NPORT-EX 2 ADXQ3.htm
Schedule of Investments
September 30, 2025
(unaudited)
Shares
Value (a)
Common Stocks — 99.4%
Communication Services — 10.1%
Alphabet Inc. Class A
533,000 $ 129,572,300
Meta Platforms, Inc. Class A
123,500 90,695,930
Netflix, Inc. (b)
34,822 41,748,792
Spotify Technology SA (b)
9,100 6,351,800
TKO Group Holdings, Inc. Class A
54,300 10,966,428
T-Mobile US, Inc.
96,900 23,195,922
302,531,172
Consumer Discretionary — 10.7%
Amazon.com, Inc. (b)
522,700 114,769,239
Booking Holdings Inc.
5,600 30,235,912
Home Depot, Inc.
80,700 32,698,833
McDonald’s Corporation
74,400 22,609,416
O’Reilly Automotive, Inc. (b)
217,500 23,448,675
PulteGroup, Inc.
53,500 7,068,955
Tesla, Inc. (b)
121,800 54,166,896
Uber Technologies, Inc. (b)
349,700 34,260,109
319,258,035
Consumer Staples — 5.0%
Coca-Cola Company
144,000 9,550,080
Colgate-Palmolive Company
72,300 5,779,662
Costco Wholesale Corporation
13,700 12,681,131
Lamb Weston Holdings, Inc.
92,900 5,395,632
PepsiCo, Inc.
47,800 6,713,032
Philip Morris International Inc.
214,935 34,862,457
Post Holdings, Inc. (b)
111,000 11,930,280
Procter & Gamble Company
70,249 10,793,759
Sysco Corporation
189,500 15,603,430
Walmart Inc.
353,243 36,405,224
149,714,687
Energy — 3.2%
Adams Natural Resources Fund, Inc. (c)(f)
2,516,002 54,144,363
Baker Hughes Company
309,400 15,073,968
Chevron Corporation
178,327 27,692,400
96,910,731
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Schedule of Investments (continued)
September 30, 2025
(unaudited)
Shares
Value (a)
Financials — 13.1%
American International Group, Inc.
248,200 $ 19,493,628
Bank of America Corp.
918,868 47,404,400
Berkshire Hathaway Inc. Class B (b)
93,043 46,776,438
Capital One Financial Corporation
157,670 33,517,489
Goldman Sachs Group, Inc.
42,000 33,446,700
JPMorgan Chase & Co.
203,863 64,304,506
M&T Bank Corporation
93,600 18,497,232
Mastercard Incorporated Class A
57,562 32,741,841
Moody’s Corporation
41,500 19,773,920
Progressive Corporation
86,000 21,237,700
T. Rowe Price Group, Inc.
154,800 15,888,672
Visa Inc. Class A
116,861 39,894,008
392,976,534
Health Care — 9.0%
AbbVie, Inc.
187,700 43,460,058
Boston Scientific Corporation (b)
213,700 20,863,531
Cencora, Inc.
77,100 24,096,063
Cigna Group
40,200 11,587,650
CVS Health Corporation
127,500 9,612,225
Eli Lilly and Company
41,968 32,021,584
Health Care Select Sector SPDR Fund
144,300 20,082,231
Insulet Corporation (b)
40,700 12,565,311
Johnson & Johnson
102,800 19,061,176
Medtronic plc
192,900 18,371,796
Merck & Co., Inc.
308,800 25,917,584
UnitedHealth Group Incorporated
50,800 17,541,240
Vertex Pharmaceuticals Incorporated (b)
35,100 13,746,564
268,927,013
Industrials — 7.8%
Axon Enterprise Inc. (b)
14,700 10,549,308
Boeing Company (b)
135,300 29,201,799
Carrier Global Corporation
277,200 16,548,840
GE Aerospace
150,200 45,183,164
GE Vernova Inc.
40,700 25,026,430
Johnson Controls International plc
171,000 18,801,450
L3Harris Technologies, Inc.
42,100 12,857,761
Lincoln Electric Holdings, Inc.
81,000 19,102,230
Parker-Hannifin Corporation
28,500 21,607,275
Republic Services, Inc.
68,500 15,719,380
RTX Corporation
103,500 17,318,655
231,916,292
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Schedule of Investments (continued)
September 30, 2025
(unaudited)
Shares
Value (a)
Information Technology — 34.5%
Advanced Micro Devices, Inc. (b)
128,000 $ 20,709,120
Analog Devices, Inc.
79,000 19,410,300
Apple Inc.
822,900 209,535,027
Arista Networks, Inc. (b)
208,664 30,404,431
Atlassian Corporation Class A (b)
76,300 12,185,110
Autodesk, Inc. (b)
40,700 12,929,169
Broadcom Inc.
265,200 87,492,132
Cisco Systems, Inc.
374,800 25,643,816
International Business Machines Corporation
87,900 24,801,864
Lam Research Corporation
278,000 37,224,200
Microsoft Corporation
424,300 219,766,185
NVIDIA Corporation
1,314,800 245,315,384
Oracle Corporation
85,800 24,130,392
Palantir Technologies Inc. Class A (b)
56,900 10,379,698
Palo Alto Networks, Inc. (b)
107,800 21,950,236
Salesforce, Inc.
55,000 13,035,000
Snowflake, Inc. (b)
68,200 15,382,510
1,030,294,574
Materials — 1.6%
Crown Holdings, Inc.
150,400 14,527,136
Ecolab Inc.
72,200 19,772,692
Freeport-McMoRan, Inc.
199,400 7,820,468
Materials Select Sector SPDR Fund
51,200 4,588,544
46,708,840
Real Estate — 2.0%
AvalonBay Communities, Inc.
57,600 11,126,592
CBRE Group, Inc. Class A (b)
98,200 15,472,392
Prologis, Inc.
158,800 18,185,776
VICI Properties Inc.
421,600 13,748,376
58,533,136
Utilities — 2.4%
Constellation Energy Corporation
29,300 9,641,751
Duke Energy Corporation
150,000 18,562,500
Entergy Corporation
212,900 19,840,151
Eversource Energy
215,000 15,295,100
Vistra Corp.
37,400 7,327,408
70,666,910
Total Common Stocks
(Cost $1,422,774,838)
2,968,437,924
Other Investments — 0.0%
Financials — 0.0%
Adams Funds Advisers, LLC (b)(d)(f)
(Cost $150,000)
466,000
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Schedule of Investments (continued)
September 30, 2025
(unaudited)
Shares
Value (a)
Short-Term Investments — 0.7%
Money Market Funds — 0.7%
Morgan Stanley Institutional Liquidity Funds Prime Portfolio, Institutional Class, 4.12% (e)
19,296,860 $ 19,302,649
Northern Institutional Funds Treasury Portfolio, Premier Class, 3.95% (e)
503,523 503,523
Total Short-Term Investments
(Cost $19,802,242)
19,806,172
Total — 100.1%
(Cost $1,442,727,080)
2,988,710,096
Other Assets Less Liabilities — (0.1)% (2,304,788)
Net Assets — 100.0%
$ 2,986,405,308
(a)
Common stocks are listed on the New York Stock Exchange or NASDAQ and are valued at the last reported sale price on the day of valuation.
(b)
Presently non-dividend paying.
(c)
Non-controlled affiliate, a closed-end sector fund, registered as an investment company under the Investment Company Act of 1940.
(d)
Controlled affiliate valued using fair value procedures.
(e)
Rate presented is as of period-end and represents the annualized yield earned over the previous seven days.
(f)
During the nine months ended September 30, 2025, investments in affiliates were as follows:
Affiliate
Shares held
Net realized gain
(loss) and capital
gain distributions
Dividend income
Change in
unrealized
appreciation
Value
Adams Funds Advisers, LLC (controlled) n/a $ $ $ $ 466,000
Adams Natural Resources Funds, Inc.
(non-controlled)*
2,516,002 140,456 3,598,939 (486,893) 54,144,363
Total $ 140,456 $ 3,598,939 $ (486,893) $ 54,610,363
*
The Fund elected to receive 175,069 shares (cost basis $3,739,373) in lieu of cash for distributions received in 2025. Cost basis at end of period was $41,196,072.
Information regarding transactions in equity securities during the quarter can be found on our website at: www.adamsfunds.com.
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