HoldingsChannel.com
Armstrong Shaw Associates Inc. CT Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp. 57,466 -1,379 $9,063
     MSFT57,466-1,379$9,063
Berkshire Hathaway Inc.      $5,440
     BRK.A20UNCH$5,440
Apple Computer 18,744 -13,801 $4,766
     AAPL18,744-13,801$4,766
UnitedHealth Group Inc. 18,463 -244 $4,604
     UNH18,463-244$4,604
Air Products & Chemical 21,132 -225 $4,218
     APD21,132-225$4,218
Alphabet Inc CL C 3,335 -41 $3,878
     GOOG3,335-41$3,878
Intercontinental Exchange Inc. (ICE) 46,685 -639 $3,770
     ICE46,685-639$3,770
CVS Health Corp. 54,896 -593 $3,257
     CVS54,896-593$3,257
Comcast Corp. Cl A 91,013 -1,261 $3,129
     CMCSA91,013-1,261$3,129
Honeywell International Inc. 23,106 -225 $3,091
     HON23,106-225$3,091
Anthem Inc. 13,150 -137 $2,986
     ANTM13,150-137$2,986
AbbVie Inc. 36,019 -425 $2,744
     ABBV36,019-425$2,744
Constellation Brands CL A 16,220 -198 $2,325
     STZ16,220-198$2,325
Chubb Corp. 18,625 -287 $2,080
     CB18,625-287$2,080
Chevron Corp. 26,627 -287 $1,929
     CVX26,627-287$1,929
Delta Air Lines 65,482 -759 $1,868
     DAL65,482-759$1,868
Citigroup Inc. 40,567 -419 $1,709
     C40,567-419$1,709
Capital One Financial Corp. 30,556 -430 $1,541
     COF30,556-430$1,541
Wells Fargo & Co. 50,833 -647 $1,459
     WFC50,833-647$1,459
Williams Company Inc. 98,661 -1,317 $1,396
     WMB98,661-1,317$1,396
NXP Semiconductors NV 16,588 -334 $1,376
     NXPI16,588-334$1,376
Synchrony Financial 77,483 -1,110 $1,247
     SYF77,483-1,110$1,247
Pioneer Natural Resources Co. 17,490 -263 $1,227
     PXD17,490-263$1,227
Wabco Holdings Inc. 6,100 UNCH $824
     WBC6,100UNCH$824
Wyndham Hotels & Resorts Inc. 22,955 -309 $723
     WH22,955-309$723
American International Group 29,111 -392 $706
     AIG29,111-392$706
Ameren Corporation 9,500 UNCH $692
     AEE9,500UNCH$692
Dell Technologies Class C 17,366 -204 $687
     DELL17,366-204$687
Paypal Holdings Inc. 6,900 UNCH $661
     PYPL6,900UNCH$661
Brookfield Asset Management Cl 13,650 UNCH $604
     BAM13,650UNCH$604
Halliburton Co. 86,155 -1,042 $590
     HAL86,155-1,042$590
Dupont De Nemours 16,131 -232 $550
     DD16,131-232$550
Wyndham Destinations Inc. 22,932 -338 $498
     WYND22,932-338$498
Dow Inc. 16,583 -239 $485
     DOW16,583-239$485
Amazon.com 220 UNCH $429
     AMZN220UNCH$429
Corteva Inc. 16,285 -261 $383
     CTVA16,285-261$383
Pentair PLC 12,478 -254 $371
     PNR12,478-254$371
Alibaba Group Holding Ltd. 1,600 UNCH $311
     BABA1,600UNCH$311
Alphabet Inc Cl A 225 UNCH $261
     GOOGL225UNCH$261
iShares MSCI Emerging Market E (EEM) 7,000 UNCH $239
     EEM7,000UNCH$239
Gilead Sciences Inc 2,950 +2,950 $221
     GILD2,950+2,950$221
Ameriprise Financial 2,020 UNCH $207
     AMP2,020UNCH$207
United Technologies Corp. 2,138 UNCH $202
     UTX2,138UNCH$202

See Full List: All Stocks Held By Armstrong Shaw Associates Inc. CT
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Armstrong Shaw Associates Inc. CT

Size ($ in 1000's)
At 03/31/2020: $78,866
At 12/31/2019: $113,747

Armstrong Shaw Associates Inc. CT holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Armstrong Shaw Associates Inc. CT 13F filings. Link to 13F filings: SEC filings

Armstrong Shaw Associates Inc. CT Top Holdings 13F Filings | www.HoldingsChannel.com

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