc.025932104600$730.01%
187Charles Schwab Corp. NewSCHW-PJ1,397$730.01%
188Halliburton CoHAL2,298$730.01%
189Applied Materials038222105583$720.01%
190Yum Brands Inc CommonYUM536$710.01%
191Seagram LTD922908629337$710.01%
192Caci International Inc Class A127190304240$710.01%
193Liberty Broadband Corp Com SerLBRDP853$700.01%
194International Paper Co4601461031,937$700.01%
195Emerson Electric CompanyEMR808$700.01%
196Select Sector SPDR Tr Consumer81369Y308927$690.01%
197Select Sector Spdr Tr Consumer81369y407447$670.01%
198Vanguard Health Care ETF92204A504275$660.01%
199Intel CorpINTC2,031$660.01%
200Archer Daniels MidlandADM821$650.01%
201Exelon CorpEXC1,549$650.01%
202Analog DevicesADI327$640.01%
203Thomson Reuters Corp ComTMSOF476$620.01%
204Schwab US REIT ETF8085248473,108$610.01%
205Select Sector SPDR TR Financia81369Y6051,895$610.01%
206Vertex Pharmaceuticals Inc92532f100193$610.01%
207Liberty Media Corp Delaware CoFWONB2,130$600.01%
208Eversource EnergyES765$600.01%
209F N B Corp PA3025201015,078$590.01%
210Star Bulk Carriers CorpSBLK2,804$590.01%
211Invesco Taxable Municipal BondIVZ2,143$580.01%
212Ameron Intl Inc Com001744101696$580.01%
213Dollar Tree IncDLTR406$580.01%
214Devon Energy Corp.25179m1031,134$570.01%
215Vanguard Interm Tm Corp Bd Idx92206C870697$560.01%
216Qualcomm CorpQCOM434$550.01%
217Liberty Global Plc Shs Cl CLBTYK2,718$550.01%
218GE HEALTHCARE TECHNOLOGIES ORDGEHC658$540.01%
219Sector Spdr Tr Shs Ben Int Ind81369y704530$540.01%
220Business Development Corp Of A12325J1017,411$540.01%
221American Waterworks Co Inc030420103361$530.01%
222Dominion Resources Inc VaD946$530.01%
223MR COOPER GROUP INC62482R1071,245$510.01%
224The Travelers Companies Inc CoTRV287$490.01%
225National Fuel Gas CoNFG850$490.01%
226Las Vegas Sands CorpLVS856$490.01%
227Select Sector Spdr Fd Material81369y100610$490.01%
228First Busey CorpBUSEP2,375$480.01%
229American Express Co.AXP290$480.01%
230Exact Sciences Corp30063P105675$460.01%
231Indevus Pharmaceuticals Inc46435G326754$460.01%
232Skyworks Solutions IncSWKS385$450.01%
233Diageo PLCDGEAF248$450.01%
234First Merchants CorpFRMEP1,355$450.01%
235iShares Core MSCI Emerging Mar46434G103923$450.01%
236Sony Group CorpSNEJF500$450.01%
237Churchill Downs IncCHDN166$430.01%
238Ishares 13 Year Treasury Index464287457526$430.01%
239PNC Financial693475105335$430.01%
240Healthcare Trust of America In42226K1052,163$420.00%
241Medtronic IncMDT501$400.00%
242Constellation Energy Group IncCEG515$400.00%