Harrington Investments, INC holds a diversified book of 82 reported positions worth $206.5M as of Q2 2026 (disclosed Jul 23, 2026, a ~23-day 13F lag). This quarter they opened Applied Materials Inc and trimmed Apple Inc. Their largest long position is Apple Inc at 8% of the reported non-option book.
Top-heavy: diversified book
Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.
97% mapped to company sectors
+4 sectors below the cut, 5% together
Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.
Estimated $ traded · quarter-end prices (an exit at the prior quarter-end), no cost basis
Other tracked managers holding the same core names as Harrington Investments, INC
| Manager / fund | Shared names | Their $ in those |
|---|---|---|
| Mirae Asset Global Investments Co., Ltd. | 69 / 80 | $278.9B |
| Conway Capital Management, Inc. | 17 / 80 | $183.8M |
| Emerald Advisors, LLC | 23 / 80 | $641.7M |
| Prospect Hill Management, LLC | 9 / 80 | $206.9M |
| New World Advisors LLC | 27 / 80 | $462.2M |
| Aljian Capital Management, LLC | 31 / 80 | $402.7M |
| Ketron Financial | 17 / 80 | $238.7M |
| Independent Investors Inc | 17 / 80 | $387.0M |
Ranked by the share of each fund's own book sitting in the names it shares with Harrington Investments, INC: only funds sharing at least a tenth of the book qualify. Index giants, bank custody books and market makers are excluded. They hold everything, so their overlap says nothing.
Bars show each position's share of the portfolio. Click a row for its position history.
| # | Security | Value | Shares | % Port | Last move | History |
|---|---|---|---|---|---|---|
| 1 | Apple Inc COM | $16.8M | 58.1K | 8.1% | ▼−2.9% Reduced · −2K sh | |
| 2 | Alphabet Inc CAP STK CL A | $10.2M | 28.5K | 4.9% | ▼−6.2% Reduced · −2K sh | |
| 3 | Microsoft Corp COM | $9.8M | 26.4K | 4.8% | ▼−0.8% Reduced · −201 sh | |
| 4 | Intel Corp COM | $9.7M | 69.4K | 4.7% | ▼−5.7% Reduced · −4K sh | |
| 5 | Alphabet Inc CAP STK CL C | $8.9M | 25.1K | 4.3% | ▼−1.5% Reduced · −376 sh | |
| 6 | Amazon Com Inc COM | $5.9M | 25.0K | 2.9% | ▼−4.0% Reduced · −1K sh | |
| 7 | Advanced Micro Devices Inc COM | $5.7M | 9.7K | 2.7% | ▼−4.4% Reduced · −445 sh | |
| 8 | Oracle Corp COM | $5.2M | 35.4K | 2.5% | ▼−0.7% Reduced · −237 sh | |
| 9 | Schwab Charles Corp COM | $5.1M | 55.4K | 2.5% | ▼−2.4% Reduced · −1K sh | |
| 10 | Thermo Fisher Scientific Inc COM | $4.8M | 9.6K | 2.3% | ▼−1.9% Reduced · −183 sh | |
| 11 | Costco Wholesale Corporation COM | $4.8M | 5.1K | 2.3% | ▼−2.7% Reduced · −141 sh | |
| 12 | Netflix Inc. COM | $4.6M | 64.9K | 2.2% | ▼−1.8% Reduced · −1K sh | |
| 13 | Schwab Strategic TR SHT TM US TRES | $4.4M | 183.2K | 2.1% | ▲+0.3% Added · +600 sh | |
| 14 | TJX Cos Inc New COM | $4.4M | 28.8K | 2.1% | ▼−6.6% Reduced · −2K sh | |
| 15 | Qualcomm Inc COM | $4.3M | 23.1K | 2.1% | ▼−1.2% Reduced · −280 sh | |
| 16 | Marsh & McLennan Cos Inc COM | $4.2M | 25.4K | 2.1% | ▼−1.5% Reduced · −380 sh | |
| 17 | Amgen Inc COM | $3.8M | 10.4K | 1.8% | ▼~0% Reduced · −2 sh | |
| 18 | Ebay Inc. COM | $3.7M | 33.4K | 1.8% | ▼−3.9% Reduced · −1K sh | |
| 19 | Starbucks Corp COM | $3.7M | 35.8K | 1.8% | ▼−3.2% Reduced · −1K sh | |
| 20 | Amalgamated Financial Corp COM | $3.6M | 79.3K | 1.8% | ▼−1.9% Reduced · −2K sh | |
| 21 | ASML Hldg NV N Y REGISTRY SHS | $3.6M | 1.8K | 1.7% | ▲+1.1% Added · +20 sh | |
| 22 | Illinois Tool WKS Inc COM | $3.0M | 11.2K | 1.5% | ▼−0.2% Reduced · −25 sh | |
| 23 | Church & Dwight Co Inc COM | $3.0M | 31.1K | 1.5% | ▼−1.9% Reduced · −620 sh | |
| 24 | Deere & Co COM | $3.0M | 4.7K | 1.4% | ▼−1.2% Reduced · −59 sh | |
| 25 | Consolidated Edison Inc COM | $3.0M | 26.8K | 1.4% | ▼−2.8% Reduced · −761 sh | |
| 26 | Nvidia Corporation COM | $3.0M | 14.8K | 1.4% | ▲+6.1% Added · +847 sh | |
| 27 | First Solar Inc COM | $2.8M | 12.1K | 1.4% | ▼−2.4% Reduced · −300 sh | |
| 28 | Stryker Corporation COM | $2.7M | 8.7K | 1.3% | ▲+0.5% Added · +42 sh | |
| 29 | Emerson Elec Co COM | $2.7M | 18.9K | 1.3% | ▼−3.7% Reduced · −730 sh | |
| 30 | Ecolab Inc COM | $2.6M | 9.5K | 1.3% | ▲+1.6% Added · +151 sh | |
| 31 | Xylem Inc COM | $2.6M | 21.9K | 1.3% | ▼−2.2% Reduced · −489 sh | |
| 32 | Digital Rlty TR Inc COM | $2.4M | 13.4K | 1.2% | ▼−2.8% Reduced · −384 sh | |
| 33 | Gilead Sciences Inc COM | $2.4M | 19.0K | 1.2% | ▼−2.5% Reduced · −495 sh | |
| 34 | Canadian Natl Ry Co COM | $2.3M | 19.3K | 1.1% | ▼−2.7% Reduced · −545 sh | |
| 35 | WW Grainger Inc COM | $2.2M | 1.6K | 1.1% | ▼−1.5% Reduced · −25 sh | |
| 36 | Johnson Controls Internation SHS | $2.1M | 14.6K | 1.0% | ▼−9.2% Reduced · −1K sh | |
| 37 | Sysco Corp COM | $2.1M | 25.4K | 1.0% | ▼−0.3% Reduced · −75 sh | |
| 38 | Graham Hldgs Co COM CL B | $2.0M | 1.8K | 1.0% | ▼−1.0% Reduced · −18 sh | |
| 39 | Prologis Inc. COM | $2.0M | 14.7K | 1.0% | ▼−0.5% Reduced · −70 sh | |
| 40 | Mastercard Incorporated CL A | $1.9M | 3.7K | 0.9% | ▼−1.2% Reduced · −45 sh | |
| 41 | Bank Hawaii Corp COM | $1.8M | 21.7K | 0.9% | ▼−1.2% Reduced · −265 sh | |
| 42 | SPDR Gold TR GOLD SHS | $1.5M | 4.2K | 0.7% | —Held | |
| 43 | Procter & Gamble Co COM | $1.5M | 10.3K | 0.7% | ▲+0.7% Added · +75 sh | |
| 44 | Novo-Nordisk A S ADR | $1.5M | 30.6K | 0.7% | ▲+1.0% Added · +310 sh | |
| 45 | Verizon Communications Inc COM | $1.5M | 34.3K | 0.7% | ▼−4.1% Reduced · −1K sh | |
| 46 | Zoom Communications Inc CL A | $1.4M | 15.9K | 0.7% | ▼−1.1% Reduced · −180 sh | |
| 47 | Keycorp COM | $1.3M | 56.2K | 0.6% | ▲+3.7% Added · +2K sh | |
| 48 | Medtronic PLC SHS | $1.2M | 15.7K | 0.6% | ▲+3.5% Added · +525 sh | |
| 49 | PayPal Hldgs Inc COM | $1.2M | 27.0K | 0.6% | ▼−7.0% Reduced · −2K sh | |
| 50 | Veeva Sys Inc CL A COM | $1.0M | 5.9K | 0.5% | ▼−1.8% Reduced · −110 sh |
This fund page is the Follow view. The Build view lets your agent pull holdings, quarter changes, overlap, and source filings through API or MCP.
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Use Arkolith to show Harrington Investments, INC's latest holdings, largest changes, and filing provenance.
As-of date vs the date the SEC received each filing
Reported 13F total per quarter. Raw filing totals can include option notional.
| Quarter | As of | Filed | Lag | Positions | Value | Form |
|---|---|---|---|---|---|---|
| Q2 2026 | Jun 30, 2026 | Jul 23, 2026 | 23d | 82 | $206.5M | 13F-HR |
| Q1 2026 | Mar 31, 2026 | Apr 13, 2026 | 13d | 84 | $190.0M | 13F-HR |
| Q4 2025 | Dec 31, 2025 | Jan 13, 2026 | 13d | 84 | $199.1M | 13F-HR |
| Q3 2025 | Sep 30, 2025 | Oct 20, 2025 | 20d | 85 | $200.3M | 13F-HR |
| Q2 2025 | Jun 30, 2025 | Jul 14, 2025 | 14d | 83 | $189.0M | 13F-HR |
| Q1 2025 | Mar 31, 2025 | Apr 11, 2025 | 11d | 82 | $175.9M | 13F-HR |
| Q4 2024 | Dec 31, 2024 | Feb 10, 2025 | 41d | 81 | $181.9M | 13F-HR |
| Q3 2024 | Sep 30, 2024 | Oct 11, 2024 | 11d | 81 | $183.3M | 13F-HR |
Holdings from SEC EDGAR 13F-HR filings, updated quarterly, filed up to 45 days after quarter-end. Public domain. Book totals and portfolio weights cover reported non-option positions, which can include notes and warrants. Disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.