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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

Blue Chip Partners, LLC

Quarter ended Q3 2025 · Filed November 17, 2025 · Accession 0001632801-25-000009

Total Value
$1.34B
Positions
164
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (164)

#IssuerTicker / CUSIPSharesValue% of Filing
1FIDELITY MERRIMACK STR TR3161883092,727,917$126.1M9.43%
2BROADCOM INCAVGO172,255$56.8M4.25%
3APPLE INCAAPL223,024$56.8M4.25%
4MICROSOFT CORPMSFT100,210$51.9M3.88%
5JPMORGAN CHASE & CO.VYLD151,880$47.9M3.58%
6ALPHABET INCGOOG194,456$47.4M3.54%
7ABBVIE INCABBV188,981$43.8M3.27%
8CAPITAL GRP FIXED INCM ETF T14020Y2011,565,047$42.7M3.19%
9MORGAN STANLEYMS-PQ262,989$41.8M3.13%
10SELECT SECTOR SPDR TR81369Y506376,829$33.7M2.52%
11HOME DEPOT INCHD80,191$32.5M2.43%
12AMAZON COM INCAMZN141,734$31.1M2.33%
13COSTCO WHSL CORP NEW22160K10532,943$30.5M2.28%
14VISA INCV88,707$30.3M2.26%
15BLACKROCK INCBLK25,909$30.2M2.26%
16WASTE MGMT INC DEL94106L109128,885$28.5M2.13%
17QUANTA SVCS INC74762E10267,984$28.2M2.11%
18KLA CORPKLAC25,836$27.9M2.08%
19OREILLY AUTOMOTIVE INC67103H107257,991$27.8M2.08%
20TJX COS INC NEW872540109190,724$27.6M2.06%
21ABBOTT LABSABLZF201,876$27.0M2.02%
22PHILIP MORRIS INTL INC718172109154,914$25.1M1.88%
23EATON CORP PLCETN66,777$25.0M1.87%
24ASML HOLDING N VASMLF23,979$23.2M1.74%
25VICI PPTYS INC925652109700,463$22.8M1.71%
26FIRST TR EXCHANGE-TRADED FD33741X102563,009$21.4M1.60%
27ROLLINS INCROL327,282$19.2M1.44%
28MERCK & CO INCMRK228,418$19.2M1.43%
29META PLATFORMS INCMETA26,099$19.2M1.43%
30ZOETIS INCZTS129,160$18.9M1.41%
31ELI LILLY & COLLY23,829$18.2M1.36%
32DTE ENERGY CODTK127,510$18.0M1.35%
33UNITEDHEALTH GROUP INCUNH50,167$17.3M1.30%
34TARGET CORPTGT192,703$17.3M1.29%
35XCEL ENERGY INCXELLL204,575$16.5M1.23%
36MONSTER BEVERAGE CORP NEWMNST241,817$16.3M1.22%
37NEXTERA ENERGY INCNEE-PW175,150$13.2M0.99%
38PEPSICO INCPEP81,335$11.4M0.85%
39ISHARES TR464287226109,295$11.0M0.82%
40J P MORGAN EXCHANGE TRADED F46641Q159144,954$6.7M0.50%
41BANK AMERICA CORP060505104112,082$5.8M0.43%
42MCDONALDS CORPMCD16,944$5.1M0.39%
43NVIDIA CORPORATIONNVDA24,046$4.5M0.34%
44RTX CORPORATIONRTX23,976$4.0M0.30%
45VANGUARD SPECIALIZED FUNDS92190884416,865$3.6M0.27%
46AUTOMATIC DATA PROCESSING INADP11,037$3.2M0.24%
47COCA COLA COKO48,338$3.2M0.24%
48ALPHABET INCGOOG12,881$3.1M0.23%
49PROCTER AND GAMBLE CO74271810920,027$3.1M0.23%
50TEXAS INSTRS INC88250810415,845$2.9M0.22%
51SPDR S&P 500 ETF TRSPY4,109$2.7M0.20%
52AGREE RLTY CORP00849210037,254$2.6M0.20%
53WALMART INCWMT24,272$2.5M0.19%
54LOCKHEED MARTIN CORPLMT4,797$2.4M0.18%
55JOHNSON & JOHNSONJNJ12,208$2.3M0.17%
56SELECT SECTOR SPDR TR81369Y8037,715$2.2M0.16%
57PENSKE AUTOMOTIVE GRP INC70959W10312,472$2.2M0.16%
58NORFOLK SOUTHN CORP6558441087,096$2.1M0.16%
59UNION PAC CORPUNP8,908$2.1M0.16%
60BERKSHIRE HATHAWAY INC DELBRK-A4,043$2.0M0.15%
61DT MIDSTREAM INCDTM17,689$2.0M0.15%
62VANGUARD WHITEHALL FDS92194640613,620$1.9M0.14%
63AMGEN INCAMGN6,446$1.8M0.14%
64CATERPILLAR INCCAT3,692$1.8M0.13%
65EXXON MOBIL CORPXOM15,287$1.7M0.13%
66SELECT SECTOR SPDR TR81369Y60529,002$1.6M0.12%
67GLOBAL X FDS37954Y48387,078$1.5M0.11%
68INVESCO EXCHANGE TRADED FD TIVZ7,608$1.4M0.11%
69GLOBAL X FDS37954Y47536,758$1.4M0.11%
70STRYKER CORPORATIONSYK3,660$1.4M0.10%
71J P MORGAN EXCHANGE TRADED F46641Q83725,835$1.3M0.10%
72VANGUARD INDEX FDS9229086526,117$1.3M0.10%
73ADOBE INCADBE3,613$1.3M0.10%
74SELECT SECTOR SPDR TR81369Y7047,857$1.2M0.09%
75SELECT SECTOR SPDR TR81369Y2098,169$1.1M0.09%
76J P MORGAN EXCHANGE TRADED F46641Q33219,747$1.1M0.08%
77INTERNATIONAL BUSINESS MACHSINTR3,955$1.1M0.08%
78VANGUARD INDEX FDS9229083631,679$1.0M0.08%
79UBER TECHNOLOGIES INCUBER10,196$998,9030.07%
80DIMENSIONAL ETF TRUST25434V70824,936$961,7880.07%
81ISHARES TR4642875233,448$934,8600.07%
82ADVANCED MICRO DEVICES INCAMD5,555$898,7440.07%
83ISHARES TR4642876141,850$866,7660.06%
84INTUITIVE SURGICAL INCISRG1,914$855,9990.06%
85QUALCOMM INCQCOM4,986$829,5040.06%
86TESLA INCTSLA1,856$825,4010.06%
87CISCO SYS INCCSCO11,886$813,2130.06%
88VIKING HOLDINGS LTDVIK12,813$796,4570.06%
89CELSIUS HLDGS INCCELH13,526$777,6100.06%
90ISHARES GOLD TRIAU10,483$762,8480.06%
91ISHARES TR46434V45617,060$753,8910.06%
92AON PLCAON2,100$748,8740.06%
93VANGUARD INDEX FDS9229087361,517$727,7160.05%
94REV GROUP INC74952710712,603$714,2130.05%
95DEERE & CODE1,529$699,1430.05%
96COMERICA INC20034010710,054$688,9120.05%
97SELECT SECTOR SPDR TR81369Y8525,682$672,5920.05%
98AMERICAN ELEC PWR CO INC0255371015,945$668,8540.05%
99ISHARES TR46432F8427,427$648,4400.05%
100CUMMINS INCCMI1,506$636,0620.05%
101FORD MTR CO34537086051,755$618,9930.05%
102DECKERS OUTDOOR CORPDECK5,723$580,1410.04%
103SELECT SECTOR SPDR TR81369Y4072,259$541,3580.04%
104VERTEX PHARMACEUTICALS INCVRTX1,375$538,5050.04%
105ISHARES TR4642876891,381$523,1540.04%
106ISHARES TR4642884144,710$501,5790.04%
107VANGUARD INDEX FDS9229087442,676$499,0830.04%
108INVESCO QQQ TRIVZ818$491,2920.04%
109NETFLIX INCNFLX379$454,3910.03%
110VANECK ETF TRUST92189F6924,977$449,7220.03%
111RAYMOND JAMES FINL INC7547301092,589$446,9060.03%
112INVESCO EXCH TRADED FD TR IIIVZ1,787$441,6220.03%
113JOHNSON CTLS INTL PLCG515021053,842$422,4230.03%
114JANUS DETROIT STR TR47103U8458,303$421,6300.03%
115AT&T INCT-PC14,765$416,9740.03%
116VERIZON COMMUNICATIONS INCVZ9,320$409,6000.03%
117INVESCO EXCHANGE TRADED FD TIVZ3,556$407,7560.03%
118BLACKSTONE INCBX2,371$405,0300.03%
119REGENERON PHARMACEUTICALSREGN719$404,1500.03%
120ILLINOIS TOOL WKS INC4523081091,545$403,0040.03%
121CAVA GROUP INCCAVA6,620$399,9150.03%
122REPUBLIC SVCS INC7607591001,741$399,5800.03%
123ORACLE CORPORCL-PD1,368$384,6450.03%
124ANALOG DEVICES INCADI1,549$380,6790.03%
125ISHARES TR4642873093,153$380,6260.03%
126MASTERCARD INCORPORATEDMA657$373,9520.03%
127SELECT SECTOR SPDR TR81369Y1003,993$357,8350.03%
128DELTA AIR LINES INC DELDAL6,270$355,8330.03%
129UNITED PARCEL SERVICE INCUPS4,202$351,0130.03%
130KIMBERLY-CLARK CORPKMB2,758$342,9540.03%
131ISHARES TR4642874081,656$341,9270.03%
132ISHARES TR4642875152,868$329,8960.02%
133SCHWAB STRATEGIC TR80852479711,788$321,7990.02%
134SELECT SECTOR SPDR TR81369Y8863,597$313,6880.02%
135WEC ENERGY GROUP INCWEC2,624$300,6720.02%
136ALPS ETF TR00162Q3956,690$299,7120.02%
137DIGITAL RLTY TR INC2538681031,680$290,4410.02%
138SHELL PLCRYDAF3,977$284,4780.02%
139CHEVRON CORP NEWCVX1,818$282,3850.02%
140ISHARES TR4642882572,025$279,9560.02%
141SPDR GOLD TRGLD773$274,7790.02%
142TECNOGLASS INCTGLS4,000$267,6400.02%
143AMERICAN TOWER CORP NEW03027X1001,373$263,9730.02%
144MARRIOTT INTL INC NEW5719032021,008$262,4860.02%
145SELECT SECTOR SPDR TR81369Y8606,187$260,6720.02%
146HEICO CORP NEWHEI-A1,022$259,6800.02%
147VANGUARD BD INDEX FDS9219378273,240$255,7010.02%
148COMFORT SYS USA INC199908104300$247,7280.02%
149SELECT SECTOR SPDR TR81369Y3083,135$245,6740.02%
150EATON VANCE TAX-MANAGED DIVEETN15,447$245,6050.02%
151MICRON TECHNOLOGY INCMU1,425$238,3520.02%
152ISHARES TR4642874652,549$238,0100.02%
153VANGUARD INDEX FDS922908769719$236,0630.02%
154HONEYWELL INTL INC4385161061,120$235,8040.02%
155INTUITINTU342$233,5930.02%
156ISHARES TR4642875802,207$231,3450.02%
157ISHARES TR4642878041,905$226,3530.02%
158PFIZER INCPFE8,864$225,8630.02%
159TRANE TECHNOLOGIES PLCTT523$220,4940.02%
160ISHARES TR464287200328$219,6790.02%
161ALTRIA GROUP INCMO3,219$212,6630.02%
162GENUINE PARTS COGPC1,468$203,4990.02%
163SYSCO CORPSYY2,435$200,4640.01%
164EATON VANCE TAX-MANAGED GLOBETN11,486$104,5250.01%