Schedule of Investments
March 31, 2024
(unaudited)
Shares
Value (a)
Common Stocks — 99.5%
Communication Services — 9.0%
Alphabet Inc. Class A (b)
709,600 $ 107,099,928
Meta Platforms, Inc. Class A
158,100 76,770,198
Netflix, Inc. (b)
52,422 31,837,453
Verizon Communications Inc.
617,000 25,889,320
Walt Disney Company
118,900 14,548,604
256,145,503
Consumer Discretionary — 10.8%
Amazon.com, Inc. (b)
684,600 123,488,148
Booking Holdings Inc.
7,000 25,395,160
Home Depot, Inc.
41,500 15,919,400
McDonald’s Corporation
93,400 26,334,130
NIKE, Inc. Class B
211,100 19,839,178
O’Reilly Automotive, Inc. (b)
22,800 25,738,464
Tesla, Inc. (b)
134,700 23,678,913
Uber Technologies, Inc. (b)
357,200 27,500,828
Ulta Beauty, Inc. (b)
31,900 16,679,872
304,574,093
Consumer Staples — 5.8%
Coca-Cola Company
144,000 8,809,920
Colgate-Palmolive Company
255,200 22,980,760
Monster Beverage Corporation (b)
242,668 14,385,359
PepsiCo, Inc.
47,800 8,365,478
Philip Morris International Inc.
259,935 23,815,245
Procter & Gamble Company
226,849 36,806,250
Target Corporation
112,500 19,936,125
Walmart Inc.
506,943 30,502,760
165,601,897
Energy — 4.1%
Adams Natural Resources Fund, Inc. (c)(g)
2,186,774 50,427,008
Chevron Corporation
89,500 14,117,730
Diamondback Energy, Inc.
90,600 17,954,202
Hess Corporation
92,600 14,134,464
Marathon Petroleum Corporation
99,837 20,117,156
116,750,560
5

Schedule of Investments (continued)
March 31, 2024
(unaudited)
Shares
Value (a)
Financials — 12.8%
American International Group, Inc.
367,000 $ 28,688,390
Bank of America Corp.
1,105,368 41,915,555
Berkshire Hathaway Inc. Class B (b)
82,643 34,753,034
Blackstone Inc.
153,600 20,178,432
Cboe Global Markets, Inc.
124,800 22,929,504
JPMorgan Chase & Co.
304,363 60,963,909
Marsh & McLennan Companies, Inc.
100,100 20,618,598
Mastercard Incorporated Class A
30,562 14,717,742
MetLife, Inc.
220,200 16,319,022
Morgan Stanley
302,269 28,461,649
S&P Global, Inc.
39,600 16,847,820
Visa Inc. Class A
195,161 54,465,532
360,859,187
Health Care — 12.3%
AbbVie, Inc.
180,000 32,778,000
Cencora, Inc.
140,500 34,140,095
DexCom, Inc. (b)
194,957 27,040,536
Eli Lilly and Company
63,568 49,453,361
Health Care Select Sector SPDR Fund
218,500 32,279,005
IDEXX Laboratories, Inc. (b)
26,100 14,092,173
Johnson & Johnson
101,200 16,008,828
Merck & Co., Inc.
86,400 11,400,480
Regeneron Pharmaceuticals, Inc. (b)
32,300 31,088,427
Thermo Fisher Scientific Inc.
40,700 23,655,247
UnitedHealth Group Incorporated
107,700 53,279,190
Zoetis, Inc. Class A
135,900 22,995,639
348,210,981
Industrials — 8.3%
Boeing Company (b)
34,777 6,711,613
Generac Holdings Inc. (b)
103,400 13,042,876
Hubbell Incorporated
55,400 22,993,770
Ingersoll Rand Inc.
267,300 25,380,135
Leidos Holdings, Inc.
195,900 25,680,531
Pentair plc
272,900 23,316,576
Republic Services, Inc.
132,500 25,365,800
Trane Technologies plc
97,000 29,119,400
TransDigm Group Incorporated
22,600 27,834,160
Union Pacific Corporation
142,400 35,020,432
234,465,293
6​

Schedule of Investments (continued)
March 31, 2024
(unaudited)
Shares
Value (a)
Information Technology — 29.8%
Accenture plc Class A
38,319 $ 13,281,749
Adobe Inc. (b)
58,300 29,418,180
Advanced Micro Devices, Inc. (b)
197,100 35,574,579
Analog Devices, Inc.
112,000 22,152,480
Apple Inc.
874,100 149,890,668
Arista Networks, Inc. (b)
70,391 20,411,982
Broadcom Inc.
8,800 11,663,608
Cisco Systems, Inc.
359,400 17,937,654
Intuit Inc.
47,600 30,940,000
Lam Research Corporation
37,500 36,433,875
Micron Technology, Inc.
260,700 30,733,923
Microsoft Corporation
531,800 223,738,896
NVIDIA Corporation
161,100 145,563,516
Oracle Corporation
48,800 6,129,768
Salesforce, Inc.
135,700 40,870,126
Synopsys, Inc. (b)
50,100 28,632,150
843,373,154
Materials — 2.2%
Avery Dennison Corporation
25,900 5,782,175
Freeport-McMoRan, Inc.
404,100 19,000,782
Linde plc
61,400 28,509,248
PPG Industries, Inc.
64,900 9,404,010
62,696,215
Real Estate — 2.2%
CBRE Group, Inc. Class A (b)
118,700 11,542,388
Equinix, Inc.
19,500 16,093,935
Prologis, Inc.
174,800 22,762,456
Public Storage
43,300 12,559,598
62,958,377
7

Schedule of Investments (continued)
March 31, 2024
(unaudited)
Shares
Value (a)
S&P 500 Index — 0.3%
SPDR S&P 500 ETF Trust
16,200 $ 8,473,734
Utilities — 1.9%
Atmos Energy Corporation
97,300 11,566,051
DTE Energy Company
137,400 15,408,036
NextEra Energy, Inc.
288,300 18,425,253
Utilities Select Sector SPDR Fund
110,000 7,221,500
52,620,840
Total Common Stocks
(Cost $1,562,365,399)
2,816,729,834
Other Investments — 0.0%
Financials — 0.0%
Adams Funds Advisers, LLC (b)(d)(g)
(Cost $150,000)
466,000
Short-Term Investments — 0.4%
Money Market Funds — 0.4%
Morgan Stanley Institutional Liquidity Funds
Prime Portfolio, 5.38% (e)
9,999,709 10,000,709
Northern Institutional Treasury Premier
Portfolio, 5.15% (e)
759,579 759,579
Total Short-Term Investments
(Cost $10,761,838)
10,760,288
Total — 99.9%
(Cost $1,573,277,237)
2,827,956,122
Other Assets Less Liabilities — 0.1% 1,528,372
Net Assets — 100.0%
$ 2,829,484,494
8​

Schedule of Investments (continued)
March 31, 2024
(unaudited)
Total Return Swap Agreements — 0.0%
Description
Value and
Unrealized
Appreciation
(Assets)
Value and
Unrealized
Depreciation
(Liabilities)
Terms
Contract
Type
Underlying
Security
Termination
Date
Notional
Amount
Receive total return on underlying
security and pay financing
amount based on notional
amount and daily U.S. Federal
Funds rate plus 0.55%.
Long
Deere & Company
(37,000 shares)
4/15/2025
$ 13,858,354 $ 1,348,143 $
Pay total return on underlying security and receive financing amount based on notional amount and daily U.S. Federal Funds rate less 0.45%.
Short
Industrial Select
Sector SPDR Fund
(113,700 shares)
4/15/2025
(13,815,596) (511,377)
Gross unrealized gain (loss) on open total return swap agreements $ 1,348,143 $ (511,377)
Net unrealized gain on open total return swap agreements (f) $ 836,766
(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)
Counterparty for all open total return swap agreements is Morgan Stanley. At March 31, 2024, $790,000 in cash collateral was held by the fund.
(g)
During the three months ended March 31, 2024, investments in affiliates were as follows:
Affiliate
Shares held
Net realized gain
(loss) and
long-term 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)
2,186,774 21,868 196,810 5,313,861 50,427,008
Total $ 21,868 $ 196,810 $ 5,313,861 $ 50,893,008
Information regarding transactions in equity securities during the quarter can be found on our website at: www.adamsfunds.com.
9

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