HoldingsChannel.com
Birinyi Associates Inc. Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
SPDR S&P 500 ETF Trust (SPY) 119,230 +17,950 $33,677
     SPY119,230+17,950$33,677
Amazon.com Inc 15,839 UNCH $28,205
     AMZN15,839UNCH$28,205
Apple Inc 119,918 -4,320 $22,778
     AAPL119,918-4,320$22,778
Mastercard Inc 75,777 -1,200 $17,842
     MA75,777-1,200$17,842
Alphabet Inc 13,718 +35 $16,145
     GOOGL13,718+35$16,145
Berkshire Hathaway Inc      $10,252
     BRK.A22+2$6,627
     BRK.B18,044+4,500$3,625
Booking Holdings Inc 5,691 -225 $9,930
     BKNG5,691-225$9,930
SPDR Dow Jones Industrial Average ETF Trust (DIA) 27,550 -75 $7,136
     DIA27,550-75$7,136
Microsoft Corp 48,450 -6,950 $5,714
     MSFT48,450-6,950$5,714
Netflix Inc 13,650 -4,700 $4,867
     NFLX13,650-4,700$4,867
Boeing Co The 11,300 -3,250 $4,310
     BA11,300-3,250$4,310
Goldman Sachs Group Inc The 21,443 -895 $4,117
     GS21,443-895$4,117
JPMorgan Chase & Co 37,062 +1,700 $3,752
     JPM37,062+1,700$3,752
Lockheed Martin Corp 11,578 UNCH $3,475
     LMT11,578UNCH$3,475
UnitedHealth Group Inc 13,800 +8,300 $3,412
     UNH13,800+8,300$3,412
Alphabet Inc 2,671 UNCH $3,134
     GOOG2,671UNCH$3,134
McDonald s Corp 15,022 UNCH $2,853
     MCD15,022UNCH$2,853
Health Care Select Sector SPDR Fund (XLV) 27,800 +1,900 $2,551
     XLV27,800+1,900$2,551
salesforce.com Inc 15,200 -50 $2,407
     CRM15,200-50$2,407
Exxon Mobil Corp 29,250 +18,450 $2,363
     XOM29,250+18,450$2,363
Adobe Inc 8,400 +500 $2,239
     ADBE8,400+500$2,239
Starbucks Corp 29,170 +750 $2,168
     SBUX29,170+750$2,168
Home Depot Inc The 9,850 +1,500 $1,890
     HD9,850+1,500$1,890
Unilever NV 30,860 UNCH $1,799
     UN30,860UNCH$1,799
Pioneer Natural Resources Co 11,600 +1,500 $1,766
     PXD11,600+1,500$1,766
Caterpillar Inc 12,906 -500 $1,749
     CAT12,906-500$1,749
Walmart Inc 17,824 UNCH $1,738
     WMT17,824UNCH$1,738
Verizon Communications Inc 29,047 +4,000 $1,718
     VZ29,047+4,000$1,718
Blackstone Group LP The 47,775 +4,750 $1,671
     BX47,775+4,750$1,671
NVIDIA Corp 9,150 -5,000 $1,643
     NVDA9,150-5,000$1,643
Facebook Inc 9,250 -1,750 $1,542
     FB9,250-1,750$1,542
Chevron Corp 12,308 UNCH $1,516
     CVX12,308UNCH$1,516
Amgen Inc 7,927 UNCH $1,506
     AMGN7,927UNCH$1,506
Visa Inc 8,900 -250 $1,390
     V8,900-250$1,390
Procter & Gamble Co The 12,709 +7,500 $1,322
     PG12,709+7,500$1,322
Johnson & Johnson 9,450 -3,000 $1,321
     JNJ9,450-3,000$1,321
AutoZone Inc 1,050 +100 $1,075
     AZO1,050+100$1,075
United Technologies Corp 8,085 -1,000 $1,042
     UTX8,085-1,000$1,042
Altria Group Inc 17,937 -250 $1,030
     MO17,937-250$1,030
iShares Russell 2000 ETF (IWM) 6,132 -350 $939
     IWM6,132-350$939
Pfizer Inc 21,750 +500 $924
     PFE21,750+500$924
Walt Disney Co The 6,393 +500 $710
     DIS6,393+500$710
American Express Co 6,018 -500 $658
     AXP6,018-500$658
Alaska Air Group Inc 10,500 +4,500 $589
     ALK10,500+4,500$589
Invesco S&P 500 Equal Weight ETF (RSP) 5,264 UNCH $550
     RSP5,264UNCH$550
NVR Inc 175 UNCH $484
     NVR175UNCH$484
Coca Cola Co The 9,987 +9,987 $468
     KO9,987+9,987$468
Broadcom Inc 1,500 +500 $451
     AVGO1,500+500$451
MSCI Inc 2,250 -3,250 $447
     MSCI2,250-3,250$447
Philip Morris International Inc 5,000 UNCH $442
     PM5,000UNCH$442

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 03/31/2019: $233,566
At 12/31/2018: $200,434

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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