InvestInfoAI
KELLY LAWRENCE W & ASSOCIATES INC/CA

Q2 2025 · 13F-HR

KELLY LAWRENCE W & ASSOCIATES INC/CAholdings as filed

Filed 2025-08-14 · accession 0000920441-25-000007

$381.6M
Reported value
158
Positions
2025-06-30
Period end
View analyzed profile →PRO

The Brief · KELLY LAWRENCE W & ASSOCIATES INC/CA · Q2 2025

AI · grounded in 13F

KELLY LAWRENCE W & ASSOCIATES INC/CA established a new position in Costco Wholesale COST valued at $24.49M. The fund also initiated new stakes in Apple, Inc. AAPL for $24.43M and Advanced Micro Devices Com AMD for $23.83M. Additional new positions include Alphabet Inc Cap Stk Cl A GOOGL and HIMS & HERS Health Inc Com CL HIMS.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
22160K105COSTCostco Wholesale$24.5M6.42%24,734CommonSOLE
037833100AAPLApple, Inc.$24.4M6.40%119,063CommonSOLE
007903107AMDAdvanced Micro Devices Com$23.8M6.25%167,950CommonSOLE
02079K305GOOGLAlphabet Inc Cap Stk Cl A$22.3M5.85%126,627CommonSOLE
433000106HIMSHIMS & HERS Health Inc Com CL$17.6M4.63%354,055CommonSOLE
45866F104ICEIntercontinental Exchange Grou$17.6M4.61%95,838CommonSOLE
11133T103BRBroadridge Financial Solutions$17.2M4.51%70,747CommonSOLE
14040H105COFCapital One Finl Corp$17.2M4.50%80,780CommonSOLE
337738108FISVFiserv Inc Com$16.4M4.31%95,355CommonSOLE
92826C839VVisa Inc Cl A$16.2M4.26%45,767CommonSOLE
776696106ROPRoper Technologies Inc$15.8M4.15%27,957CommonSOLE
368736104GNRCGenerac Hldgs Inc.$14.4M3.77%100,337CommonSOLE
023135106AMZNAmazon Com Inc Com$12.3M3.23%56,145CommonSOLE
91324P102UNHUnitedhealth Group Inc.$12.1M3.17%38,790CommonSOLE
235851102DHRDanaher Corp Del COM$10.5M2.75%53,124CommonSOLE
22160N109CSGPCoStar Group Inc.$9.8M2.56%121,632CommonSOLE
00724F101ADBEAdobe Sys Inc Com$8.8M2.31%22,759CommonSOLE
478160104JNJJohnson & Johnson$8.6M2.25%56,289CommonSOLE
713448108PEPPepsico Inc$8.0M2.10%60,819CommonSOLE
02079K107GOOGAlphabet Inc Cap Stk Cl C$6.8M1.79%38,414CommonSOLE
038222105AMATApplied Materials Inc.$6.1M1.60%33,313CommonSOLE
001055102AFLAFLAC Inc.$5.0M1.32%47,811CommonSOLE
437076102HDHome Depot Inc$4.9M1.28%13,352CommonSOLE
980745103WWDWoodward Inc$4.4M1.16%18,104CommonSOLE
742718109PGProcter & Gamble Co.$3.8M1.00%24,000CommonNONE
17275R102CSCOCisco Systems$3.6M0.96%52,562CommonSOLE
594918104MSFTMicrosoft Corp$3.4M0.89%6,810CommonNONE
79466L302CRMSalesforce.com Inc$3.2M0.83%11,676CommonNONE
166764100CVXChevron Corp$2.9M0.76%20,300CommonSOLE
46625H100JPMJPMorgan Chase & Co$2.6M0.68%8,903CommonSOLE
101205102BWELJG Boswell Co$1.9M0.49%3,447CommonSOLE
00287Y109ABBVAbbVie Inc.$1.8M0.46%9,537CommonSOLE
780259305SHELShell PLC Spons ADS$1.7M0.45%24,423CommonSOLE
64828T409RITM V0 PERP BRithm Capital Corp 7.125 Pfd S$1.7M0.45%67,491CommonSOLE
428291108HXLHexcel Corp$1.5M0.40%27,056CommonNONE
92343E102VRSNVerisign Inc. Com.$1.4M0.38%4,995CommonSOLE
808513105SCHWCharles Schwab Corp (New)$1.4M0.36%14,907CommonSOLE
30231G102XOMExxon Mobil Corp$1.2M0.31%11,083CommonSOLE
00206R508T 5 PERP AAT&T Inc 5 Dep Rep Pfd Ser A$1.2M0.31%59,300CommonNONE
949746804WFC 7.5 PERP LWells Fargo & Co New Perp Pfd$1.0M0.27%887CommonSOLE
14040H824COF 5 PERP ICapital One Finl Corp DP Shs P$894,4380.23%47,400CommonSOLE
459200101IBMInt'l Bus Mach$886,6980.23%3,008CommonSOLE
28176E108EWEdwards Lifesciences Inc.$823,1600.22%10,525CommonNONE
002824100ABTAbbott Labs$803,8190.21%5,910CommonNONE
00123Q807AGNC V0 PERP EAGNC Invt Corp 6.5 Pfd Ser E$795,6300.21%31,324CommonSOLE
641069406NSRGYNestle SA Spons ADR (For Reg)$779,2890.20%7,869CommonSOLE
64828T706RITM V7 PERP DRithm Capital Corp 7.0 RT REST$746,9280.20%31,200CommonNONE
931142103WMTWalMart Inc$733,3500.19%7,500CommonSOLE
375558103GILDGilead Sciences Inc.$697,8160.18%6,294CommonSOLE
084670207Berkshire Hathaway Cl B$674,7350.18%1,389CommonSOLE
49446R109KIMKimco Realty Corp Com$595,9170.16%28,350CommonSOLE
060505104BACBank of America Corp$560,5530.15%11,846CommonSOLE
244199105DEDeere & Co.$546,6270.14%1,075CommonSOLE
00206R102TAT&T Inc$523,9880.14%18,106CommonSOLE
191216100KOCoca Cola Co$490,3410.13%6,931CommonSOLE
053611109AVYAvery Dennison Corp.$438,6750.11%2,500CommonSOLE
345370845F 6.2 06/01/59Ford Mtr 6.20 Pfd Due 06/01/20$407,8080.11%19,200CommonSOLE
20825C104COPConocoPhillips Com$406,4320.11%4,529CommonSOLE
031162100AMGNAmgen, Inc. Com$390,3360.10%1,398CommonSOLE
438516106HONHoneywell Intl Inc$385,4160.10%1,655CommonSOLE
369604103GEGE Aerospace$384,5410.10%1,494CommonSOLE
149123101CATCaterpillar Inc$380,0580.10%979CommonSOLE
949746101WMT2Wells Fargo Co New Com$352,5280.09%4,400CommonSOLE
097023204BA 6 10/15/27Boeing Co Conv Pfd A$327,5520.09%4,800CommonSOLE
012653101ALBAlbemarle Corp.$299,6880.08%4,782CommonSOLE
012653200ALB 7.25 03/01/27Albemarle Corp 7.25 Pfd Ser A$294,5160.08%9,155CommonSOLE
92532F100VRTXVertex Pharmaceuticals Com$269,3460.07%605CommonSOLE
921932505VOOGVanguard SP500 Growth ETF$263,6990.07%665CommonNONE
260557103DOWDow Inc$263,6350.07%9,956CommonSOLE
88579Y101MMM3M Co.$251,0440.07%1,649CommonSOLE
458140100INTCIntel Corp$241,5840.06%10,785CommonSOLE
963320106WHRWhirlpool Corp$236,3090.06%2,330CommonSOLE
580135101MCDMcDonalds Corp$232,9560.06%797CommonSOLE
03027X100AMTAmerican Tower Corp NE Com$225,4400.06%1,020CommonSOLE
717081103PFEPfizer Inc$221,3110.06%9,130CommonNONE
04914Y409ATLC 9.25 01/31/29 *Atlanticus Holdings Co Pfd NT$219,8890.06%8,778CommonSOLE
029899101AWRAmer States Water Co$213,1150.06%2,780CommonNONE
001228303MITT 8 PERP BAG Mortgage Inv Tr 8 Pfd Ser B$211,4470.06%10,105CommonSOLE
718546104PSXPhillips 66 Com$209,7290.05%1,758CommonNONE
655844108NSCNorfolk Southern Corp$204,7760.05%800CommonNONE
883556102TMOThermo Fisher Scientific$202,7300.05%500CommonNONE
36828A101GEVGE Vernova Inc$197,3730.05%373CommonSOLE
532457108LLYLilly Eli & Co Com$192,8930.05%247CommonSOLE
58155Q103MCKMcKesson Corp$175,8670.05%240CommonNONE
92343V104VZVerizon Communications$173,3830.05%4,007CommonSOLE
98978V103ZTSZoetis Inc Cl A$167,6470.04%1,075CommonSOLE
75513E101RTXRaytheon Tech$153,3210.04%1,050CommonNONE
88160R101TSLATesla Inc Com$142,9470.04%450CommonSOLE
75886F107REGNRegeneron Pharmaceutical Com$138,0750.04%263CommonNONE
101121101BXPBXP Inc$124,8190.03%1,850CommonNONE
55024U109LITELumentum Holdings Inc. Com$117,8740.03%1,240CommonNONE
65339F101NEENextEra Energy Inc$115,2370.03%1,660CommonSOLE
577081102MATMattel Inc Com$114,3760.03%5,800CommonSOLE
857477103STTState Street Corp$111,6570.03%1,050CommonNONE
291011104EMREmerson Elec Co$106,6640.03%800CommonSOLE
806857108SLBSchlumberger Ltd$94,7750.02%2,804CommonNONE
70931T301PMT V8.125 PERP APennymac Mtg Invt Tr Pfd Ser A$93,9980.02%4,000CommonSOLE
Y1023R104BYDDFBYD Co Ltd Shs H$93,6000.02%6,000CommonSOLE
035710870NLY V0 PERP FAnnaly Capital Mgmt 6.95 Pfd S$83,4900.02%3,300CommonSOLE
91529Y106UNMUnum Group Com$80,7600.02%1,000CommonSOLE
30303M102METAMeta Platforms, Inc Cl A$73,8090.02%100CommonSOLE
874054109TTWOTake-Two Interactive S Com$72,8550.02%300CommonSOLE
64828T508RITM V6.375 PERP CRithm Capital Corp 7.125 Pfd S$66,1500.02%2,700CommonSOLE
29273V100ETEnergy Transfer L P Com UT Ltd$65,2680.02%3,600CommonSOLE
126408103CSXCSX Corp$63,6280.02%1,950CommonSOLE
133131102CPTCamden Property Trust$56,3450.01%500CommonNONE
872540109TJXTJX Cos Inc$56,1880.01%455CommonNONE
09290D101BLKBlackrock Inc$55,6100.01%53CommonNONE
G5960L103MDTMedtronic PLC Shs$52,3020.01%600CommonSOLE
64828T201RITMRithm Capital Corp$50,8050.01%4,500CommonSOLE
759351604RGAReInsurance Group Amer$49,5900.01%250CommonNONE
351858105FNVFranco Nevada Corp$49,1760.01%300CommonNONE
053015103ADPAutomatic Data Processing Inc$47,1850.01%153CommonNONE
130788102CWTCalifornia Wtr Svc Group$45,4800.01%1,000CommonNONE
G87052109TELTE Connectivity PLC Ord Shs$40,4810.01%240CommonNONE
22822V101CCICrown Castle Intl Corp$39,0370.01%380CommonSOLE
00123Q500AGNC V0 PERP CAGNC Invt Corp 7 Pfd Ser C$38,4820.01%1,500CommonSOLE
254687106DISDisney Walt Co Del$37,2030.01%300CommonNONE
855244109SBUXStarbucks Corp$36,6520.01%400CommonSOLE
064058100BKBank of New York Mellon$36,4440.01%400CommonNONE
001228204MITT 8.25 PERP AAG Mortgage Inv Tr 8.25 Pfd Se$36,2100.01%1,700CommonNONE
718172109PMPhilip Morris Intl Inc Com$34,6050.01%190CommonNONE
82575P107SBSWSibanye-Stillwater LTD Spons A$32,8290.01%4,547CommonNONE
670100205NVONovo-Nordisk A/S ADR$31,0590.01%450CommonSOLE
36266G107GEHCGE HealthCare Tech$30,1460.01%407CommonSOLE
G1151C101ACNAccenture PLC Ireland Cl A Shs$29,8890.01%100CommonNONE
907818108UNPUnion Pac Corp$28,5300.01%124CommonSOLE
009158106APDAir Prod & Chemicals$28,2060.01%100CommonNONE
934423104WBDWarner Bros Discovery Com Ser$26,6100.01%2,322CommonSOLE
075887109BDXBecton Dickinson & Co$23,2540.01%135CommonNONE
406216101HALHalliburton Co$22,0100.01%1,080CommonSOLE
500754106KHCKraft Heinz Co Comm$21,9470.01%850CommonSOLE
83444M101SOLVSolventum Corp$20,7800.01%274CommonNONE
92556V106VTRSViatris Inc$20,0390.01%2,244CommonSOLE
29786A106ETSYEtsy Inc Com$17,5560.00%350CommonSOLE
253868103DLRDigital Rlty Tr Inc Com$17,4330.00%100CommonSOLE
918204108VFCV F Corp$17,3310.00%1,475CommonSOLE
285512109EAElectronic Arts Inc$16,9280.00%106CommonSOLE
72352L106PINSPinterest Inc Cl A$14,3440.00%400CommonSOLE
03524A108BUDAnheuser Busch Inbev S Sponsor$13,7440.00%200CommonSOLE
894650100TGTredegar Corp.$12,8040.00%1,455CommonSOLE
50050N103KTBKontoor Brands Inc$12,4680.00%189CommonSOLE
42824C109HPEHewlett Packard Enterp Com$12,2700.00%600CommonNONE
30063P105EXKExact Sciences Corp.$10,6280.00%200CommonSOLE
654106103NKENike, Inc. Cl B$8,8800.00%125CommonNONE
M4R82T106FVRRFiverr Intl LTD$7,3320.00%250CommonSOLE
537008104LFUSLittelfuse Inc$6,8020.00%30CommonSOLE
69832A304PCRHYPanasonic Hldgs Corp Unspons A$5,0070.00%465CommonSOLE
87807B107TRPTC Energy Corp. Com$4,8790.00%100CommonSOLE
047649108ATKRAtkore Inc.$4,2330.00%60CommonSOLE
879360105TDYTeledyne Technologies$4,0980.00%8CommonNONE
747525103QCOMQUALCOMM Inc$3,9810.00%25CommonSOLE
874039100TSMTaiwan Semiconductor ADR$2,2650.00%10CommonSOLE
76118Y104REZIResideo Technologies Inc$1,4560.00%66CommonNONE
0374111059990302DApache Corp$1,0970.00%60CommonNONE
23355L106DXCDXC Technology Co$7800.00%51CommonNONE
83671M105SOBOSouth Bow Corp$5180.00%20CommonSOLE
366505105GTXGarrett Motion Inc$4200.00%40CommonNONE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.