FCHI8,141.92-0.19%
GDAXI24,083.53-0.19%
DJI49,147.75-0.17%
XLE56.74-0.24%
STOXX50E5,860.32-0.39%
XLF51.760.65%
FTSE10,321.09-0.56%
IXIC24,872.590.14%
RUT2,788.660.06%
GSPC7,171.880.09%
Temp29.4°C
UV12.5
Feels33.5°C
Humidity66%
Wind13.7 km/h
Air QualityAQI 1
Cloud Cover25%
Rain0%
Sunrise06:00 AM
Sunset06:47 PM
Time12:39 PM

Institutional Manager · CIK 0001122490

HALL CAPITAL MANAGEMENT CO INC

BARRINGTON, RI · File #028-16945

Latest AUM
$259.1M
Positions
98
Top-10 Concentration
52.2%
Filings
8

Portfolio Value Over Time

2023-12
2024-03
2024-06
2024-12
2025-03
2025-06
2025-09
2025-12

Biggest QoQ Changes

Ranked by conviction flow (share change × current price) so mark-to-market moves don't dominate. Price effect column shows how much of the $ change was just the stock moving.

ActionIssuerTicker / CUSIPΔ SharesFlow ($)Price Effect
ADDVANGUARD INTL EQUITY INDEX F922042775+41,607+$3.1M+$421,833
ADDSELECT SECTOR SPDR TR81369Y506+56,038+$2.5M-$2.5M
ADDVANGUARD SCOTTSDALE FDS92206C870+25,195+$2.1M-$77,056
REDUCEKIMBERLY-CLARK CORPKMB-16,805-$1.7M-$485,955
ADDISHARES TR464288646+27,578+$1.5M-$32,915
NEWPROFESIONALLY MANAGED PORTFO74316P579+14,833+$971,710$0
ADDJANUS DETROIT STR TR47103U845+14,838+$750,506-$29,646
EXITEDCLOROX CO DEL189054109-2,851-$351,528$0
ADDVANGUARD INDEX FDS922908629+1,077+$312,567-$144,559
NEWPALO ALTO NETWORKS INCPANW+1,506+$277,405$0

Sector Allocation

Technology
14.6%$37.9M
Healthcare
6.2%$16.1M
Financials
4.2%$10.8M
Industrials
3.4%$8.8M
Utilities
0.2%$601,943
Energy
0.1%$362,300

Filing History

Top 20 Holdings — Dec 2025

#IssuerTickerSharesValue% of Portfolio
1VANGUARD SCOTTSDALE FDS92206C870239,239$20.0M8.42%
2MICROSOFT CORPMSFT36,997$17.9M7.52%
3VANGUARD INTL EQUITY INDEX F922042775234,225$17.2M7.24%
4ISHARES TR464288646247,010$13.1M5.49%
5VANGUARD INDEX FDS92290862942,145$12.2M5.14%
6APPLE INCAAPL41,339$11.2M4.72%
7JPMORGAN CHASE & CO.VYLD29,471$9.5M3.99%
8JANUS DETROIT STR TR47103U845163,067$8.2M3.47%
9ALPHABET INCGOOG26,123$8.2M3.44%
10WALMART INCWMT60,270$6.7M2.82%
11JOHNSON & JOHNSONJNJ29,166$6.0M2.54%
12COSTCO WHSL CORP NEW22160K1055,864$5.1M2.12%
13SELECT SECTOR SPDR TR81369Y506112,252$5.0M2.11%
14VANECK ETF TRUST92189F67613,127$4.7M1.99%
15WASTE MGMT INC DEL94106L10920,301$4.5M1.87%
16AUTOMATIC DATA PROCESSING INADP16,439$4.2M1.78%
17PEPSICO INCPEP26,797$3.8M1.62%
18AMAZON COM INCAMZN16,307$3.8M1.58%
19MCDONALDS CORPMCD11,985$3.7M1.54%
20ABBVIE INCABBV15,944$3.6M1.53%