What Stolper Co reported holding on Form 13F for the quarter ended Jun 30, 2026.
CIK 1808195 · Filed Jul 14, 2026
Values are as the managers reported them, in dollars.Open the Form 13F on SEC EDGAR
| Security | Shares | Change | Value | Of portfolio |
|---|---|---|---|---|
BERKSHIRE HATHAWAY INCORPORATECOM | 39.8K | −52.4% | $19.9K | 5.1% |
JPMJPMorgan Chase & Co | 55.2K | +0.4% | $18.1K | 4.7% |
| 58.2K |
| +1.1% |
| $16.8K |
| 4.3% |
GOOGAlphabet Inc. | 44.8K | −7.8% | $15.8K | 4.1% |
GSGoldman Sachs Group Inc | 12.4K | −36.5% | $12.6K | 3.2% |
BNYBank of New York Mellon Corp | 80K | +111.2% | $11.6K | 3% |
OKEONEOK Inc | 132.3K | −46.7% | $11.5K | 3% |
AEPAmerican Electric Power Co Inc | 83.9K | +3.4% | $11.5K | 3% |
CSCOCisco Systems, Inc. | 93.8K | +5,657.4% | $11K | 2.8% |
COFCapital One Financial Corp | 51K | +3.9% | $10.2K | 2.6% |
BACBank of America Corp | 176.8K | +122.3% | $10.1K | 2.6% |
ALSNAllison Transmission Holdings Inc | 85.4K | +3.8% | $9.6K | 2.5% |
CVXChevron Corp | 56.8K | +3.9% | $9.4K | 2.4% |
AFLAflac Inc | 79.1K | +1.8% | $9.3K | 2.4% |
JNJJohnson & Johnson | 35.6K | +4.0% | $9K | 2.3% |
KOCoca Cola Co | 108.6K | −13.2% | $8.8K | 2.3% |
NFGNational Fuel Gas Co | 108K | New | $8.3K | 2.2% |
PSXPhillips 66 | 48.6K | +11.2% | $8.2K | 2.1% |
UNPUnion Pacific Corp | 30.2K | +101.7% | $8.2K | 2.1% |
NOCNorthrop Grumman Corp | 15.9K | +1,082.8% | $8.1K | 2.1% |
DVADaVita Inc. | 34.8K | −6.3% | $7.7K | 2% |
UNHUnitedHealth Group Inc | 18.5K | −70.3% | $7.7K | 2% |
DHIHorton D R Inc | 41.6K | +54.7% | $6.8K | 1.7% |
DVNDevon Energy Corp | 161.4K | +274.4% | $6.7K | 1.7% |
MSFTMicrosoft Corp | 17.1K | −42.8% | $6.4K | 1.6% |
GPCGenuine Parts Co | 49.2K | +671.2% | $5.8K | 1.5% |
HDHome Depot, Inc. | 15.9K | −64.1% | $5.6K | 1.4% |
MSMorgan Stanley | 23.6K | +35.5% | $4.9K | 1.3% |
IBMInternational Business Machines Corp | 16.2K | +29.0% | $4.6K | 1.2% |
UPSUnited Parcel Service Inc | 39.1K | +221.3% | $4.2K | 1.1% |
MRKMerck & Co., Inc. | 31.7K | +319.7% | $4.1K | 1.1% |
ABBVAbbVie Inc. | 15K | +2.8% | $3.8K | 1% |
TXNTexas Instruments Inc | 12.1K | +625.4% | $3.6K | 0.9% |
XOMExxonMobil Holdings Corp | 25.2K | New | $3.5K | 0.9% |
EVRGEvergy, Inc. | 36.5K | +251.1% | $3.2K | 0.8% |
PMPhilip Morris International Inc. | 17.2K | −72.6% | $3.1K | 0.8% |
USBUS Bancorp de | 50.7K | +81.9% | $3.1K | 0.8% |
MOAltria Group, Inc. | 42K | +1.5% | $3K | 0.8% |
CNICanadian National Railway Co | 25.3K | New | $3K | 0.8% |
CVSCVS HEALTH Corp | 27.6K | −73.9% | $2.9K | 0.7% |
TAT&T Inc. | 133.3K | −23.1% | $2.8K | 0.7% |
ADXAdams Diversified Equity Fund, Inc. | 107.6K | +3.8% | $2.7K | 0.7% |
LMTLockheed Martin Corp | 5.4K | −1.5% | $2.7K | 0.7% |
SOSouthern Co | 27.6K | −49.3% | $2.6K | 0.7% |
METMetLife Inc | 31.2K | +0.5% | $2.6K | 0.7% |
DLRDigital Realty Trust, Inc. | 14K | −87.4% | $2.5K | 0.6% |
SHELShell plc | 32K | −6.5% | $2.5K | 0.6% |
TTETotalEnergies SE | 31.3K | +0.5% | $2.4K | 0.6% |
VZVerizon Communications Inc | 56.7K | −21.1% | $2.4K | 0.6% |
BABAAlibaba Group Holding Ltd | 24.9K | +24.0% | $2.4K | 0.6% |
PLDPrologis, Inc. | 17.5K | −29.4% | $2.4K | 0.6% |
STAGSTAG Industrial, Inc. | 61.7K | +6.1% | $2.3K | 0.6% |
PPLPPL Corp | 62.1K | +261.9% | $2.3K | 0.6% |
TYTRI-CONTINENTAL Corp | 65.3K | +254.1% | $2.2K | 0.6% |
MCDMcDonald's Corp | 7.9K | +621.7% | $2.1K | 0.6% |
PGPROCTER & GAMBLE Co | 14.2K | −69.7% | $2.1K | 0.5% |
TGTTarget Corp | 14.5K | −25.2% | $1.9K | 0.5% |
ISHARES TR INTL SEL DIV ETFCOM | 37.7K | +722.2% | $1.6K | 0.4% |
PFEPfizer Inc | 63.6K | +92.4% | $1.5K | 0.4% |
GDVGabelli Dividend & Income Trust | 43.3K | +27.9% | $1.3K | 0.3% |
JQCNuveen Credit Strategies Income Fund | 260.3K | +945.2% | $1.3K | 0.3% |
AODabrdn Total Dynamic Dividend Fund | 104.2K | +3.2% | $1.1K | 0.3% |
RVTRoyce Small-Cap Trust, Inc. | 56.8K | +310.3% | $1K | 0.3% |
MEGINYLI CBRE Global Infrastructure Megatrends Term Fund | 68.6K | +767.4% | $1K | 0.3% |
BSTBlackRock Science & Technology Trust | 19.4K | −68.5% | $983 | 0.3% |
NIEVirtus Equity & Convertible Income Fund | 34.5K | −8.7% | $925 | 0.2% |
BTZBlackRock Credit Allocation Income Trust | 87.8K | +33.5% | $897 | 0.2% |
AVKAdvent Convertible & Income Fund | 65.7K | +4.3% | $861 | 0.2% |
BGRBlackRock Energy & Resources Trust | 58.1K | New | $861 | 0.2% |
STATE STREET UTILITIES SELECTCOM | 19K | −27.7% | $860 | 0.2% |
BCXBlackRock Resources & Commodities Strategy Trust | 72.9K | +288.0% | $824 | 0.2% |
BOEBlackRock Enhanced Global Dividend Trust | 66.9K | −5.8% | $808 | 0.2% |
THQabrdn Healthcare Opportunities Fund | 39.6K | +3.5% | $742 | 0.2% |
INVESCO HIGH YIELD EQUITY DIVICOM | 31.9K | +131.6% | $739 | 0.2% |
BGBBlackstone Strategic Credit 2027 Term Fund | 64.5K | +148.8% | $729 | 0.2% |
BGYBlackRock Enhanced International Dividend Trust | 122.8K | New | $705 | 0.2% |
BDJBlackRock Enhanced Equity Dividend Trust | 68.5K | +5.9% | $656 | 0.2% |
FFCFlaherty & Crumrine PREFERRED & INCOME SECURITIES FUND INC | 35.4K | +40.0% | $576 | 0.1% |
GHYPGIM Global High Yield Fund, Inc. | 45.8K | −31.1% | $554 | 0.1% |
ISDPGIM High Yield Bond Fund, Inc. | 42.2K | −66.9% | $552 | 0.1% |
PDXPIMCO Dynamic Income Strategy Fund | 26K | −35.5% | $542 | 0.1% |
ISHARES TR CORE MSCI EAFECOM | 4.6K | −71.4% | $442 | 0.1% |
GAMGeneral American Investors Co Inc | 6.3K | −85.0% | $402 | 0.1% |
VANGUARD INDEX FUNDS S&P 500 ECOM | 469 | −98.5% | $322 | 0.1% |
STEWSRH Total Return Fund, Inc. | 17.6K | ±0% | $315 | 0.1% |
SCHWAB U.S. LARGE-CAP GROWTH ECOM | 9.2K | −46.1% | $310 | 0.1% |
STATE STREET INDUSTRIAL SELECTCOM | 1.6K | −94.8% | $304 | 0.1% |
CETCentral Securities Corp | 4.5K | ±0% | $235 | 0.1% |
ISHARES INCORPORATED CORE MSCICOM | 2.8K | New | $232 | 0.1% |
ISHARES TR CORE S&P MCP ETFCOM | 2.8K | New | $216 | 0.1% |
ETVEaton Vance Tax-Managed Buy-Write Opportunities Fund | 10.4K | −23.9% | $155 | 0.1% |