Harrington Investments, INC
13F Reported Value
ⓘ$206.5M
Holdings
82
Latest Filing
2026-06-30
Filing Quarter
Q2 2026
Portfolio Overview
Harrington Investments, INC disclosed 82 positions worth $206.5M in its Form 13F-HR for Q2 2026, led by $AAPL (Apple Inc.) at 8.1% of the equity portfolio, followed by $GOOG and $MSFT. During the quarter the fund opened 1 new position and exited 3 — including a new stake in $AMAT and a full exit from $HOLX. The portfolio is most concentrated in Technology (43.6% of disclosed assets). All figures are sourced directly from Harrington Investments, INC’s Form 13F-HR filing with the SEC under CIK 1386364.
AI Fund Analysis
ConcentratingSector Allocation
AUM History
Top Equity Holdings by Value
Quarterly Activity — Q2 2026
Click any card to unlockTop Holdings
- 76.4#84
Quality
$16.8M58,060 sh - 78.2#57
Quality
$10.2M28,541 sh - 79.8#31
Quality
$9.8M26,357 sh - 45.6
Quality
$9.7M69,367 sh - 78.2
Quality
$8.9M25,144 sh - 68.7
Quality
$5.9M24,952 sh - 79.8
Quality
$5.7M9,745 sh - 66.2
Quality
$5.2M35,357 sh - 79.4
Quality
$5.1M55,368 sh - 65.1
Quality
$4.8M9,565 sh
| Company | Quality | Value | Shares |
|---|---|---|---|
| 76.4#84 | $16.8M | 58,060 | |
| 78.2#57 | $10.2M | 28,541 | |
| 79.8#31 | $9.8M | 26,357 | |
| 45.6 | $9.7M | 69,367 | |
| 78.2 | $8.9M | 25,144 | |
| 68.7 | $5.9M | 24,952 | |
| 79.8 | $5.7M | 9,745 | |
| 66.2 | $5.2M | 35,357 | |
| 79.4 | $5.1M | 55,368 | |
| 65.1 | $4.8M | 9,565 |
Unlock AI quality scores for every holding
32-signal composite ranking on each of Harrington Investments, INC's 82 positions.
Showing top 10 of 82 holdings.
Sector Allocation
Technology
$90.1M
Consumer Discretionary
$26.4M
Financials
$24.2M
Industrials
$22.6M
Healthcare
$13.2M
Communication Services
$6.4M
Other
$5.9M
Consumer Staples
$5.3M
Full Holdings — Harrington Investments, INC (Q2 2026)
All 82 disclosed positions from the latest Form 13F-HR, with quarter-over-quarter share changes and 13F Pro quality scores. Sourced from SEC EDGAR.
| # | Ticker | Company | Value | Weight | QoQ | Quality |
|---|---|---|---|---|---|---|
| 1 | Apple Inc. | $16.8M | 8.1% | -3% | 76.4 | |
| 2 | Alphabet Inc. | $10.2M | 4.9% | -6% | 78.2 | |
| 3 | MICROSOFT CORP | $9.8M | 4.8% | -1% | 79.8 | |
| 4 | INTEL CORP | $9.7M | 4.7% | -6% | 45.6 | |
| 5 | Alphabet Inc. | $8.9M | 4.3% | -1% | 78.2 | |
| 6 | AMAZON COM INC | $5.9M | 2.9% | -4% | 68.7 | |
| 7 | ADVANCED MICRO DEVICES INC | $5.7M | 2.7% | -4% | 79.8 | |
| 8 | ORACLE CORP | $5.2M | 2.5% | -1% | 66.2 | |
| 9 | SCHWAB CHARLES CORP | $5.1M | 2.5% | -2% | 79.4 | |
| 10 | THERMO FISHER SCIENTIFIC INC. | $4.8M | 2.3% | -2% | 65.1 | |
| 11 | COSTCO WHOLESALE CORP /NEW | $4.8M | 2.3% | -3% | 66.2 | |
| 12 | NETFLIX INC | $4.6M | 2.2% | -2% | 78.8 | |
| 13 | — | SCHWAB STRATEGIC TR - SHT TM US TRES | $4.4M | 2.1% | +0% | — |
| 14 | TJX COMPANIES INC /DE/ | $4.4M | 2.1% | -7% | 68.7 | |
| 15 | QUALCOMM INC/DE | $4.3M | 2.1% | -1% | 70.5 | |
| 16 | MARSH & MCLENNAN COMPANIES, INC. | $4.2M | 2.0% | -1% | 66.2 | |
| 17 | AMGEN INC | $3.8M | 1.8% | -0% | 79.2 | |
| 18 | EBAY INC | $3.7M | 1.8% | -4% | 66.4 | |
| 19 | STARBUCKS CORP | $3.7M | 1.8% | -3% | 58.2 | |
| 20 | Amalgamated Financial Corp. | $3.6M | 1.8% | -2% | 53.4 | |
| 21 | ASML HOLDING NV | $3.6M | 1.7% | +1% | — | |
| 22 | ILLINOIS TOOL WORKS INC | $3.0M | 1.5% | -0% | 63.6 | |
| 23 | CHURCH & DWIGHT CO INC /DE/ | $3.0M | 1.5% | -2% | 58.1 | |
| 24 | DEERE & CO | $3.0M | 1.4% | -1% | 55.4 | |
| 25 | CONSOLIDATED EDISON INC | $3.0M | 1.4% | -3% | 67.3 | |
| 26 | NVIDIA CORP | $3.0M | 1.4% | +6% | 85.9 | |
| 27 | FIRST SOLAR, INC. | $2.8M | 1.4% | -2% | 79.2 | |
| 28 | STRYKER CORP | $2.7M | 1.3% | +0% | 72.1 | |
| 29 | EMERSON ELECTRIC CO | $2.7M | 1.3% | -4% | 65.3 | |
| 30 | ECOLAB INC. | $2.6M | 1.3% | +2% | 63.3 | |
| 31 | Xylem Inc. | $2.6M | 1.3% | -2% | 65.8 | |
| 32 | DIGITAL REALTY TRUST, INC. | $2.4M | 1.2% | -3% | 72.8 | |
| 33 | GILEAD SCIENCES, INC. | $2.4M | 1.2% | -3% | 57.4 | |
| 34 | CANADIAN NATIONAL RAILWAY CO | $2.3M | 1.1% | -3% | — | |
| 35 | W.W. GRAINGER, INC. | $2.2M | 1.1% | -2% | 61.8 | |
| 36 | Johnson Controls International plc | $2.1M | 1.0% | -9% | — | |
| 37 | SYSCO CORP | $2.1M | 1.0% | -0% | 54.7 | |
| 38 | Graham Holdings Co | $2.0M | 1.0% | -1% | 55.9 | |
| 39 | Prologis, Inc. | $2.0M | 1.0% | -0% | 68.3 | |
| 40 | Mastercard Inc | $1.9M | 0.9% | -1% | 85.1 | |
| 41 | BANK OF HAWAII CORP | $1.8M | 0.9% | -1% | 56.5 | |
| 42 | SPDR GOLD TRUST | $1.5M | 0.8% | +0% | — | |
| 43 | PROCTER & GAMBLE Co | $1.5M | 0.7% | +1% | 64.6 | |
| 44 | NOVO NORDISK A S | $1.5M | 0.7% | +1% | — | |
| 45 | VERIZON COMMUNICATIONS INC | $1.5M | 0.7% | -4% | 65.8 | |
| 46 | Zoom Communications, Inc. | $1.4M | 0.7% | -1% | 70.5 | |
| 47 | KEYCORP /NEW/ | $1.3M | 0.6% | +4% | 70.8 | |
| 48 | Medtronic plc | $1.2M | 0.6% | +3% | 68.7 | |
| 49 | PayPal Holdings, Inc. | $1.2M | 0.6% | -7% | 64.1 | |
| 50 | VEEVA SYSTEMS INC | $1.0M | 0.5% | -2% | 77.6 | |
| 51 | SHOPIFY INC. | $1.0M | 0.5% | +2% | 64.9 | |
| 52 | HONDA MOTOR CO LTD | $935,105 | 0.5% | -4% | — | |
| 53 | UNITED PARCEL SERVICE INC | $884,618 | 0.4% | -1% | 58.6 | |
| 54 | JPMORGAN CHASE & CO | $878,881 | 0.4% | -2% | 70.7 | |
| 55 | ORMAT TECHNOLOGIES, INC. | $878,170 | 0.4% | -3% | 49.8 | |
| 56 | INTUIT INC. | $865,367 | 0.4% | -1% | 79.3 | |
| 57 | DARLING INGREDIENTS INC. | $799,036 | 0.4% | -1% | 63.5 | |
| 58 | INTUITIVE SURGICAL INC | $787,406 | 0.4% | +0% | 79.9 | |
| 59 | SHERWIN WILLIAMS CO | $769,555 | 0.4% | +18% | 61.3 | |
| 60 | BERKSHIRE HATHAWAY INC | $748,850 | 0.4% | +0% | 73.8 | |
| 61 | HEALTHPEAK PROPERTIES, INC. | $670,804 | 0.3% | -6% | 63.9 | |
| 62 | KONINKLIJKE PHILIPS NV | $654,246 | 0.3% | +3% | — | |
| 63 | TARGET CORP | $612,953 | 0.3% | -2% | 60.7 | |
| 64 | ANALOG DEVICES INC | $594,961 | 0.3% | +0% | 79.2 | |
| 65 | Broadcom Inc. | $593,068 | 0.3% | -2% | 84.5 | |
| 66 | HA Sustainable Infrastructure Capital, Inc. | $587,429 | 0.3% | -1% | 43.5 | |
| 67 | PACKAGING CORP OF AMERICA | $499,197 | 0.2% | +19% | 63 | |
| 68 | — | ISHARES TR - RUSSELL 2000 ETF | $483,725 | 0.2% | +0% | — |
| 69 | TREX CO INC | $448,709 | 0.2% | +9% | 54.5 | |
| 70 | — | ISHARES INC - CORE MSCI EMKT | $383,715 | 0.2% | +0% | — |
| 71 | — | VANGUARD TAX-MANAGED FDS - VAN FTSE DEV MKT | $356,250 | 0.2% | +0% | — |
| 72 | Nu Holdings Ltd. | $336,382 | 0.2% | -9% | — | |
| 73 | VISA INC. | $327,308 | 0.2% | +0% | 82.9 | |
| 74 | Chubb Ltd | $307,007 | 0.1% | +0% | — | |
| 75 | Air Products & Chemicals, Inc. | $291,714 | 0.1% | -60% | 46.4 | |
| 76 | ISHARES GOLD TRUST | $287,391 | 0.1% | -1% | — | |
| 77 | Trane Technologies plc | $282,417 | 0.1% | -37% | — | |
| 78 | FAIR ISAAC CORP | $273,605 | 0.1% | -4% | 77.7 | |
| 79 | Warner Bros. Discovery, Inc. | $268,306 | 0.1% | -57% | 41.4 | |
| 80 | APPLIED MATERIALS INC /DE | $245,820 | 0.1% | NEW | 72.3 | |
| 81 | — | VANGUARD SCOTTSDALE FDS - SHRT TRM CORP BD | $237,090 | 0.1% | +0% | — |
| 82 | Merck & Co., Inc. | $221,406 | 0.1% | +0% | 59.9 |
New Positions (1)
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