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Portfolio (Quarterly) Guide ↗

DUMONT & BLAKE INVESTMENT ADVISORS LLC

· CIK 0001287618
13F Portfolio $399.7B AUM 202 positions Filed Apr 28, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 · All 15 New 17 Added 149 Reduced 16 Exited
Page 2 of 11  ·  202 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
21 JPM JP Morgan Chase & Co Financial Services 14,857.0 $4.4M 1.09% -298.0 -2.0% $294.16 +2.0%
22 EFA iShares MSCI EAFE Index 42,662.0 $4.1M 1.04% -2K -5.2% $97.13 +4.7%
23 SDY SPDR S&P Dividend ETF 23,724.0 $3.5M 0.87% -611.0 -2.5% $145.94 +0.1%
24 BLK BlackRock Inc New Financial Services 3,490.0 $3.4M 0.84% -76.0 -2.1% $961.71 +12.5%
25 JNJ Johnson & Johnson Healthcare 13,416.0 $3.3M 0.82% -540.0 -3.9% $244.43 -5.6%
26 TPR Tapestry Inc Consumer Cyclical 23,094.0 $3.3M 0.81% -408.0 -1.7% $141.11 -7.7%
27 BNY Mellon Midcap Index Fund 113,290.0 $3.1M 0.78% $27.61
28 IJK iShares S&P Midcap 400 Growth 30,538.0 $3.1M 0.77% -1K -3.6% $100.62 +9.7%
29 AMGN Amgen Inc Healthcare 8,666.0 $3.0M 0.76% -205.0 -2.3% $351.85 -7.3%
30 XLB Materials Select Sector SPDR E 60,376.0 $3.0M 0.76% -2K -2.5% $49.97 +0.7%
31 Schwab Small-Cap Index Fund 74,962.0 $3.0M 0.75% $40.18
32 IRM Iron Mountain Inc Real Estate 28,204.0 $2.9M 0.72% -393.0 -1.4% $102.14 +25.1%
33 GLW Corning Inc Technology 21,162.0 $2.9M 0.72% -454.0 -2.1% $135.97 +53.2%
34 CAT Caterpillar Inc Industrials 4,051.0 $2.9M 0.72% -793.0 -16.4% $708.46 +25.4%
35 ABBV AbbVie Inc Healthcare 13,133.0 $2.9M 0.71% -210.0 -1.6% $217.49 -3.3%
36 STX Seagate Technology PLC Technology 6,621.0 $2.6M 0.65% -157.0 -2.3% $391.76 +105.4%
37 VOX Vanguard Telecommunication Ser 14,296.0 $2.6M 0.64% -220.0 -1.5% $179.84 +8.8%
38 VPU Vanguard Utilities ETF 12,937.0 $2.6M 0.64% -263.0 -2.0% $198.14 -4.0%
39 XOM Exxon Mobil Corp Energy 14,511.0 $2.5M 0.62% -322.0 -2.2% $169.66 -9.9%
40 SMH VanEck Semiconductor 6,391.0 $2.5M 0.61% -177.0 -2.7% $383.41 +45.1%
Page 2 of 11  ·  202 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Financial Services 40.6%
Technology 20.6%
Industrials 8.3%
Communication Services 7.0%
Healthcare 6.8%
Consumer Cyclical 6.6%
Consumer Defensive 4.9%
Energy 3.1%
Real Estate 1.6%
Utilities 0.3%