13F

Investor

FOUNDERS CAPITAL MANAGEMENT, LLC

CIK 0001585828 · filed 2026-04-23 · SEC filing

13F book

$608.4M

Positions

74

0 new · 5 sold

Largest name

20.8%

Alphabet Inc

Est. mark

−$38.4M

Price effect on 74 names still held. Flow −$26.6M.
NameTickerSharesValueWeightEst. markChange
Alphabet Inc441.4K$126.6M20.8%−$11.9MCut−$12.4M
Berkshire Hathaway Inc Del140.4K$67.3M11.1%−$3.29MAdded−$3.22M
Meta Platforms, Inc.META92.5K$52.9M8.7%−$8.14MHeld
Microsoft CorpMSFT121.9K$45.1M7.4%−$13.7MAdded−$13.1M
Alphabet Inc111.4K$32M5.3%−$2.83MCut−$2.84M
Fedex CorpFDX68.1K$24.3M4.0%$4.59MCut$4.54M
American Express CoAXP75.6K$22.9M3.8%−$5.1MCut−$5.18M
Apple Inc.AAPL74K$18.8M3.1%−$1.34MCut−$1.42M
Spdr S&P 500 Etf Tr27K$17.6M2.9%−$853.4KAdded−$833.9K
Csx CorpCSX405.3K$16.6M2.7%$1.95MCut$1.91M
Pepsico IncPEP83.9K$13M2.1%$987.3KAdded$993.8K
Union Pac Corp49.6K$12M2.0%$560.7KHeld
United Parcel Service IncUPS114.9K$11.3M1.9%−$93KCut−$376.1K
Home Depot, Inc.HD31.7K$10.4M1.7%−$481.6KCut−$673.6K
Coca Cola CoKO128K$9.74M1.6%$786.2KCut$692.9K
Vanguard Scottsdale Fds30.2K$8.91M1.5%−$420.4KHeld
Lockheed Martin CorpLMT14.2K$8.58M1.4%$1.71MCut$1.61M
Invesco Qqq Tr13.7K$7.89M1.3%−$507.2KAdded−$504.9K
General Dynamics CorpGD22.8K$7.84M1.3%$149.9KCut−$266.6K
Disney Walt Co77.5K$7.47M1.2%−$1.35MCut−$1.41M
Amgen IncAMGN18.9K$6.64M1.1%$462.9KHeld
Regeneron Pharmaceuticals, Inc.REGN8.2K$6.34M1.0%$6.32KHeld
Comcast Corp New211.8K$6.08M1.0%−$249.9KCut−$250.3K
Johnson & JohnsonJNJ22.9K$5.6M0.9%$858.5KCut$843.6K
Canadian Natl Ry Co53.3K$5.48M0.9%$203.7KAdded$343.6K
Lowes Cos Inc21.9K$5.18M0.9%−$107KCut−$134.2K
AbbVie Inc.ABBV22.9K$4.98M0.8%−$251.8KHeld
Cisco Sys Inc45.2K$3.51M0.6%$25.3KCut$18.5K
M & T Bk Corp15.5K$3.2M0.5%$81.1KCut$73.6K
Restaurant Brands Intl Inc41.8K$3.09M0.5%$237.1KHeld
Abbott LabsABT29.7K$3.04M0.5%−$670.9KHeld
Chevron Corp NewCVX13.5K$2.79M0.5%$734.6KCut$724.5K
Bank America Corp2.22K$2.64M0.4%−$134.1KCut−$152.8K
Stryker CorpSYK7.06K$2.32M0.4%−$161.5KHeld
Kraft Heinz CoKHC101K$2.27M0.4%−$172.4KAdded−$105K
Warner Bros. Discovery, Inc.WBD72.1K$1.98M0.3%−$98KHeld
RTX CorpRTX7.93K$1.53M0.3%$75.3KCut$67K
Mohawk Inds Inc14.1K$1.39M0.2%−$152.7KHeld
Lam Research CorpLRCX5.61K$1.2M0.2%$238.3KHeld
Mckesson CorpMCK1.38K$1.19M0.2%$62KCut−$107.8K
Walmart Inc.WMT7.59K$943.8K0.2%$97.7KHeld
Procter And Gamble CoPG6.13K$886K0.1%$6.93KHeld
Wells Fargo Co New741$855.9K0.1%−$42.2KHeld
Webster Finl Corp11.1K$769.1K0.1%$71.8KHeld
Taiwan Semiconductor Mfg Ltd2.16K$729K0.1%$73.5KHeld
Oracle Corp4.93K$725.8K0.1%−$235.8KHeld
Berkshire Hathaway Inc Del1$718.1K0.1%−$36.7KHeld
Boston Beer Co IncSAM3K$690K0.1%$105.6KHeld
New York Times CoNYT8K$669.8K0.1%$114.5KHeld
Markel Group Inc.MKL346$662.3K0.1%−$81.5KHeld
Amazon Com IncAMZN3.16K$658.8K0.1%−$70.9KAdded−$66.7K
Thermo Fisher Scientific Inc.TMO1.26K$617.9K0.1%−$110.5KHeld
Camden Natl Corp13K$616.3K0.1%$52.9KHeld
Cigna GroupCI2.3K$614.3K0.1%−$19.5KCut−$25.9K
Mastercard IncMA1.04K$522.1K0.1%−$74.4KHeld
Fastenal CoFAST10.4K$483.9K0.1%$65.4KHeld
Bank America Corp9.72K$473.8K0.1%−$60.7KCut−$64.7K
Norfolk Southn Corp1.42K$406.7K0.1%−$2.44KHeld
Wells Fargo Co New5K$398.1K0.1%−$67.9KCut−$22.3M
CARRIER GLOBAL CorpCARR6.6K$371.6K0.1%$22.6KAdded$27.9K
Intel CorpINTC8.26K$364.5K0.1%$59.7KCut$52.7K
Shell Plc3.5K$325.1K0.1%$68.2KHeld
Keycorp14.9K$297.9K0.0%−$8.77KHeld
Visa Inc.V980$296.2K0.0%−$47.5KHeld
Darden Restaurants IncDRI1.5K$294.1K0.0%$18KHeld
Cummins IncCMI519$279.2K0.0%$14.3KHeld
Medtronic PlcMDT3.18K$275.9K0.0%−$30KCut−$445.4K
Adams Diversified Equity Fd12.1K$265.9K0.0%−$17.2KAdded−$15K
Unitedhealth Group IncUNH982$265.7K0.0%−$58.4KHeld
Caterpillar IncCAT352$249.4K0.0%$47.7KHeld
First Bancorp P R11K$235K0.0%$6.93KCut−$304K
Hartford Insurance Group Inc1.57K$211.8K0.0%−$4.03KHeld
Jpmorgan Chase & Co.699$205.6K0.0%−$19.6KCut−$37.3K
Ofg BancorpOFG5K$202.3K0.0%−$2.6KCut−$207.5K

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.