13F

Investor

HALL CAPITAL MANAGEMENT CO INC

CIK 0001122490 · filed 2026-05-11 · SEC filing

13F book

$279.8M

Positions

107

10 new · 1 sold

Largest name

8.0%

Vanguard Intl Equity Index F

Est. mark

−$2.22M

Price effect on 97 names still held. Flow $22.9M.
NameTickerSharesValueWeightEst. markChange
Vanguard Intl Equity Index F277.3K$22.4M8.0%$1.72MAdded$5.21M
Vanguard Scottsdale Fds253.6K$21M7.5%−$215.3KAdded$974K
Microsoft CorpMSFT37.2K$15.2M5.4%−$2.81MAdded−$2.71M
Ishares Tr269.2K$14.2M5.1%−$71.6KAdded$1.09M
Vanguard Index Fds172.4K$13.3M4.8%−$8.97MAdded$1.1M
Apple Inc.AAPL48.4K$13.1M4.7%−$21.1KAdded$1.9M
Jpmorgan Chase & Co.29.4K$9.21M3.3%−$264.3KCut−$286.6K
Alphabet Inc23.6K$9.07M3.2%$1.69MCut$889K
Janus Detroit Str Tr172.6K$8.72M3.1%−$9.78KAdded$472.9K
Walmart Inc.WMT64K$8.45M3.0%$1.24MAdded$1.73M
Johnson & JohnsonJNJ27.5K$6.32M2.3%$629.4KCut$281.8K
Costco Whsl Corp New6K$6.09M2.2%$892.4KAdded$1.04M
Select Sector Spdr Tr100.7K$6.01M2.1%$1.5MCut$987.8K
Vaneck Etf Trust11.2K$5.68M2.0%$1.64MCut$951.4K
Waste Mgmt Inc Del20.3K$4.72M1.7%$260.7KAdded$261.4K
Amazon Com IncAMZN16.5K$4.36M1.6%$558.4KAdded$599.2K
Pepsico IncPEP27.2K$4.31M1.5%$401.2KAdded$461.2K
Union Pac Corp15.2K$4.09M1.5%$541.3KAdded$806.2K
Digital Rlty Tr Inc18.8K$3.78M1.3%$834.4KAdded$982.9K
Ishares Tr44.7K$3.59M1.3%−$9.44KAdded$545.8K
Mcdonalds CorpMCD12K$3.53M1.3%−$144.3KAdded−$134.6K
Vanguard Specialized Funds15.4K$3.52M1.3%$114.7KAdded$696.5K
Automatic Data Processing In16.1K$3.4M1.2%−$727.3KCut−$825.3K
Visa Inc.V10.3K$3.38M1.2%−$214.1KCut−$247.5K
Duke Energy Corp New25.8K$3.34M1.2%$289.8KAdded$592.3K
AbbVie Inc.ABBV15.6K$3.29M1.2%−$267.2KCut−$354.9K
Home Depot, Inc.HD8.89K$2.92M1.0%−$135.1KAdded−$112.7K
Lockheed Martin CorpLMT5.61K$2.91M1.0%$192.5KCut$70.2K
Nextera Energy Inc29.1K$2.85M1.0%$500.8KAdded$568.1K
Honeywell Intl Inc12.5K$2.68M1.0%$240.2KCut$231.6K
Oracle Corp16.4K$2.64M0.9%−$524.3KAdded−$408.6K
Nvidia CorpNVDA13.1K$2.61M0.9%$116.5KAdded$947.3K
Tjx Cos Inc New16.2K$2.54M0.9%$51KCut−$15.6K
Abbott LabsABT27.6K$2.51M0.9%−$944.3KAdded−$920.1K
Select Sector Spdr Tr46.3K$2.42M0.9%−$120.1KAdded−$76K
Meta Platforms, Inc.META3.76K$2.3M0.8%−$172.6KAdded−$61.8K
American Express CoAXP6.99K$2.26M0.8%−$319.8KAdded−$265.2K
Berkshire Hathaway Inc Del4.56K$2.16M0.8%−$129.6KAdded−$85.6K
Emerson Elec Co14.8K$2.08M0.7%$114.1KAdded$121.8K
Vanguard Index Fds20.3K$1.95M0.7%$158.9KCut$154.4K
Vanguard Index Fds6.32K$1.8M0.6%$167.1KCut$157.8K
Broadcom Inc.AVGO4.23K$1.77M0.6%$301.1KAdded$304.8K
Coca Cola CoKO22.2K$1.75M0.6%$196.2KCut$185.8K
Procter And Gamble CoPG11.8K$1.73M0.6%$44.6KCut−$118.9K
Intuitive Surgical IncISRG3.69K$1.69M0.6%−$392KAdded−$353.1K
Blackstone Inc.BX11.8K$1.48M0.5%−$337KCut−$455.3K
Vanguard World Fd3.67K$1.44M0.5%−$1.23KAdded$14.5K
Bristol-Myers Squibb Co23.6K$1.43M0.5%New
Vanguard Index Fds5.99K$1.39M0.5%$123.5KCut$106.7K
Eli Lilly & CoLLY1.24K$1.16M0.4%−$30.5KAdded$926.5K
Vanguard Index Fds1.54K$1.01M0.4%$51.4KHeld
Spdr S&P 500 Etf Tr1.37K$986K0.4%$44.5KAdded$160.9K
Price T Rowe Group IncTROW9.31K$958K0.3%$4.66KCut−$112.3K
Alphabet Inc2.34K$894.9K0.3%$157.5KAdded$169.4K
Bank America Corp16K$854.1K0.3%−$24.6KCut−$75.6K
Profesionally Managed Portfo14.5K$786.6K0.3%−$163.1KCut−$185.1K
Tesla, Inc.TSLA1.96K$746.1K0.3%−$132.1KAdded−$126.4K
Berkshire Hathaway Inc Del1$711.9K0.3%−$42.9KHeld
Vanguard Index Fds3.4K$704.1K0.3%$53.8KCut$37.9K
Stryker CorpSYK1.91K$603.2K0.2%−$69.6KCut−$76.6K
Thermo Fisher Scientific Inc.TMO1.19K$570K0.2%−$119.6KCut−$165.4K
Caterpillar IncCAT613$545.6K0.2%$188.8KAdded$204.8K
Fidelity Covington Trust5.14K$524.7K0.2%−$411Held
Paychex IncPAYX5.61K$519.3K0.2%−$109.6KCut−$237.5K
Cameco CorpCCJ3.96K$487.2K0.2%$124.9KHeld
Yum Brands IncYUM2.98K$476.6K0.2%$25KHeld
Intel CorpINTC5.03K$475.5K0.2%New
Disney Walt Co4.55K$472.4K0.2%−$43.1KAdded−$16.5K
Merck & Co., Inc.MRK4.31K$470.3K0.2%$13.2KAdded$116.9K
Select Sector Spdr Tr2.94K$469.7K0.2%$45.7KCut−$48.6K
Schwab Strategic Tr14.2K$467.5K0.2%$4.12KHeld
Morgan Stanley2.33K$443.3K0.2%$17.3KAdded$207.9K
Boston Scientific CorpBSX7.55K$434.8K0.2%−$284.8KCut−$1.52M
Wisdomtree Tr4.54K$426.7K0.2%$20.4KHeld
Southern Co4.41K$426.5K0.2%$41.6KAdded$44.8K
Norfolk Southn Corp1.31K$415K0.1%$35.6KCut$20.6K
Analog Devices IncADI1K$402.3K0.1%New
BlackRock, Inc.BLK367$391.1K0.1%−$1.71KAdded$5.75K
Invesco Exch Traded Fd Tr Ii6.7K$374.8K0.1%$48.4KHeld
Starbucks CorpSBUX3.49K$367.9K0.1%$73.8KCut$47.5K
Crowdstrike Hldgs Inc800$356.6K0.1%New
Flexshares Tr1.63K$354.7K0.1%$19.7KHeld
GE Vernova Inc.GEV327$354.3K0.1%New
Medtronic PlcMDT4.31K$348.8K0.1%−$62.3KAdded−$47.5K
Hershey CoHSY1.88K$348.3K0.1%$7.05KHeld
Citizens Finl Group Inc5.09K$331K0.1%$33.8KCut−$13.1K
Ge Aerospace1.12K$324.7K0.1%−$19.6KAdded−$8.57K
Lowes Cos Inc1.33K$317.6K0.1%−$3.03KAdded$8.91K
3M COMMM2.16K$316.8K0.1%−$29.4KHeld
Kimberly Clark CorpKMB3.15K$310.3K0.1%−$7.75KCut−$85K
Chevron Corp NewCVX1.6K$309.7K0.1%New
Palo Alto Networks IncPANW1.67K$299.6K0.1%−$7.35KAdded$22.2K
Novartis Ag1.99K$293.5K0.1%$19.8KHeld
Mondelez Intl Inc4.76K$292.6K0.1%$33.9KAdded$52.7K
Spdr Series Trust1.9K$285.1K0.1%$20.7KHeld
Netflix IncNFLX3.03K$283.9K0.1%New
Darden Restaurants IncDRI1.41K$283K0.1%$23.3KHeld
Spdr Dow Jones Indl Average562$279.1K0.1%$9.04KHeld
Ishares Tr3.75K$272.9K0.1%$25.4KHeld
Goldman Sachs Group Inc277$255.9K0.1%$11.2KAdded$36.1K
Colgate Palmolive CoCL2.94K$251K0.1%$18.6KCut−$13.4K
Dominion Energy, IncD3.76K$242.4K0.1%$22.2KHeld
Bloom Energy CorpBE830$235.2K0.1%New
Vanguard Index Fds625$221.4K0.1%$11.8KHeld
Select Sector Spdr Tr1.83K$216.3K0.1%−$1.91KAdded$690
Global X Fds3K$204.6K0.1%New
Pfizer IncPFE7.62K$203.4K0.1%New

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.