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Funds / Miramar Capital, LLC
Institutional Fund

Miramar Capital, LLC

Northbrook, ILCIK 17678125 filings on record

Portfolio Value
$449.21M
Q1 2026
Holdings
56
Reported positions
New Buys
4
Opened this quarter
QoQ Change
-1.8%
from $457.64M

Portfolio Value Trend

Reported 13F value by quarter

Portfolio value trend — upgrade to see history

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Top Allocations

Largest positions by weight

  • Chevron Corp New5.0%
  • Abbvie Inc5.0%
  • Verizon Communications Inc4.9%
  • Broadcom Inc4.9%
  • Microsoft Corp4.6%
  • Alphabet Inc4.5%
  • Other71.1%

Portfolio Holdings

56 positions · Q1 2026

#SecuritySharesValue% Port.Δ SharesActivity
1Chevron Corp New108.8K$22.50M5.0%3.3KReduced
2Abbvie Inc102.6K$22.31M5.0%2.4KReduced
3Verizon Communications Inc441.7K$22.17M4.9%11.4KReduced
4Broadcom Inc71.0K$21.96M4.9%1.6KReduced
5Microsoft Corp55.7K$20.63M4.6%+2.7KAdded
6Alphabet Inc70.6K$20.29M4.5%17.0KReduced
7Oneok Inc New221.6K$20.03M4.5%+6.9KAdded
8Pepsico Inc120.8K$18.76M4.2%3.1KReduced
9Cme Group Inc55.7K$16.46M3.7%1.7KReduced
10Lockheed Martin Corp27.0K$16.33M3.6%896Reduced

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