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13F-HR filed by Blue Chip Partners, LLC

Blue Chip Partners, LLC filed this 13F-HR for the quarter ended 2025-03-31, filed 2025-05-15, with 160 holding rows worth $1,159,663,477.

Accession
0001632801-25-000004
Filed
2025-05-15
Accepted by EDGAR
acceptance time not in the bulk data set
Ingested
Source
SEC quarterly data set

Original filing

13F report for Q1 2025

A holdings report, 160 entries on the cover page, a total value of $1,159,663,477 stated on the cover page (in dollars after the unit check, H1), rows summing to $1,159,663,477 with VALUE read as dollars as filed, 13F file number 028-16504. The quarter's positions are built on this report. The resolved quarter.

The information table after summing rows of one CUSIP and put or call (H4), with the CUSIP and issuer name as filed. Values in dollars after the unit check (method).

Issuer as filedCUSIPClassAmountValueValue read asType
FIDELITY MERRIMACK STR TR316188309TOTAL BD ETF2,579,311$117,745,542dollars as filed
Apple Inc037833100COM217,284$48,265,355dollars as filed
JPMorgan Chase & Co46625H100COM167,880$41,181,071dollars as filed
AbbVie,Inc.00287Y109COM185,298$38,823,738dollars as filed
Microsoft Corp594918104COM99,279$37,268,367dollars as filed
Broadcom Inc.11135F101COM220,242$36,875,118dollars as filed
Alphabet Inc. Reg. Shares C02079K107COM223,528$34,921,854dollars as filed
Energy Select Sector SPDR Fund81369Y506SHS356,010$33,269,167dollars as filed
Morgan Stanley617446448COM277,234$32,344,868dollars as filed
Visa Inc92826C839COM92,132$32,288,572dollars as filed
Costco Wholesale Corporation22160K105COM32,911$31,126,752dollars as filed
Philip Morris International Inc.718172109COM192,787$30,601,017dollars as filed
Waste Management, Inc.94106L109COM125,913$29,150,004dollars as filed
UnitedHealth Group Inc91324P102COM54,716$28,657,476dollars as filed
Home Depot, Inc437076102COM77,623$28,448,041dollars as filed
ISHARES TR464288414NATIONAL MUN ETF259,792$27,392,465dollars as filed
Amazon.com, Inc023135106COM135,488$25,777,894dollars as filed
Abbott Laboratories002824100COM191,023$25,339,228dollars as filed
BlackRock,Inc.09290D101COM26,194$24,792,371dollars as filed
TJX Companies Inc872540109COM178,269$21,713,105dollars as filed
ZOETIS INC CL A98978V103Stock126,133$20,767,770dollars as filed
Union Pacific Corporation907818108COM87,706$20,719,674dollars as filed
DTE ENERGY CO COM233331107Stock126,846$17,538,989dollars as filed
Merck & Co.,Inc.58933Y105COM190,457$17,095,392dollars as filed
KLA CORP482480100COM23,666$16,087,877dollars as filed
VANGUARD TAX-EXEMPT BOND ETF922907746ETF316,474$15,703,445dollars as filed
XCELENERGY INC98389B100COM208,941$14,790,941dollars as filed
OREILLY AUTOMOTIVE INC COM67103H107Stock9,818$14,065,071dollars as filed
Eli Lilly and Company532457108COM17,018$14,055,280dollars as filed
MONSTER BEVERAGE CORP NEW COM61174X109Stock237,393$13,892,239dollars as filed
TARGET CORP COM87612E106Stock131,661$13,740,181dollars as filed
ASMLHLDGNVFSPONSOREDADR1ADRREPS1ORDSHSN07059210STOK20,157$13,356,712dollars as filed
FIRST TR EXCHANGE-TRADED FD33741X102SMID RISNG ETF372,774$12,487,940dollars as filed
NextEra Energy,Inc.65339F101COM169,869$12,042,021dollars as filed
QUANTA SVCS INC74762E102COM45,679$11,610,814dollars as filed
EQUINIX INC COM29444U700REIT14,111$11,505,035dollars as filed
Eaton Corp. PlcG29183103COM41,582$11,303,250dollars as filed
iShares Core US Aggregate Bond ETF464287226SHS114,034$11,280,290dollars as filed
VICI PPTYS INC COM925652109REIT330,800$10,790,710dollars as filed
PepsiCo,Inc.713448108COM71,809$10,767,103dollars as filed
iShares Russell 2000 ETF464287655SHS48,064$9,588,216dollars as filed
FIRST TR EXCHANGE TRADED FD33737A108NASDQ CLN EDGE82,068$9,284,369dollars as filed
GENUINE PARTS CO COM372460105Stock74,749$8,905,611dollars as filed
JPMORGAN INCOME ETF46641Q159ETF146,395$6,744,436dollars as filed
Bank of America Corp060505104COM139,547$5,823,311dollars as filed
McDonalds Corporation580135101COM18,426$5,755,651dollars as filed
SELECT SECTOR SPDR TR81369Y308STATE STREET CON47,135$3,849,546dollars as filed
Coca-Cola Company191216100COM51,937$3,719,729dollars as filed
Procter & Gamble Co742718109COM20,211$3,444,375dollars as filed
Automatic Data Processing,Inc.053015103COM11,228$3,430,493dollars as filed
Vanguard Dividend Appreciation ETF921908844SHS16,316$3,165,213dollars as filed
Texas Instruments Incorporated882508104COM17,546$3,152,967dollars as filed
Raytheon Technologies Corporation75513E101COM23,529$3,116,657dollars as filed
AGREE RLTY CORP COM008492100REIT38,065$2,938,216dollars as filed
Lockheed Martin Corporation539830109COM5,217$2,330,288dollars as filed
Amgen Inc.031162100COM7,221$2,249,729dollars as filed
Walmart Inc.931142103COM23,596$2,071,455dollars as filed
SPY78462F103SHS3,634$2,032,580dollars as filed
NVIDIA Corp67066G104COM18,712$2,027,960dollars as filed
Johnson & Johnson478160104COM12,144$2,013,923dollars as filed
Alphabet Inc. Reg. Shares A02079K305COM12,639$1,954,540dollars as filed
INVESCO EXCHANGE-TRADED FD TR S&P 500 EQUAL WEIGHT ETF46137V357COM11,179$1,936,498dollars as filed
J P MORGAN EXCHANGE TRADED F46641Q837ULTRA SHRT ETF36,828$1,864,581dollars as filed
CAPITAL GRP FIXED INCM ETF T14020Y201MUN INM ETF69,215$1,856,349dollars as filed
Health Care Select Sector SPDR Fund81369Y209SHS12,203$1,781,688dollars as filed
Berkshire Hathaway Inc084670702COM3,246$1,728,755dollars as filed
PENSKE AUTOMOTIVE GRP INC COM70959W103Stock11,718$1,687,155dollars as filed
DT MIDSTREAM INC COMMON STOCK23345M107Stock17,325$1,671,494dollars as filed
Financial Select Sector SPDR Fund81369Y605SHS33,344$1,660,885dollars as filed
NORFOLK SOUTHN CORP COM655844108Stock6,959$1,648,219dollars as filed
Technology Select Sector SPDR Fund81369Y803SHS7,945$1,640,404dollars as filed
Vanguard High Dividend Yield ETF921946406SHS12,023$1,550,494dollars as filed
Caterpillar Inc.149123101COM4,378$1,443,925dollars as filed
EXXON MOBIL CORP30231G102COM12,069$1,435,423dollars as filed
Stryker Corporation863667101COM3,707$1,380,069dollars as filed
Adobe Inc00724F101COM3,578$1,372,271dollars as filed
SELECT SECTOR SPDR TR81369Y704INDL9,404$1,232,573dollars as filed
GLOBAL X FDS37954Y475S&P 500 COVERED28,800$1,137,294dollars as filed
GLOBAL X FDS37954Y483NASDAQ 100 COVER67,645$1,124,941dollars as filed
Vanguard Extended Market ETF922908652SHS6,041$1,040,551dollars as filed
Qualcomm Incorporated747525103COM6,653$1,021,907dollars as filed
International Business Machines Corporation459200101COM3,856$958,815dollars as filed
JPMORGAN EQUITY PREMIUM INCOME ETF46641Q332ETF16,163$923,561dollars as filed
SPDR GOLD TR78463V107GOLD SHS3,127$901,014dollars as filed
DIMENSIONAL ETF TRUST25434V708US CORE EQUITY 224,793$817,919dollars as filed
ISHARES TR464287523COM4,214$792,935dollars as filed
AON PLC SHS CL AG0403H108Stock1,986$792,605dollars as filed
JPMORGAN ULTRA-SHORT MUNICIPAL INCOME ETF46641Q654ETF14,854$755,314dollars as filed
Deere & Company244199105COM1,553$728,797dollars as filed
Cisco Systems,Inc.17275R102COM11,376$702,026dollars as filed
ISHARES TR46434V456MSCI INTL QUALTY16,929$671,912dollars as filed
ISHARESRUSSELL1000GROWTHETF464287614STOK1,837$663,218dollars as filed
ALPS O'SHARES US SMALL-CAP QUALITY DIVIDEND ETF00162Q395ETF15,519$652,109dollars as filed
AMERICAN ELEC PWR CO INC COM025537101Stock5,944$649,458dollars as filed
United Parcel Service,Inc. Class B911312106COM5,620$618,135dollars as filed
Vanguard Growth922908736COM1,666$617,687dollars as filed
META PLATFORMS INC CL A30303M102COM1,062$611,960dollars as filed
iShares Core MSCI EAFE ETF46432F842SHS7,907$598,168dollars as filed
COMERICAINC200340107COM10,042$593,071dollars as filed
ILLINOIS TOOL WKS INC452308109COM2,301$570,775dollars as filed
KIMBERLY-CLARK CORP COM494368103Stock3,889$553,139dollars as filed
FORD MTR CO COM345370860Stock50,219$503,697dollars as filed
Communication Services Select Sector SPDR Fund81369Y852SHS5,125$494,353dollars as filed
REV Group Inc749527107Common Stock15,589$492,613dollars as filed
SELECT SECTOR SPDR TR81369Y407SBI CONS DISCR2,473$488,393dollars as filed
CUMMINS INC COM231021106Stock1,514$474,616dollars as filed
Vanguard Value ETF922908744SHS2,662$459,805dollars as filed
REPUBLIC SVCS INC COM760759100Stock1,832$443,697dollars as filed
ISHARES TR464287689RUSSELL 3000 ETF1,374$436,296dollars as filed
Verizon Communications Inc92343V104COM9,117$413,548dollars as filed
Vertex Pharmaceuticals Incorporated92532F100COM841$407,734dollars as filed
CELSIUS HLDGS INC15118V207COM NEW11,430$407,137dollars as filed
INVESCO EXCHANGE TRADED FD T46137V449S&P 100 EQL WIGH3,949$407,081dollars as filed
Tesla Motors, Inc88160R101COM1,551$401,958dollars as filed
VIKING HOLDINGS LTDG93A5A101ORD SHS10,071$400,323dollars as filed
Vanguard Energy ETF92204A306SHS3,078$399,199dollars as filed
WEC ENERGY GROUP INC COM92939U106Stock3,446$375,594dollars as filed
American Tower Corporation03027X100COM1,670$363,289dollars as filed
INVESCO QQQ TR46090E103COM765$358,919dollars as filed
RAYMOND JAMES FINL INC COM754730109Stock2,565$356,266dollars as filed
SELECT SECTOR SPDR TR81369Y100SBI MATERIALS4,037$347,140dollars as filed
iShares Gold Trust464285204COM5,665$334,009dollars as filed
Advanced Micro Devices,Inc.007903107COM3,168$325,481dollars as filed
iShares S&P 500 Value ETF464287408SHS1,699$323,717dollars as filed
iShares S&P 500 Growth ETF464287309SHS3,152$292,645dollars as filed
MARRIOTT INTL INC NEW CL A571903202Stock1,222$291,132dollars as filed
MasterCard, Inc57636Q104COM527$288,969dollars as filed
SHELL PLC SPON ADS780259305ADR3,932$288,115dollars as filed
Analog Devices,Inc.032654105COM1,421$286,525dollars as filed
TECNOGLASS INCG87264100ORD SHS4,000$286,200dollars as filed
Utilities Select Sector SPDR Fund81369Y886SHS3,599$283,744dollars as filed
CAVAGROUPINC148929102STOK3,269$282,475dollars as filed
Honeywell Technologies438516106COM1,323$280,106dollars as filed
Uber Technologies90353T100COM3,825$278,690dollars as filed
Real Estate Select Sector SPDR Fund81369Y860SHS6,475$270,993dollars as filed
AT&T Inc00206R102COM9,526$269,395dollars as filed
Chevron Corporation166764100COM1,601$267,858dollars as filed
DECKERS OUTDOOR CORP243537107COM2,347$262,419dollars as filed
ONEOK INC NEW682680103COM2,623$260,292dollars as filed
DELTA AIR LINES INC COM NEW247361702Stock5,932$258,641dollars as filed
Altria Group Inc02209S103COM4,242$254,578dollars as filed
iShares Expanded Tech-Software Sector ETF464287515SHS2,845$253,213dollars as filed
ISHARES TR464287465MSCI EAFE ETF3,097$253,118dollars as filed
Vanguard Short-Term Bond ETF921937827SHS3,178$248,811dollars as filed
BLACKSTONE INC09260D107COM1,728$241,506dollars as filed
INVESCO EXCH TRADED FD TR II46138G649COM1,250$241,231dollars as filed
REGENERON PHARMACEUTICALS COM75886F107Stock370$234,863dollars as filed
DIGITAL RLTY TR INC COM253868103REIT1,612$230,933dollars as filed
SCHD808524797COM8,076$225,815dollars as filed
GLOBAL X FDS37954Y673US INFR DEV ETF5,910$222,985dollars as filed
INVESCO S&P 500 EQUAL WEIGHT ENERGY ETF46137V365ETF2,711$221,935dollars as filed
EATON VANCE TAX-MANAGED DIVE27828N102COM15,447$220,272dollars as filed
DOW HLDGS INC COM260557103Stock6,297$219,889dollars as filed
Pfizer Inc.717081103COM8,636$218,839dollars as filed
ISHARES TR464288257MSCI ACWI ETF1,839$214,087dollars as filed
HEICO CORP NEW422806208CL A1,003$211,603dollars as filed
Netflix, Inc64110L106COM225$209,820dollars as filed
S&P Global,Inc.78409V104COM409$207,698dollars as filed
EATON VANCE TAX-MANAGED GLOB27829F108COM11,486$93,498dollars as filed
AMARIN CORP PLC023111206SPONS ADR NEW12,543$5,621dollars as filed

Amendment chain

FilingRoleFiledAcceptedIngested
13F-HR 0001632801-25-000004this filing2025-05-15acceptance time not in the bulk data set