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Funds / Canal Insurance Co
Institutional Fund

Canal Insurance Co

Greenville, SCCIK 13134735 filings on record

Portfolio Value
$465.4K
Q1 2026
Holdings
76
Reported positions
New Buys
15
Opened this quarter
QoQ Change
+12.8%
from $412.6K

Portfolio Value Trend

Reported 13F value by quarter

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Top Allocations

Largest positions by weight

  • Chevron Corp New5.3%
  • Lockheed Martin Corp4.8%
  • Microsoft Corp4.6%
  • Northrop Grumman Corp4.4%
  • Abbvie Inc4.3%
  • Duke Energy Corp New4.2%
  • Other72.4%

Portfolio Holdings

76 positions · Q1 2026

#SecuritySharesValue% Port.Δ SharesActivity
1Chevron Corp New119.2K$24.7K5.3%0Held
2Lockheed Martin Corp36.6K$22.1K4.8%0Held
3Microsoft Corp57.5K$21.3K4.6%+5.0KAdded
4Northrop Grumman Corp30.1K$20.5K4.4%10.0KReduced
5Abbvie Inc92.5K$20.1K4.3%0Held
6Duke Energy Corp New150.2K$19.7K4.2%0Held
7Exxon Mobil Corp115.0K$19.5K4.2%0Held
8Johnson & Johnson75.0K$18.3K3.9%0Held
9Rtx Corporation93.7K$18.1K3.9%0Held
10Pfizer Inc560.0K$15.7K3.4%0Held

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