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Stock Style
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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
35
2
56
1
3
2
31
8
32
ADAMS DIVERSIFIED EQUITY FUND INC

Time Period2018-12-31

Total Holdings213

Total Value ($x1000)1,624,564
Activities
New24

Increased15

Unchanged32

Decreased142

Sold Out22

Top 10 Stock Holdingstotal 26.94%
MSFT4.94

AMZN3.96

AAPL2.84

V2.45

BRK.B2.43

 
UNH2.23

MRK2.08

JPM2.04

BAC2.01

PEO1.96

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
MSFT
4.94%
COM
AMZN
3.96%
COM
AAPL
2.84%
COM
V
2.45%
COM CL A
BRK.B
2.43%
CL B NEW
UNH
2.23%
COM
MRK
2.08%
COM
JPM
2.04%
COM
BAC
2.01%
COM
PEO
1.96%
COM
BA
1.91%
COM
ABT
1.88%
COM
TMO
1.8%
COM
GOOGL
1.76%
CAP STK CL A
CSCO
1.62%
COM
MA
1.62%
CL A
GOOG
1.55%
CAP STK CL C
ADBE
1.53%
COM
UNP
1.49%
COM
PFE
1.48%
COM
HON
1.47%
COM
ICE
1.43%
COM
WMT
1.37%
COM
NKE
1.29%
CL B
ACN
1.28%
SHS CLASS A
USB
1.26%
COM NEW
MDT
1.25%
SHS
T
1.21%
COM
DG
1.2%
COM
CRM
1.18%
COM
FB
1.18%
CL A
LOW
1.15%
COM
UTX
1.1%
COM
NFLX
1.1%
COM
JNJ
1.09%
COM
RJF
1.09%
COM
AAP
1.06%
COM
NEE
1.06%
COM
MDLZ
1.04%
CL A
EW
0.98%
COM
SMH
0.97%
SEMICONDUCTOR ET
EMR
0.95%
COM
PEP
0.91%
COM
BIIB
0.91%
COM
SPG
0.9%
COM
AFL
0.89%
COM
COST
0.88%
COM
TSCO
0.86%
COM
AMT
0.84%
COM
PSA
0.83%
COM
EXC
0.83%
COM
PANW
0.83%
COM
TRV
0.79%
COM
PLD
0.79%
COM
MPC
0.72%
COM
BR
0.71%
COM
WEC
0.71%
COM
XOM
0.71%
COM
CMG
0.68%
COM
DWDP
0.68%
COM
DAL
0.66%
COM NEW
MO
0.66%
COM
PG
0.65%
COM
ALXN
0.64%
COM
OXY
0.61%
COM
CI
0.6%
COM
CMCSA
0.6%
CL A
APD
0.57%
COM
EOG
0.57%
COM
PEG
0.56%
COM
ALK
0.53%
COM
FANG
0.52%
COM
NVDA
0.5%
COM
SHW
0.49%
COM
KO
0.47%
COM
CNC
0.47%
COM
DIS
0.46%
COM DISNEY
STI
0.44%
COM
LUV
0.4%
COM
STZ
0.35%
CL A
ORCL
0.34%
COM
CTAS
0.33%
COM
BLL
0.29%
COM
HD
0.27%
COM
PM
0.21%
COM
WFC
0.16%
COM
GE
0.11%
COM
HAE
0.04%
COM
WD
0.04%
COM
ZUMZ
0.04%
COM
NNI
0.04%
CL A
TECD
0.04%
COM
PRGS
0.04%
COM
PFSI
0.04%
COM
CBPX
0.04%
COM
POR
0.04%
COM NEW
BANR
0.04%
COM NEW
CVLT
0.04%
COM
ITGR
0.04%
COM
CRMT
0.04%
COM
EGOV
0.04%
COM
TRS
0.04%
COM NEW
NEWR
0.04%
COM
HRTG
0.04%
COM
QNST
0.04%
COM
ALE
0.04%
COM NEW
CERS
0.04%
COM
JCOM
0.04%
COM
CSII
0.04%
COM
NSA
0.04%
COM SHS BEN IN
RGS
0.04%
COM
PRTY
0.04%
COM
AZPN
0.04%
COM
FCFS
0.04%
COM
CCOI
0.04%
COM NEW
FIBK
0.04%
COM CL A
EPAY
0.03%
COM
ERI
0.03%
COM
GSBC
0.03%
COM
AMED
0.03%
COM
TVPT
0.03%
SHS
SBGI
0.03%
CL A
IBKC
0.03%
COM
WMS
0.03%
COM
CVA
0.03%
COM
OSBC
0.03%
COM
AEL
0.03%
COM
FBNC
0.03%
COM
NHI
0.03%
COM
MLHR
0.03%
COM
SANM
0.03%
COM
TTEK
0.03%
COM
RXN
0.03%
COM
PEB
0.03%
COM
INDB
0.03%
COM
AGM
0.03%
CL C
CONE
0.03%
COM
ESNT
0.03%
COM
PMT
0.03%
COM
NJR
0.03%
COM
MTG
0.03%
COM
SKYW
0.03%
COM
ETH
0.03%
COM
HLI
0.03%
CL A
SEM
0.03%
COM
CNO
0.03%
COM
SNX
0.03%
COM
HSC
0.03%
COM
CSGS
0.03%
COM
IPAR
0.03%
COM
AIR
0.03%
COM
IDA
0.03%
COM
CATM
0.03%
CL A
RLJ
0.03%
COM
MTX
0.03%
COM
BSTC
0.03%
COM
EME
0.03%
COM
MOV
0.03%
COM
EFSC
0.03%
COM
RUTH
0.03%
COM
TTMI
0.03%
COM
AKR
0.03%
COM SH BEN INT
DIN
0.03%
COM
WTFC
0.03%
COM
KALU
0.03%
COM PAR $0.01
PENN
0.03%
COM
GTN
0.03%
COM
CVI
0.03%
COM
DAN
0.03%
COM
TSC
0.03%
COM
HIW
0.03%
COM
CAMP
0.03%
COM
RDNT
0.03%
COM
ASGN
0.03%
COM
GBX
0.03%
COM
SAM
0.03%
CL A
PGTI
0.03%
COM
ARA
0.03%
COM
SCHN
0.03%
CL A
CCXI
0.03%
COM
EMPIRE S...
0.03%
COM
AEIS
0.03%
COM
GEF
0.03%
CL A
THC
0.03%
COM NEW
LOXO
0.02%
COM
AEGN
0.02%
COM
LCI
0.02%
COM
IMKTA
0.02%
CL A
HRTX
0.02%
COM
MTRX
0.02%
COM
TSE
0.02%
SHS
CRUS
0.02%
COM
HALO
0.02%
COM
HZNP
0.02%
SHS
EBS
0.02%
COM
MKSI
0.02%
COM
CMRE
0.02%
SHS
LGND
0.02%
COM NEW
UNVR
0.02%
COM
AMAG
0.02%
COM
AMKR
0.02%
COM
VGR
0.02%
COM
TLRD
0.02%
COM
UNT
0.02%
COM
ENTA
0.02%
COM
POL
0.02%
COM
PAHC
0.02%
CL A COM
MTDR
0.02%
COM
MCFT
0.02%
COM
CARA
0.02%
COM
DO
0.01%
COM
OAS
0.01%
COM
CRZO
0.01%
COM
BDX
1.27%
COM
FDX
0.97%
COM
BLK
0.97%
COM
CAT
0.74%
COM
ANDV
0.52%
COM
LYB
0.48%
SHS - A -
MNST
0.45%
COM
GS
0.28%
COM
LAZ
0.23%
SHS A
PERY
0.05%
COM
SPW
0.05%
COM
EPAM
0.04%
COM
PEGI
0.04%
CL A
IBCP
0.04%
COM NEW
RH
0.04%
COM
KLXI
0.03%
COM
CUBI
0.03%
COM
PFSI
0.03%
CL A
VRTU
0.03%
COM
BLD
0.02%
COM
MRC
0.02%
COM
KLXE
0.01%
COM