Investor
WULFF, HANSEN & CO.
CIK 0000108634 · filed 2026-05-07 · SEC filing
13F book
$97.9M
Positions
98
2 new · 6 sold
Largest name
4.2%
Amazon Com Inc · AMZN
Est. mark
−$146.7K
Price effect on 96 names still held. Flow −$21.1M.
| Name | Ticker | Shares | Value | Weight | Est. mark | Change |
|---|---|---|---|---|---|---|
| Amazon Com Inc | AMZN | 19.7K | $4.11M | 4.2% | −$437.9K | Added−$376.5K |
| RTX Corp | RTX | 21.2K | $4.09M | 4.2% | $201.7K | Held |
| Apple Inc. | AAPL | 15K | $3.8M | 3.9% | −$269.6K | Added−$256.4K |
| Jpmorgan Chase & Co. | — | 12.1K | $3.56M | 3.6% | −$339.6K | Held |
| Microsoft Corp | MSFT | 9.41K | $3.49M | 3.6% | −$1.04M | Added−$964.6K |
| Procter And Gamble Co | PG | 19.6K | $2.83M | 2.9% | $22.2K | Cut−$4.34K |
| Ge Aerospace | — | 9.18K | $2.61M | 2.7% | −$221.7K | Added−$210.4K |
| Csx Corp | CSX | 58.3K | $2.39M | 2.4% | $279.9K | Cut$253.1K |
| Johnson & Johnson | JNJ | 9.38K | $2.29M | 2.3% | $351.8K | Cut$333.2K |
| Bank America Corp | — | 44.1K | $2.15M | 2.2% | −$275.8K | Cut−$304.4K |
| Merck & Co., Inc. | MRK | 17.5K | $2.11M | 2.2% | $263.4K | Held |
| Costco Whsl Corp New | — | 2.05K | $2.04M | 2.1% | $270.7K | Added$298.6K |
| Brookfield Corp | — | 49.2K | $1.99M | 2.0% | −$266.6K | Held |
| Brookfield Infrast Partners | — | 51.1K | $1.85M | 1.9% | $70.5K | Held |
| Berkshire Hathaway Inc Del | — | 3.82K | $1.83M | 1.9% | −$88.2K | Added−$59.5K |
| Schwab Strategic Tr | — | 54.3K | $1.67M | 1.7% | $167.9K | Added$247.8K |
| Philip Morris Intl Inc | — | 10K | $1.66M | 1.7% | $49.5K | Cut$39.1K |
| GE Vernova Inc. | GEV | 1.78K | $1.56M | 1.6% | $391.3K | Held |
| Select Sector Spdr Tr | — | 14.1K | $1.54M | 1.6% | −$147K | Added−$142.1K |
| Visa Inc. | V | 5.07K | $1.53M | 1.6% | −$245K | Added−$242K |
| Chevron Corp New | CVX | 7.36K | $1.52M | 1.6% | $400.8K | Cut$382.5K |
| Freeport-Mcmoran Inc | FCX | 25.8K | $1.52M | 1.5% | $206.1K | Held |
| Nvidia Corp | NVDA | 8.52K | $1.49M | 1.5% | −$103.1K | Cut−$147.1K |
| Exxon Mobil Corp | — | 7.89K | $1.34M | 1.4% | $389.4K | Held |
| Walmart Inc. | WMT | 10.7K | $1.33M | 1.4% | $138.1K | Held |
| Home Depot, Inc. | HD | 4.05K | $1.33M | 1.4% | −$61.7K | Held |
| American Wtr Wks Co Inc New | — | 9.47K | $1.29M | 1.3% | $53K | Held |
| Lockheed Martin Corp | LMT | 2.11K | $1.28M | 1.3% | $255K | Held |
| Mondelez Intl Inc | — | 21.8K | $1.26M | 1.3% | $83K | Cut$42.6K |
| Caterpillar Inc | CAT | 1.75K | $1.24M | 1.3% | $236.6K | Cut$150.7K |
| Willdan Group, Inc. | WLDN | 15.4K | $1.18M | 1.2% | −$417K | Cut−$636.4K |
| Vanguard Index Fds | — | 1.97K | $1.18M | 1.2% | −$57.1K | Added−$33.2K |
| Genuine Parts Co | GPC | 10.4K | $1.1M | 1.1% | −$177.9K | Added−$175.8K |
| Boeing Co | — | 5.45K | $1.08M | 1.1% | −$98.6K | Cut−$98.8K |
| Vanguard Scottsdale Fds | — | 13.5K | $1.07M | 1.1% | −$6.22K | Cut−$39.3K |
| Duke Energy Corp New | — | 7.95K | $1.04M | 1.1% | $109.2K | Held |
| Franklin Templeton Etf Tr | — | 41.2K | $1.02M | 1.0% | −$3.29K | Held |
| Broadcom Inc. | AVGO | 3.04K | $942.5K | 1.0% | −$111.4K | Held |
| Waste Mgmt Inc Del | — | 3.89K | $894.6K | 0.9% | $39.2K | Held |
| Digital Rlty Tr Inc | — | 4.96K | $894K | 0.9% | $126.5K | Held |
| Spdr Series Trust | — | 18.5K | $891.7K | 0.9% | $26.9K | Held |
| California Wtr Svc Group | — | 19.4K | $878.5K | 0.9% | $38.9K | Cut$28.1K |
| Ishares Tr | — | 15.3K | $801.8K | 0.8% | −$4.88K | Cut−$33.4K |
| Mp Materials Corp | — | 16.5K | $793.9K | 0.8% | −$37.2K | Held |
| Invesco Qqq Tr | — | 1.33K | $770.5K | 0.8% | −$49.6K | Held |
| Southern Co | — | 7.38K | $712.6K | 0.7% | $68.8K | Cut$45.7K |
| Warrior Met Coal, Inc. | HCC | 6.96K | $648.6K | 0.7% | $34.7K | Held |
| Haverty Furniture Cos Inc | — | 30.5K | $646.5K | 0.7% | −$66.5K | Held |
| Select Sector Spdr Tr | — | 10.5K | $645.7K | 0.7% | $174.4K | Held |
| Motorola Solutions, Inc. | MSI | 1.48K | $642.7K | 0.7% | $75K | Held |
| AbbVie Inc. | ABBV | 2.66K | $578.5K | 0.6% | −$29.3K | Held |
| Canadian Pacific Kansas City | — | 7.04K | $553.7K | 0.6% | $35.4K | Held |
| Verizon Communications Inc | VZ | 10.7K | $535.7K | 0.5% | $101.1K | Held |
| Intel Corp | INTC | 11.9K | $525K | 0.5% | $86K | Cut$52.1K |
| Shell Plc | — | 5.61K | $521.8K | 0.5% | $109.5K | Held |
| Ishares Tr | — | 2.34K | $511.2K | 0.5% | $9.49K | Held |
| Eli Lilly & Co | LLY | 555 | $510.5K | 0.5% | −$86K | Held |
| Mastercard Inc | MA | 980 | $494.7K | 0.5% | −$57.9K | Added−$4.86K |
| General Mls Inc | GIS | 13.1K | $489.1K | 0.5% | −$121.9K | Held |
| Select Sector Spdr Tr | — | 3.01K | $486.8K | 0.5% | $19.9K | Held |
| Huntington Ingalls Inds Inc | — | 1.22K | $464.2K | 0.5% | $48.7K | Held |
| Eaton Corp Plc | ETN | 1.25K | $448.9K | 0.5% | $49.1K | Held |
| American Elec Pwr Co Inc | — | 3.39K | $444.4K | 0.5% | $53.5K | Held |
| Deere & Co | DE | 785 | $442.2K | 0.5% | $76.7K | Cut$62.8K |
| Novartis Ag | — | 2.87K | $437.6K | 0.4% | $42.6K | Held |
| Honeywell Intl Inc | — | 1.9K | $429.5K | 0.4% | $58.8K | Held |
| Schwab Strategic Tr | — | 14.5K | $422.8K | 0.4% | −$46.3K | Added−$10K |
| Ishares Tr | — | 4.58K | $415.1K | 0.4% | $4.91K | Held |
| Tesla, Inc. | TSLA | 1.11K | $413.4K | 0.4% | −$80.3K | Added−$49.8K |
| Ishares Inc | — | 5.8K | $404.8K | 0.4% | $14.7K | Held |
| Essex Ppty Tr Inc | — | 1.56K | $378.5K | 0.4% | −$30.8K | Held |
| Vanguard World Fd | — | 1.19K | $371.5K | 0.4% | $16.5K | Held |
| Linde Plc | LIN | 720 | $347K | 0.4% | $40K | Cut$21.3K |
| The Campbells Company | — | 15.6K | $347K | 0.4% | −$87.2K | Held |
| Brookfield Asset Managmt Ltd | — | 7.69K | $341.7K | 0.3% | −$61K | Cut−$68.5K |
| Ishares Tr | — | 11K | $334.3K | 0.3% | −$7.06K | Cut−$31.1K |
| Ishares Inc | — | 6.05K | $331.6K | 0.3% | $5.21K | Held |
| Clorox Co Del | — | 3.19K | $330.1K | 0.3% | $8.92K | Held |
| Ishares Tr | — | 2.77K | $326.5K | 0.3% | −$31.3K | Held |
| Pfizer Inc | PFE | 11.5K | $322.2K | 0.3% | $36.5K | Held |
| International Business Machs | — | 1.33K | $321.7K | 0.3% | −$71.4K | Held |
| Vanguard Index Fds | — | 1.23K | $320.9K | 0.3% | $4.86K | Held |
| Guardant Health, Inc. | GH | 3.19K | $294.2K | 0.3% | −$31.1K | Held |
| Brookfield Infrastructure Corp | BIPC | 7.37K | $291.4K | 0.3% | −$43.4K | Cut−$47.1K |
| Moodys Corp | — | 655 | $285.7K | 0.3% | −$48.1K | Added−$43.8K |
| Colgate Palmolive Co | CL | 3.31K | $282.1K | 0.3% | $20.6K | Held |
| Global Ship Lease Inc New | — | 6.8K | $253.4K | 0.3% | $14.9K | Held |
| Ww Grainger Inc | — | 230 | $250.9K | 0.3% | $18.8K | Held |
| Meta Platforms, Inc. | META | 430 | $246K | 0.3% | −$28.1K | Added$34.8K |
| Select Sector Spdr Tr | — | 4.86K | $239.7K | 0.2% | −$26.2K | Held |
| 3M CO | MMM | 1.64K | $237.5K | 0.2% | −$24.3K | Held |
| Comcast Corp New | — | 8.16K | $234.4K | 0.2% | −$9.63K | Held |
| Clean Harbors Inc | CLH | 768 | $220.2K | 0.2% | — | New |
| Bank Marin Bancorp | BMRC | 8.54K | $218.9K | 0.2% | −$3.25K | Held |
| American Express Co | AXP | 686 | $207.5K | 0.2% | −$46.3K | Held |
| Corning Inc | — | 1.48K | $201.8K | 0.2% | — | New |
| Ishares 0-3 Month | — | 2K | $201.3K | 0.2% | $560 | Held |
| Global Business Travel Group, Inc. | GBTG | 23.1K | $129K | 0.1% | −$47.9K | Held |
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.