13F

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.
NameTickerSharesValueWeightEst. markChange
Amazon Com IncAMZN19.7K$4.11M4.2%−$437.9KAdded−$376.5K
RTX CorpRTX21.2K$4.09M4.2%$201.7KHeld
Apple Inc.AAPL15K$3.8M3.9%−$269.6KAdded−$256.4K
Jpmorgan Chase & Co.12.1K$3.56M3.6%−$339.6KHeld
Microsoft CorpMSFT9.41K$3.49M3.6%−$1.04MAdded−$964.6K
Procter And Gamble CoPG19.6K$2.83M2.9%$22.2KCut−$4.34K
Ge Aerospace9.18K$2.61M2.7%−$221.7KAdded−$210.4K
Csx CorpCSX58.3K$2.39M2.4%$279.9KCut$253.1K
Johnson & JohnsonJNJ9.38K$2.29M2.3%$351.8KCut$333.2K
Bank America Corp44.1K$2.15M2.2%−$275.8KCut−$304.4K
Merck & Co., Inc.MRK17.5K$2.11M2.2%$263.4KHeld
Costco Whsl Corp New2.05K$2.04M2.1%$270.7KAdded$298.6K
Brookfield Corp49.2K$1.99M2.0%−$266.6KHeld
Brookfield Infrast Partners51.1K$1.85M1.9%$70.5KHeld
Berkshire Hathaway Inc Del3.82K$1.83M1.9%−$88.2KAdded−$59.5K
Schwab Strategic Tr54.3K$1.67M1.7%$167.9KAdded$247.8K
Philip Morris Intl Inc10K$1.66M1.7%$49.5KCut$39.1K
GE Vernova Inc.GEV1.78K$1.56M1.6%$391.3KHeld
Select Sector Spdr Tr14.1K$1.54M1.6%−$147KAdded−$142.1K
Visa Inc.V5.07K$1.53M1.6%−$245KAdded−$242K
Chevron Corp NewCVX7.36K$1.52M1.6%$400.8KCut$382.5K
Freeport-Mcmoran IncFCX25.8K$1.52M1.5%$206.1KHeld
Nvidia CorpNVDA8.52K$1.49M1.5%−$103.1KCut−$147.1K
Exxon Mobil Corp7.89K$1.34M1.4%$389.4KHeld
Walmart Inc.WMT10.7K$1.33M1.4%$138.1KHeld
Home Depot, Inc.HD4.05K$1.33M1.4%−$61.7KHeld
American Wtr Wks Co Inc New9.47K$1.29M1.3%$53KHeld
Lockheed Martin CorpLMT2.11K$1.28M1.3%$255KHeld
Mondelez Intl Inc21.8K$1.26M1.3%$83KCut$42.6K
Caterpillar IncCAT1.75K$1.24M1.3%$236.6KCut$150.7K
Willdan Group, Inc.WLDN15.4K$1.18M1.2%−$417KCut−$636.4K
Vanguard Index Fds1.97K$1.18M1.2%−$57.1KAdded−$33.2K
Genuine Parts CoGPC10.4K$1.1M1.1%−$177.9KAdded−$175.8K
Boeing Co5.45K$1.08M1.1%−$98.6KCut−$98.8K
Vanguard Scottsdale Fds13.5K$1.07M1.1%−$6.22KCut−$39.3K
Duke Energy Corp New7.95K$1.04M1.1%$109.2KHeld
Franklin Templeton Etf Tr41.2K$1.02M1.0%−$3.29KHeld
Broadcom Inc.AVGO3.04K$942.5K1.0%−$111.4KHeld
Waste Mgmt Inc Del3.89K$894.6K0.9%$39.2KHeld
Digital Rlty Tr Inc4.96K$894K0.9%$126.5KHeld
Spdr Series Trust18.5K$891.7K0.9%$26.9KHeld
California Wtr Svc Group19.4K$878.5K0.9%$38.9KCut$28.1K
Ishares Tr15.3K$801.8K0.8%−$4.88KCut−$33.4K
Mp Materials Corp16.5K$793.9K0.8%−$37.2KHeld
Invesco Qqq Tr1.33K$770.5K0.8%−$49.6KHeld
Southern Co7.38K$712.6K0.7%$68.8KCut$45.7K
Warrior Met Coal, Inc.HCC6.96K$648.6K0.7%$34.7KHeld
Haverty Furniture Cos Inc30.5K$646.5K0.7%−$66.5KHeld
Select Sector Spdr Tr10.5K$645.7K0.7%$174.4KHeld
Motorola Solutions, Inc.MSI1.48K$642.7K0.7%$75KHeld
AbbVie Inc.ABBV2.66K$578.5K0.6%−$29.3KHeld
Canadian Pacific Kansas City7.04K$553.7K0.6%$35.4KHeld
Verizon Communications IncVZ10.7K$535.7K0.5%$101.1KHeld
Intel CorpINTC11.9K$525K0.5%$86KCut$52.1K
Shell Plc5.61K$521.8K0.5%$109.5KHeld
Ishares Tr2.34K$511.2K0.5%$9.49KHeld
Eli Lilly & CoLLY555$510.5K0.5%−$86KHeld
Mastercard IncMA980$494.7K0.5%−$57.9KAdded−$4.86K
General Mls IncGIS13.1K$489.1K0.5%−$121.9KHeld
Select Sector Spdr Tr3.01K$486.8K0.5%$19.9KHeld
Huntington Ingalls Inds Inc1.22K$464.2K0.5%$48.7KHeld
Eaton Corp PlcETN1.25K$448.9K0.5%$49.1KHeld
American Elec Pwr Co Inc3.39K$444.4K0.5%$53.5KHeld
Deere & CoDE785$442.2K0.5%$76.7KCut$62.8K
Novartis Ag2.87K$437.6K0.4%$42.6KHeld
Honeywell Intl Inc1.9K$429.5K0.4%$58.8KHeld
Schwab Strategic Tr14.5K$422.8K0.4%−$46.3KAdded−$10K
Ishares Tr4.58K$415.1K0.4%$4.91KHeld
Tesla, Inc.TSLA1.11K$413.4K0.4%−$80.3KAdded−$49.8K
Ishares Inc5.8K$404.8K0.4%$14.7KHeld
Essex Ppty Tr Inc1.56K$378.5K0.4%−$30.8KHeld
Vanguard World Fd1.19K$371.5K0.4%$16.5KHeld
Linde PlcLIN720$347K0.4%$40KCut$21.3K
The Campbells Company15.6K$347K0.4%−$87.2KHeld
Brookfield Asset Managmt Ltd7.69K$341.7K0.3%−$61KCut−$68.5K
Ishares Tr11K$334.3K0.3%−$7.06KCut−$31.1K
Ishares Inc6.05K$331.6K0.3%$5.21KHeld
Clorox Co Del3.19K$330.1K0.3%$8.92KHeld
Ishares Tr2.77K$326.5K0.3%−$31.3KHeld
Pfizer IncPFE11.5K$322.2K0.3%$36.5KHeld
International Business Machs1.33K$321.7K0.3%−$71.4KHeld
Vanguard Index Fds1.23K$320.9K0.3%$4.86KHeld
Guardant Health, Inc.GH3.19K$294.2K0.3%−$31.1KHeld
Brookfield Infrastructure CorpBIPC7.37K$291.4K0.3%−$43.4KCut−$47.1K
Moodys Corp655$285.7K0.3%−$48.1KAdded−$43.8K
Colgate Palmolive CoCL3.31K$282.1K0.3%$20.6KHeld
Global Ship Lease Inc New6.8K$253.4K0.3%$14.9KHeld
Ww Grainger Inc230$250.9K0.3%$18.8KHeld
Meta Platforms, Inc.META430$246K0.3%−$28.1KAdded$34.8K
Select Sector Spdr Tr4.86K$239.7K0.2%−$26.2KHeld
3M COMMM1.64K$237.5K0.2%−$24.3KHeld
Comcast Corp New8.16K$234.4K0.2%−$9.63KHeld
Clean Harbors IncCLH768$220.2K0.2%New
Bank Marin BancorpBMRC8.54K$218.9K0.2%−$3.25KHeld
American Express CoAXP686$207.5K0.2%−$46.3KHeld
Corning Inc1.48K$201.8K0.2%New
Ishares 0-3 Month2K$201.3K0.2%$560Held
Global Business Travel Group, Inc.GBTG23.1K$129K0.1%−$47.9KHeld

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.