13F

Investor

Maple Capital Management, Inc.

CIK 0001313893 · filed 2026-05-08 · SEC filing

13F book

$1.49B

Positions

119

7 new · 4 sold

Largest name

8.8%

Apple Inc. · AAPL

Est. mark

−$79.4M

Price effect on 112 names still held. Flow −$15.4M.
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL516.4K$131.1M8.8%−$9.33MCut−$11.6M
Alphabet Inc421.7K$121M8.1%−$11.4MCut−$18.3M
Nvidia CorpNVDA657.5K$114.7M7.7%−$7.96MCut−$9.31M
Microsoft CorpMSFT260.5K$96.4M6.5%−$29.6MCut−$30.4M
Amazon Com IncAMZN411K$85.6M5.7%−$9.22MAdded−$8.76M
Costco Whsl Corp New63.6K$63.4M4.2%$8.53MCut$7.75M
Meta Platforms, Inc.META99.5K$56.9M3.8%−$8.75MCut−$9.48M
Ishares Tr387.5K$48.2M3.2%$1.6MAdded$1.71M
Jpmorgan Chase & Co.159.7K$47M3.1%−$4.48MCut−$12.9M
Texas Instrs Inc236.9K$46M3.1%$4.89MCut$4.58M
Eli Lilly & CoLLY47.5K$43.6M2.9%−$7.35MCut−$8.16M
Johnson & JohnsonJNJ172K$42M2.8%$6.45MCut$5.86M
Mastercard IncMA81.9K$40.9M2.7%−$5.83MCut−$6.18M
Chevron Corp NewCVX178.7K$37M2.5%$9.74MAdded$9.74M
Tjx Cos Inc New224.2K$35.8M2.4%$1.37MCut$809.6K
Honeywell Intl Inc156.2K$35.3M2.4%$4.83MCut$4.55M
Applied Matls Inc98.9K$33.8M2.3%$8.36MAdded$8.46M
Morgan Stanley181.4K$29.8M2.0%−$2.35MCut−$9.53M
Broadcom Inc.AVGO86.7K$26.8M1.8%−$2.9MAdded−$568.4K
Home Depot, Inc.HD77.3K$25.4M1.7%−$1.18MCut−$4.86M
Ge Aerospace86.9K$24.7M1.7%−$2.08MAdded−$1.79M
American Express CoAXP73.2K$22.1M1.5%−$4.94MCut−$15.1M
Accenture Plc Ireland111.5K$22.1M1.5%−$7.81MCut−$8.44M
Air Prods & Chems Inc75.3K$21.9M1.5%$3.27MAdded$3.32M
Ishares Inc272.7K$19M1.3%New
Cme Group Inc.CME62.9K$18.6M1.2%$1.4MCut$935.5K
S&P Global Inc.SPGI42.6K$18.1M1.2%−$4.14MCut−$4.48M
Abbott LabsABT168.7K$17.3M1.2%−$3.81MCut−$4.19M
Intuitive Surgical IncISRG36.6K$16.9M1.1%−$3.85MCut−$4.32M
Colgate Palmolive CoCL180.4K$15.4M1.0%$1.11MAdded$1.3M
Ecolab Inc.ECL46.4K$12.3M0.8%$162.4KCut−$130.6K
Chipotle Mexican Grill IncCMG369.2K$11.8M0.8%−$1.84MAdded−$1.84M
Taiwan Semiconductor Mfg Ltd34.8K$11.8M0.8%New
Netflix IncNFLX120K$11.5M0.8%$283.9KAdded$396.8K
Zoetis Inc.ZTS86.9K$10.3M0.7%−$661.3KCut−$870.7K
Uber Technologies, IncUBER121.3K$8.72M0.6%−$1.18MAdded−$1.11M
MSCI Inc.MSCI13.3K$7.18M0.5%−$413.9KAdded$342.9K
Fidelity Merrimack Str Tr110.6K$5.05M0.3%−$44.7KAdded$147.9K
Spdr S&P 500 Etf Tr4.58K$2.98M0.2%−$142.3KAdded−$96.1K
Spdr Series Trust38.1K$2.92M0.2%−$120.5KAdded$288K
Exxon Mobil Corp15.8K$2.69M0.2%$698.7KAdded$980.8K
Berkshire Hathaway Inc Del5.42K$2.6M0.2%−$127.2KCut−$172K
Alphabet Inc8.85K$2.54M0.2%−$225KCut−$534K
Ishares Tr25.6K$2.48M0.2%$27.9KAdded$48.3K
Ishares Tr31.7K$2.14M0.1%$48.5KCut−$24.4K
Ishares Tr3.19K$2.08M0.1%−$101.2KCut−$289.5K
J P Morgan Exchange Traded F34.8K$1.76M0.1%$663Added$83.7K
Corning Inc11.7K$1.59M0.1%$564.6KCut$337.3K
Vanguard Index Fds2.22K$1.33M0.1%−$65.8KCut−$72K
Ishares Tr14.7K$1.27M0.1%$29.4KCut−$26.7K
Procter And Gamble CoPG8.42K$1.22M0.1%$9.54KCut−$103.7K
Tesla, Inc.TSLA3.19K$1.19M0.1%−$244.8KAdded−$224.4K
Invesco Qqq Tr1.87K$1.08M0.1%−$69.5KCut−$230.4K
International Business Machs4.22K$1.02M0.1%−$171.2KAdded$80.4K
Merck & Co., Inc.MRK8.39K$1.01M0.1%$126.2KCut$39.3K
Vanguard Specialized Funds4.62K$994.2K0.1%−$21.8KCut−$49.3K
Mcdonalds CorpMCD2.98K$927.1K0.1%$15.4KCut−$23.4K
Caterpillar IncCAT1.21K$854.6K0.1%$110.6KAdded$387K
AbbVie Inc.ABBV3.8K$826.8K0.1%−$41.8KCut−$62.4K
Union Pac Corp3.39K$822.5K0.1%$38.3KCut$11.7K
Pnc Finl Svcs Group Inc3.82K$794.5K0.1%−$2.44KCut−$13.9K
Berkshire Hathaway Inc Del1$718.1K0.0%−$36.7KHeld
Cisco Sys Inc8.55K$663.5K0.0%$4.79KCut−$38.7K
Sherwin Williams CoSHW2.05K$658.1K0.0%−$7.14KHeld
Visa Inc.V2.11K$637.5K0.0%−$102.3KCut−$114.5K
Danaher Corporation3.33K$631.4K0.0%−$130.9KCut−$612.6K
Nextera Energy Inc6.69K$621.5K0.0%$84.3KCut$78.6K
T Rowe Price Etf Inc13.9K$615.3K0.0%−$79.1KCut−$308.3K
Oracle Corp3.91K$575.6K0.0%−$180.1KAdded−$158.6K
Coca Cola CoKO7.4K$562.9K0.0%$45.4KCut−$44.3K
Trustmark CorpTRMK13.2K$556.8K0.0%$42.1KCut$18.8K
Vanguard Index Fds1.7K$544.7K0.0%−$24.6KCut−$79.9K
Moodys Corp1.23K$534.4K0.0%−$91.4KCut−$516.4K
Select Sector Spdr Tr10.6K$485.2K0.0%$33.8KCut$26.6K
Pepsico IncPEP3.09K$479.8K0.0%$36.4KCut−$214.8K
Schwab Strategic Tr15.4K$473.1K0.0%$50.1KCut−$44.3K
Quest Diagnostics IncDGX2.31K$453.3K0.0%$51.9KCut−$79.4K
Lowes Cos Inc1.92K$452.9K0.0%−$9.36KCut−$30.3K
Ishares Tr6.56K$449K0.0%$8.79KCut−$23.4K
Ishares Tr3.69K$437.7K0.0%$17.5KHeld
Ishares Tr1.19K$423.2K0.0%−$20KCut−$48K
Waste Mgmt Inc Del1.78K$409.7K0.0%$18KHeld
Edwards Lifesciences CorpEW4.98K$398.8K0.0%−$19.9KAdded$70.6K
Walmart Inc.WMT3.21K$398.3K0.0%$41.2KCut−$4.54K
Wec Energy Group, Inc.WEC3.37K$389.8K0.0%$34.7KHeld
Ishares Tr3.6K$381.8K0.0%−$3.45KCut−$23.8K
Philip Morris Intl Inc2.3K$379.8K0.0%$11.3KCut−$62K
Verizon Communications IncVZ7.56K$379.6K0.0%$71.6KCut$20K
Automatic Data Processing In1.85K$376.1K0.0%−$100KCut−$206.3K
Medtronic PlcMDT4.12K$356.7K0.0%−$38.7KCut−$85.9K
GE Vernova Inc.GEV398$347.5K0.0%$78.1KAdded$114.8K
Vanguard Growth Etf721$314.9K0.0%−$36.8KHeld
California Wtr Svc Group6.67K$302.3K0.0%$13.4KHeld
Trane Technologies PlcTT724$301.7K0.0%$19.9KCut$16K
Ishares Tr3.08K$278.9K0.0%$3.24KAdded$8.31K
Qualcomm Inc2.14K$275.2K0.0%−$90.3KCut−$179.1K
Thermo Fisher Scientific Inc.TMO554$272.3K0.0%−$48.7KHeld
Rockwell Automation, IncROK753$270.2K0.0%−$22.7KHeld
Cf Inds Hldgs Inc2.05K$266.3K0.0%New
Idexx Labs Inc469$263.5K0.0%−$53.8KCut−$97.1K
Jefferies Finl Group Inc6.32K$260.7K0.0%−$130.7KHeld
Lockheed Martin CorpLMT399$241.2K0.0%$48.2KCut−$73.7K
Ishares Tr1.24K$237.3K0.0%−$8.42KCut−$19.9K
Prologis Inc.1.77K$233.8K0.0%$8KCut−$11K
Roper Technologies IncROP640$226.5K0.0%−$58.4KCut−$160.8K
Qxo Inc11.4K$222.3K0.0%$1.49KCut−$8.99K
Vanguard Tax-Managed Fds3.4K$218K0.0%$5.48KCut−$5.45K
Ishares Tr1.02K$217.5K0.0%$3.39KHeld
Unitedhealth Group IncUNH791$214K0.0%−$47.2KCut−$205.3K
Amgen IncAMGN606$213.2K0.0%New
Capital One Finl Corp1.15K$209.2K0.0%−$68.7KCut−$103.9K
Ishares Tr1.83K$207.2K0.0%−$18.6KCut−$20.6K
RTX CorpRTX1.07K$207K0.0%New
Pfizer IncPFE7.26K$203.8K0.0%$23.1KCut−$9.04K
Linde PlcLIN411$203.8K0.0%New
Best Buy Co IncBBY3.13K$200.9K0.0%−$8.54KHeld
Norfolk Southn Corp699$200.6K0.0%−$1.2KCut−$4.09K
At&T Inc6.91K$200.3K0.0%New
Ford Mtr Co11.4K$131.6K0.0%−$18KCut−$65K

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.