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CIK 0000014213 • 8 13F filings • Mar 6, 2026 – Jul 7, 2026
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Past 5 quarters
| % of Portfolio | |||||
|---|---|---|---|---|---|
| ABBOTT LABORATORIES | Common Stock | $334K | 0.2% | 2,458 SH | New |
| AIR PRODUCTS & CHEMICALS | Common Stock | $255K | 0.1% | 905 SH | New |
| AMAZON COM INC | Common Stock | $265K | 0.1%Prev: 0.1% | 1,206 SH | Decreased-268 SH |
| ANALOG DEVICES INC | Common Stock | $278K | 0.2%Prev: 0.1% | 1,170 SH | Increased+535 SH |
| APPLE INC | Common Stock | $254K | 0.1%Prev: 0.2% | 1,239 SH | Decreased-185 SH |
| BLACKROCK INC COM NEW | Common Stock | $302K | 0.2% | 288 SH | New |
| BOOZ ALLEN HAMILTON | Common Stock | $245K | 0.1% | 2,350 SH | New |
| BROWN AND BROWN INC COM | Common Stock | $407K | 0.2% | 3,675 SH | New |
| COCA-COLA COMPANY | Common Stock | $285K | 0.2% | 4,028 SH | New |
| CROWN CASTLE INC | Common Stock | $299K | 0.2% | 2,910 SH | New |
| DT MIDSTREAM INC | Common Stock | $320K | 0.2%Prev: 0.1% | 2,910 SH | Increased+1,087 SH |
| DUKE ENERGY CORP | Common Stock | $321K | 0.2%Prev: 0.1% | 2,724 SH | Increased+989 SH |
| EATON CORP PLC | Common Stock | $387K | 0.2% | 1,085 SH | New |
| ELI LILLY & CO | Common Stock | $244K | 0.1% | 313 SH | New |
| EXXON MOBIL CORP | Common Stock | $314K | 0.2%Prev: 0.2% | 2,912 SH | Decreased+315 SH |
| HOME DEPOT INC | Common Stock | $307K | 0.2%Prev: 0.1% | 838 SH | Increased+157 SH |
| HONEYWELL INTERNATIONAL | Common Stock | $284K | 0.2% | 1,218 SH | New |
| INTERNATIONAL BUSINESS | Common Stock | $370K | 0.2% | 1,255 SH | New |
| INVESCO TR II ETF | Fund | $1.8M | 1.0%Prev: 0.9% | 165,972 SH | Increased-1,891 SH |
| ISHARES ETF | Fund | $2.4M | 1.3%Prev: 0.6% | 46,242 SH | Increased+22,689 SH |
| ISHARES CORE ETF | Fund | $263K | 0.1% | 4,113 SH | New |
| ISHARES IBONDS CHG | Fund | $4.1M | 2.2% | 161,906 SH | New |
| ISHARES SHORT TERM ETF | Fund | $309K | 0.2% | 2,908 SH | New |
| ITT INC | Common Stock | $359K | 0.2%Prev: 0.1% | 2,287 SH | Increased+899 SH |
| JOHNSON & JOHNSON | Common Stock | $268K | 0.1% | 1,752 SH | New |
| JPMORGAN CHASE & CO | Common Stock | $430K | 0.2% | 1,484 SH | New |
| L3HARRIS TECHNOLOGIES | Common Stock | $443K | 0.2%Prev: 0.2% | 1,768 SH | Increased+647 SH |
| MERCK & CO INC NEW | Common Stock | $256K | 0.1%Prev: 0.1% | 3,235 SH | Decreased+1,087 SH |
| MICROSOFT CORP | Common Stock | $589K | 0.3%Prev: 0.2% | 1,185 SH | Increased-71 SH |
| NVIDIA CORP | Common Stock | $251K | 0.1%Prev: 0.1% | 1,588 SH | Decreased-41 SH |
| PROCTER & GAMBLE CO | Common Stock | $328K | 0.2% | 2,057 SH | New |
| QUALCOMM INC | Common Stock | $266K | 0.1% | 1,673 SH | New |
| RLI CORP | Common Stock | $337K | 0.2%Prev: 0.1% | 4,666 SH | Increased+1,034 SH |
| RTX CORP | Common Stock | $367K | 0.2%Prev: 0.1% | 2,510 SH | Increased+1,472 SH |
| SOUTHERN COMPANY | Common Stock | $417K | 0.2%Prev: 0.1% | 4,537 SH | Increased+1,959 SH |
| SPDR GOLD TRUST ETF | Fund | $755K | 0.4%Prev: 1.2% | 2,477 SH | Decreased-3,303 SH |
| SPDR PORTFOLIO ETF | Fund | $28.5M | 15.6%Prev: 14.9% | 695,860 SH | Decreased+23,014 SH |
| STATE STREET SPDR ETF | Fund | $2.2M | 1.2%Prev: 1.6% | 92,438 SH | Decreased-48,216 SH |
| STRYKER CORP | Common Stock | $337K | 0.2%Prev: 0.1% | 851 SH | Increased+227 SH |
| VANGUARD DIVIDEND ETF | Fund | $299K | 0.2%Prev: 0.1% | 1,460 SH | Increased+488 SH |
| VANGUARD EMERGING ETF | Fund | $845K | 0.5%Prev: 1.0% | 12,927 SH | Decreased-19,798 SH |
| VANGUARD EXTENDED ETF | Fund | $13.7M | 7.5%Prev: 6.8% | 70,999 SH | Decreased+2,736 SH |
| VANGUARD GROWTH ETF | Fund | $5.8M | 3.2%Prev: 5.7% | 13,341 SH | Decreased-13,884 SH |
| VANGUARD HIGH DIVIDE ETF | Fund | $2.2M | 1.2%Prev: 1.0% | 16,510 SH | Increased+2,276 SH |
| VANGUARD INDEX FDS ETF | Fund | $62.2M | 34.0%Prev: 30.1% | 109,575 SH | Decreased+4,898 SH |
| VANGUARD INTERMEDIAT ETF | Fund | $29.5M | 16.1%Prev: 16.2% | 381,089 SH | Decreased-53,726 SH |
| VANGUARD INTERMEDIATEETF | Fund | $1.2M | 0.6%Prev: 0.5% | 14,313 SH | Increased+1,123 SH |
| VANGUARD INTERNATINL ETF | Fund | $1.5M | 0.8%Prev: 0.7% | 19,326 SH | Increased+3,975 SH |
| VANGUARD LONG TERM ETF | Fund | $555K | 0.3%Prev: 1.0% | 7,983 SH | Decreased-23,623 SH |
| VANGUARD MID CAP ETF | Fund | $2.3M | 1.3%Prev: 2.9% | 8,241 SH | Decreased-12,421 SH |
| VANGUARD MORTGAGE ETF | Bond | $412K | 0.2%Prev: 0.7% | 8,890 SH | Decreased-20,648 SH |
| VANGUARD MUN BD FDS ETF | Fund | $307K | 0.2%Prev: 0.2% | 6,255 SH | Decreased-143 SH |
| VANGUARD SHORT TERM ETF | Bond | $761K | 0.4%Prev: 0.7% | 15,141 SH | Decreased-13,023 SH |
| VANGUARD SHORT TERM ETF | Fund | $1.1M | 0.6%Prev: 1.2% | 13,853 SH | Decreased-17,299 SH |
| VANGUARD SMALL CAP ETF | Fund | $1.2M | 0.7%Prev: 1.3% | 5,109 SH | Decreased-4,960 SH |
| VANGUARD TOTAL INTL ETF | Fund | $5.0M | 2.7%Prev: 2.8% | 100,711 SH | Decreased-20,469 SH |
| VANGUARD VALUE ETF | Fund | $2.4M | 1.3%Prev: 3.9% | 13,598 SH | Decreased-27,374 SH |
| VERIZON COMMUNICATIONS | Common Stock | $349K | 0.2%Prev: 0.1% | 8,076 SH | Increased+2,823 SH |
| VISA INC CLASS A | Common Stock | $378K | 0.2%Prev: 0.1% | 1,065 SH | Increased+352 SH |
| WASTE MGMT INC DEL | Common Stock | $353K | 0.2%Prev: 0.1% | 1,541 SH | Increased+400 SH |
| 13F-HR |
| 0000014213-26-000019 |
| $239.0M |
| View |
| Mar 9, 2026 | Q3 2025 | 13F-HR/A | 0000014213-26-000010 | $192.0M | View |
| Jul 7, 2026 | Q2 2026 | 13F-HR | 0000014213-26-000017 | $232.8M | View |
| Mar 6, 2026 | Q2 2025 | 13F-HR | 0000014213-26-000007 | $183.0M | View |
| Apr 29, 2026 | Q1 2026 | 13F-HR | 0000014213-26-000015 | $207.6M | View |
| Mar 6, 2026 | Q1 2025 | 13F-HR | 0000014213-26-000006 | $205.1M | View |