HoldingsChannel.com
Birinyi Associates Inc. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
SPDR S&P 500 ETF Trust (SPY) 107,415 -11,815 $31,483
     SPY107,415-11,815$31,483
Amazon.com Inc 15,839 UNCH $29,993
     AMZN15,839UNCH$29,993
Apple Inc 119,754 -164 $23,702
     AAPL119,754-164$23,702
Mastercard Inc 75,527 -250 $19,979
     MA75,527-250$19,979
Alphabet Inc 14,458 +740 $15,655
     GOOGL14,458+740$15,655
Booking Holdings Inc 5,841 +150 $10,950
     BKNG5,841+150$10,950
Berkshire Hathaway Inc      $10,158
     BRK.A22UNCH$7,004
     BRK.B14,794-3,250$3,154
SPDR Dow Jones Industrial Average ETF Trust (DIA) 26,905 -645 $7,148
     DIA26,905-645$7,148
Microsoft Corp 50,335 +1,885 $6,735
     MSFT50,335+1,885$6,735
Netflix Inc 12,500 -1,150 $4,592
     NFLX12,500-1,150$4,592
Lockheed Martin Corp 11,328 -250 $4,118
     LMT11,328-250$4,118
Boeing Co The 11,300 UNCH $4,113
     BA11,300UNCH$4,113
JPMorgan Chase & Co 31,012 -6,050 $3,467
     JPM31,012-6,050$3,467
Goldman Sachs Group Inc The 16,443 -5,000 $3,364
     GS16,443-5,000$3,364
McDonald s Corp 15,022 UNCH $3,119
     MCD15,022UNCH$3,119
Alphabet Inc 2,646 -25 $2,860
     GOOG2,646-25$2,860
salesforce.com Inc 17,600 +2,400 $2,670
     CRM17,600+2,400$2,670
Starbucks Corp 28,670 -500 $2,403
     SBUX28,670-500$2,403
Adobe Inc 7,900 -500 $2,328
     ADBE7,900-500$2,328
Health Care Select Sector SPDR Fund (XLV) 24,150 -3,650 $2,233
     XLV24,150-3,650$2,233
Blackstone Group LP The 46,275 -1,500 $2,056
     BX46,275-1,500$2,056
Walmart Inc 18,550 +726 $2,050
     WMT18,550+726$2,050
Home Depot Inc The 9,800 -50 $2,038
     HD9,800-50$2,038
Procter & Gamble Co The 18,209 +5,500 $1,997
     PG18,209+5,500$1,997
Exxon Mobil Corp 25,225 -4,025 $1,933
     XOM25,225-4,025$1,933
Unilever NV 30,360 -500 $1,843
     UN30,360-500$1,843
Facebook Inc 9,250 UNCH $1,785
     FB9,250UNCH$1,785
Caterpillar Inc 12,906 UNCH $1,759
     CAT12,906UNCH$1,759
Verizon Communications Inc 28,297 -750 $1,617
     VZ28,297-750$1,617
Visa Inc 8,900 UNCH $1,545
     V8,900UNCH$1,545
Chevron Corp 12,308 UNCH $1,532
     CVX12,308UNCH$1,532
AutoZone Inc 1,350 +300 $1,484
     AZO1,350+300$1,484
Amgen Inc 7,927 UNCH $1,461
     AMGN7,927UNCH$1,461
UnitedHealth Group Inc 5,650 -8,150 $1,379
     UNH5,650-8,150$1,379
Pioneer Natural Resources Co 8,000 -3,600 $1,231
     PXD8,000-3,600$1,231
Johnson & Johnson 8,700 -750 $1,212
     JNJ8,700-750$1,212
Chipotle Mexican Grill Inc 1,650 +1,150 $1,209
     CMG1,650+1,150$1,209
Altria Group Inc 25,037 +7,100 $1,186
     MO25,037+7,100$1,186
United Technologies Corp 8,085 UNCH $1,053
     UTX8,085UNCH$1,053
Pfizer Inc 21,750 UNCH $942
     PFE21,750UNCH$942
iShares Russell 2000 ETF (IWM) 5,882 -250 $915
     IWM5,882-250$915
Advanced Micro Devices 26,350 +26,350 $800
     AMD26,350+26,350$800
Intuitive Surgical 1,500 +1,500 $787
     ISRG1,500+1,500$787
Alibaba Group Holdings 4,500 +4,500 $763
     BABA4,500+4,500$763
Walt Disney Co The 5,393 -1,000 $753
     DIS5,393-1,000$753
Ralph Lauren 6,350 +6,350 $721
     RL6,350+6,350$721
Ulta Beauty 2,000 +2,000 $694
     ULTA2,000+2,000$694
American Express Co 5,518 -500 $681
     AXP5,518-500$681
MSCI Inc 2,250 UNCH $537
     MSCI2,250UNCH$537
Coca Cola Co The 9,987 UNCH $509
     KO9,987UNCH$509

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

See Details: Top 10 Stocks Held By Birinyi Associates Inc.

Size ($ in 1000's)
At 06/30/2019: $238,169
At 03/31/2019: $233,566

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

Birinyi Associates Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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