apricus wealth, LLC

data from 31/03/2026

Capitalization

$ 205.226 M

4.81%

Performance

$ 59.873 M

38.69%

Average holding period

11 years

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in apricus wealth, LLC

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2026/03/31 CVX CHEVRON CORPORATION 3.48% 7.147 M $ 34545 2021/12/31 1.923 M $ 35.75 %
2026/03/31 BG BUNGE GLOBAL SA 3.12% 6.397 M $ 50287 2023/12/31 2.003 M $ 42.79 %
2026/03/31 STT STATE STR CORP 2.42% 4.957 M $ 39165 2022/12/31 -105.215 K $ -1.90 %
2026/03/31 MRK MERCK & CO INC 2.39% 4.915 M $ 40860 2021/12/31 925.848 K $ 14.28 %
2026/03/31 JNJ JOHNSON & JOHNSON 2.33% 4.787 M $ 19582 2021/12/31 767.982 K $ 18.12 %
2026/03/31 ADM ARCHER DANIELS MIDLAND CO 2.27% 4.656 M $ 64056 2021/12/31 1.004 M $ 26.44 %
2026/03/31 C CITIGROUP INC 2.27% 4.649 M $ 40990 2024/03/31 -149.207 K $ -2.81 %
2026/03/31 ABBV ABBVIE INC 2.22% 4.546 M $ 20904 2021/12/31 -226.699 K $ -4.81 %
2026/03/31 EXE EXPAND ENERGY CORPORATION 2.17% 4.446 M $ 40495 2024/06/30 -22.550 K $ -0.53 %
2026/03/31 SLB SLB LIMITED 2.17% 4.444 M $ 86475 2022/06/30 1.102 M $ 33.90 %
2026/03/31 AMGN AMGEN INC 2.14% 4.382 M $ 12454 2021/12/31 314.578 K $ 7.50 %
2026/03/31 OKE ONEOK INC NEW 2.11% 4.323 M $ 47825 2024/06/30 798.052 K $ 22.98 %
2026/03/31 CTRA COTERRA ENERGY INC 2.08% 4.260 M $ 121230 2021/12/31 1.075 M $ 33.51 %
2026/03/31 KMB KIMBERLY-CLARK CORP 2.02% 4.137 M $ 42882 2021/12/31 -120.829 K $ -4.38 %
2026/03/31 CSCO CISCO SYS INC 2.01% 4.128 M $ 53208 2021/12/31 31.246 K $ 0.73 %
2026/03/31 NUE NUCOR CORP 2.00% 4.111 M $ 24311 2025/03/31 145.323 K $ 3.67 %
2026/03/31 TSN TYSON FOODS INC 1.97% 4.042 M $ 63090 2023/03/31 341.660 K $ 9.30 %
2026/03/31 KR KROGER CO 1.93% 3.954 M $ 54650 2024/06/30 526.060 K $ 15.81 %
2026/03/31 NEM NEWMONT CORP 1.89% 3.886 M $ 35900 2023/06/30 329.322 K $ 8.41 %
2026/03/31 BAC BANK AMERICA CORP 1.87% 3.836 M $ 78695 2021/12/31 -501.250 K $ -11.36 %
2026/03/31 KMI KINDER MORGAN INC DEL 1.87% 3.830 M $ 114233 2021/12/31 683.595 K $ 21.97 %
2026/03/31 AAPL APPLE INC 1.82% 3.743 M $ 14750 2021/12/31 -269.911 K $ -6.65 %
2026/03/31 NVS NOVARTIS AG 1.82% 3.731 M $ 24423 2021/12/31 367.134 K $ 10.79 %
2026/03/31 TRP TC ENERGY CORP 1.75% 3.600 M $ 57510 2021/12/31 445.836 K $ 13.80 %
2026/03/31 CB CHUBB LTD SWITZ 1.74% 3.575 M $ 10969 2021/12/31 153.622 K $ 4.42 %
2026/03/31 TM TOYOTA MOTOR CORP 1.74% 3.573 M $ 17339 2021/12/31 -134.127 K $ -3.72 %
2026/03/31 PFE PFIZER INC 1.70% 3.489 M $ 124262 2021/12/31 380.576 K $ 12.77 %
2026/03/31 KT KT CORP 1.65% 3.383 M $ 157735 2023/09/30 481.231 K $ 13.07 %
2026/03/31 ABNB AIRBNB INC 1.60% 3.277 M $ 25954 2022/12/31 -245.100 K $ -6.96 %
2026/03/31 WEC WEC ENERGY GROUP INC 1.58% 3.243 M $ 28015 2024/03/31 285.999 K $ 9.78 %
2026/03/31 SO SOUTHERN CO 1.57% 3.222 M $ 33377 2021/12/31 301.427 K $ 10.69 %
2026/03/31 PNC PNC FINL SVCS GROUP INC 1.57% 3.221 M $ 15480 2022/06/30 -10.374 K $ -0.31 %
2026/03/31 SHEL SHELL PLC 1.54% 3.165 M $ 34028 2023/06/30 656.067 K $ 26.57 %
2026/03/31 B BARRICK MNG CORP 1.50% 3.069 M $ 75230 2025/06/30 -219.640 K $ -6.34 %
2026/03/31 UL UNILEVER PLC 1.45% 2.974 M $ 52201 2025/12/31 -440.872 K $ -12.89 %
2026/03/31 DUK DUKE ENERGY CORP NEW 1.42% 2.912 M $ 22236 2023/12/31 307.153 K $ 11.71 %
2026/03/31 UNM UNUM GROUP 1.37% 2.805 M $ 38415 2021/12/31 -164.808 K $ -5.77 %
2026/03/31 LYB LYONDELLBASELL INDUSTRIES NV 1.35% 2.778 M $ 34480 2021/12/31 1.213 M $ 86.05 %
2026/03/31 CI THE CIGNA GROUP 1.33% 2.720 M $ 10195 2023/12/31 -80.602 K $ -3.08 %
2026/03/31 SJM SMUCKER J M CO 1.22% 2.512 M $ 26050 2021/12/31 -36.003 K $ -1.40 %
2026/03/31 VZ VERIZON COMMUNICATIONS INC 1.19% 2.448 M $ 48765 2021/12/31 463.225 K $ 23.25 %
2026/03/31 CMCSA COMCAST CORP NEW 1.06% 2.186 M $ 76125 2025/03/31 53.541 K $ 2.38 %
2026/03/31 OC OWENS CORNING NEW 1.06% 2.175 M $ 20095 2025/09/30 -61.180 K $ -3.30 %
2026/03/31 GOOG ALPHABET INC 0.96% 1.963 M $ 6844 2021/12/31 -201.080 K $ -8.59 %
2026/03/31 MSFT MICROSOFT CORP 0.92% 1.883 M $ 5087 2021/12/31 -568.044 K $ -23.46 %
2026/03/31 MDXG MIMEDX GROUP INC 0.87% 1.785 M $ 451945 2021/12/31 -1.274 M $ -41.65 %
2026/03/31 XOM EXXON MOBIL CORP 0.86% 1.769 M $ 10429 2021/12/31 506.467 K $ 40.98 %
2026/03/31 ENB ENBRIDGE INC 0.76% 1.566 M $ 28930 2021/12/31 169.739 K $ 13.19 %
2026/03/31 CEG CONSTELLATION ENERGY CORP 0.58% 1.194 M $ 4277 2022/03/31 -316.583 K $ -20.95 %
2026/03/31 BRK-B BERKSHIRE HATHAWAY INC DEL 0.54% 1.117 M $ 2331 2022/03/31 -55.177 K $ -4.67 %
2026/03/31 WTRG ESSENTIAL UTILS INC 0.52% 1.058 M $ 26262 2023/03/31 50.160 K $ 4.98 %
2026/03/31 T AT&T INC 0.50% 1.027 M $ 35416 2021/12/31 148.636 K $ 16.71 %
2026/03/31 CAT CATERPILLAR INC 0.48% 987.593 K $ 1394 2022/03/31 189.012 K $ 23.67 %
2026/03/31 JPM JPMORGAN CHASE & CO 0.47% 964.254 K $ 3278 2021/12/31 -96.610 K $ -8.71 %
2026/03/31 HON HONEYWELL INTL INC 0.42% 870.894 K $ 3853 2021/12/31 119.923 K $ 15.86 %
2026/03/31 GLW CORNING INC 0.41% 836.216 K $ 6150 2025/03/31 303.724 K $ 55.29 %
2026/03/31 HESM HESS MIDSTREAM LP 0.41% 835.705 K $ 21500 2021/12/31 92.862 K $ 12.67 %
2026/03/31 PEP PEPSICO INC 0.39% 797.104 K $ 5133 2021/12/31 60.709 K $ 8.20 %
2026/03/31 VTV VANGUARD INDEX FDS 0.37% 767.534 K $ 3912 2021/12/31 19.600 K $ 2.73 %
2026/03/31 AMZN AMAZON COM INC 0.36% 745.190 K $ 3578 2021/12/31 -80.232 K $ -9.77 %
2026/03/31 SYK STRYKER CORPORATION 0.36% 739.328 K $ 2250 2021/12/31 -50.885 K $ -6.51 %
2026/03/31 PLTR PALANTIR TECHNOLOGIES INC 0.36% 738.714 K $ 5050 2022/12/31 -158.923 K $ -17.70 %
2026/03/31 VEA VANGUARD TAX-MANAGED FDS 0.35% 715.645 K $ 11168 2025/09/30 19.241 K $ 2.58 %
2026/03/31 GOOGL ALPHABET INC 0.33% 679.217 K $ 2362 2021/12/31 -66.449 K $ -8.13 %
2026/03/31 IJJ ISHARES TR 0.33% 677.605 K $ 5114 2024/12/31 4.653 K $ 0.69 %
2026/03/31 ABT ABBOTT LABORATORIES 0.29% 591.779 K $ 5764 2021/12/31 -130.381 K $ -18.05 %
2026/03/31 HSY HERSHEY CO 0.28% 565.735 K $ 2721 2025/09/30 70.267 K $ 14.24 %
2026/03/31 FDX FEDEX CORP 0.27% 544.955 K $ 1530 2021/12/31 104.682 K $ 23.31 %
2026/03/31 KO COCA COLA CO 0.26% 538.510 K $ 7081 2023/12/31 42.783 K $ 8.78 %
2026/03/31 PHYS SPROTT ASSET MANAGEMENT LP 0.25% 513.880 K $ 14500 2023/03/31 39.929 K $ 7.33 %
2026/03/31 SOBO SOUTH BOW CORP 0.25% 505.798 K $ 15180 2024/12/31 85.293 K $ 21.30 %
2026/03/31 CBOE CBOE GLOBAL MKTS INC 0.24% 492.716 K $ 1753 2024/12/31 53.464 K $ 11.98 %
2026/03/31 VGT VANGUARD WORLD FD 0.23% 469.566 K $ 673 2022/03/31 -39.241 K $ -7.44 %
2026/03/31 NSC NORFOLK SOUTHN CORP 0.23% 464.079 K $ 1617 2023/06/30 -2.597 K $ -0.60 %
2026/03/31 SXI STANDEX INTL CORP 0.22% 448.554 K $ 1760 2024/12/31 71.552 K $ 17.30 %
2026/03/31 VTI VANGUARD INDEX FDS 0.22% 447.452 K $ 1395 2025/09/30 -22.196 K $ -4.31 %
2026/03/31 MA MASTERCARD INCORPORATED 0.22% 445.203 K $ 891 2024/06/30 -66.305 K $ -12.48 %
2026/03/31 TMO THERMO FISHER SCIENTIFIC INC 0.22% 442.377 K $ 900 2023/12/31 -82.644 K $ -15.17 %
2026/03/31 AEP AMERICAN ELEC PWR CO INC 0.20% 411.198 K $ 3137 2021/12/31 49.470 K $ 13.68 %
2026/03/31 AME AMETEK INC 0.20% 400.853 K $ 1870 2023/12/31 17.376 K $ 4.41 %
2026/03/31 PRU PRUDENTIAL FINL INC 0.19% 387.243 K $ 3964 2022/03/31 -69.327 K $ -13.46 %
2026/03/31 JCI JOHNSON CONTROLS INTERNATION 0.19% 385.779 K $ 2946 2025/03/31 32.995 K $ 9.35 %
2026/03/31 HUBB HUBBELL INC 0.18% 368.055 K $ 750 2021/12/31 37.304 K $ 10.50 %
2026/03/31 IEMG ISHARES INC 0.18% 367.931 K $ 5275 2025/03/31 12.903 K $ 3.76 %
2026/03/31 CACI CACI INTL INC 0.17% 355.147 K $ 653 2024/12/31 8.825 K $ 2.08 %
2026/03/31 PSX PHILLIPS 66 0.17% 346.142 K $ 1900 2025/06/30 106.280 K $ 41.18 %
2026/03/31 STE STERIS PLC 0.16% 332.926 K $ 1506 2024/12/31 -47.062 K $ -12.78 %
2026/03/31 SCHD SCHWAB STRATEGIC TR 0.16% 330.386 K $ 10769 2024/09/30 34.895 K $ 11.85 %
2026/03/31 RLMD RELMADA THERAPEUTICS INC 0.16% 330.336 K $ 47462 2021/12/31 101.094 K $ 44.10 %
2026/03/31 ADI ANALOG DEVICES INC 0.16% 328.609 K $ 1033 2024/12/31 48.489 K $ 17.31 %
2026/03/31 TJX TJX COS INC NEW 0.16% 323.872 K $ 2028 2025/03/31 13.044 K $ 3.96 %
2026/03/31 PG PROCTER & GAMBLE CO 0.15% 313.435 K $ 2170 2021/12/31 2.449 K $ 0.79 %
2026/03/31 NEE NEXTERA ENERGY INC 0.15% 303.903 K $ 3272 2025/03/31 41.227 K $ 15.70 %
2026/03/31 EOG EOG RES INC 0.15% 298.248 K $ 2063 2024/12/31 79.634 K $ 37.67 %
2026/03/31 DELL DELL TECHNOLOGIES INC 0.15% 297.896 K $ 1815 2022/03/31 75.161 K $ 30.39 %
2026/03/31 UPS UNITED PARCEL SVCS INC 0.14% 289.926 K $ 2947 2021/12/31 -2.250 K $ -0.82 %
2026/03/31 AFL AFLAC INC 0.13% 275.482 K $ 2511 2022/12/31 -1.406 K $ -0.51 %
2026/03/31 NDSN NORDSON CORP 0.13% 272.978 K $ 1026 2025/03/31 26.808 K $ 10.66 %
2026/03/31 DIVI FRANKLIN TEMPLETON ETF TR 0.13% 263.184 K $ 6611 2026/03/31 0.000 $ 0.00 %
2026/03/31 VYMI VANGUARD WHITEHALL FDS 0.12% 254.448 K $ 2700 2025/06/30 11.447 K $ 4.71 %