HoldingsChannel.com
Boston Trust Walden Corp Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
APPLE INC 977,915 -43,411 $287,164
     AAPL977,915-43,411$287,164
MICROSOFT CORP 1,702,546 -3,969 $268,492
     MSFT1,702,546-3,969$268,492
ALPHABET INC CL C 141,129 +419 $188,693
     GOOG141,129+419$188,693
JPMORGAN CHASE & CO 1,160,750 -10,137 $161,808
     JPM1,160,750-10,137$161,808
ACCENTURE PLC CL A 668,456 +535 $140,757
     ACN668,456+535$140,757
COSTCO WHOLESALE CORP 465,925 -22,819 $136,945
     COST465,925-22,819$136,945
VISA INC 699,573 -7,082 $131,450
     V699,573-7,082$131,450
BECTON DICKINSON AND CO 471,204 -3,608 $128,153
     BDX471,204-3,608$128,153
DONALDSON CO INC 2,047,741 +48,713 $117,991
     DCI2,047,741+48,713$117,991
AUTOMATIC DATA PROCESSING 691,466 +2,878 $117,895
     ADP691,466+2,878$117,895
NIKE INC CL B 1,111,296 -10,060 $112,586
     NKE1,111,296-10,060$112,586
PNC FINANCIAL SERVICES GROUP 634,035 -940 $101,211
     PNC634,035-940$101,211
JOHNSON & JOHNSON 674,277 -74,132 $98,357
     JNJ674,277-74,132$98,357
UNION PACIFIC CORP 543,853 -7,450 $98,323
     UNP543,853-7,450$98,323
UNITED HEALTH GROUP INC 334,180 +1,235 $98,242
     UNH334,180+1,235$98,242
US BANCORP 1,567,432 -1,505 $92,933
     USB1,567,432-1,505$92,933
COMCAST CORP NEW CL A 2,041,402 -167,678 $91,801
     CMCSA2,041,402-167,678$91,801
ILLINOIS TOOL WORKS 508,602 -4,274 $91,360
     ITW508,602-4,274$91,360
ROSS STORES INC 773,587 -4,375 $90,061
     ROST773,587-4,375$90,061
EVERSOURCE ENERGY 1,029,641 +14,391 $87,591
     ES1,029,641+14,391$87,591
APTARGROUP INC 717,297 +5,200 $82,934
     ATR717,297+5,200$82,934
3M CO 469,926 -16,159 $82,905
     MMM469,926-16,159$82,905
STRYKER CORP 391,898 -637 $82,275
     SYK391,898-637$82,275
HUBBELL INC 554,627 +3,981 $81,985
     HUBB554,627+3,981$81,985
PEPSICO INC 599,678 +1,014 $81,958
     PEP599,678+1,014$81,958
ORACLE CORP 1,487,043 -133,774 $78,784
     ORCL1,487,043-133,774$78,784
SYSCO CORP 880,664 +5,014 $75,332
     SYY880,664+5,014$75,332
STARBUCKS CORP 835,304 +3,725 $73,440
     SBUX835,304+3,725$73,440
NORTHERN TRUST CORPORATION 687,657 -1,211 $73,057
     NTRS687,657-1,211$73,057
CISCO SYSTEMS INC 1,507,146 -36,058 $72,283
     CSCO1,507,146-36,058$72,283
AMERICAN EXPRESS CO 550,982 -2,567 $68,592
     AXP550,982-2,567$68,592
WATERS CORP 287,549 -2,373 $67,185
     WAT287,549-2,373$67,185
VARIAN MED SYS INC 468,371 +13,029 $66,513
     VAR468,371+13,029$66,513
UNITED PARCEL SERVICE CL B 519,483 -1,937 $60,810
     UPS519,483-1,937$60,810
TRUIST FINL CORP 1,067,314 +1,067,314 $60,111
     TFC1,067,314+1,067,314$60,111
BERKSHIRE HATHAWAY INC DEL CL      $58,648
     BRK.B252,935-1,249$57,290
     BRK.A4UNCH$1,358
MEDTRONIC INC 515,159 +6,855 $58,445
     MDT515,159+6,855$58,445
MERCK & CO INC NEW 630,960 +2,908 $57,386
     MRK630,960+2,908$57,386
CONSOLIDATED EDISON INC 631,479 +3,063 $57,130
     ED631,479+3,063$57,130
VERIZON COMMUNICATIONS 928,920 +71,490 $57,036
     VZ928,920+71,490$57,036
LINCOLN ELECTRIC HOLDINGS 564,498 +7,286 $54,604
     LECO564,498+7,286$54,604
OMNICOM GROUP 657,586 -5,830 $53,278
     OMC657,586-5,830$53,278
HENRY SCHEIN INC 793,096 +13,277 $52,915
     HSIC793,096+13,277$52,915
T ROWE PRICE GROUP INC 434,041 +6,303 $52,883
     TROW434,041+6,303$52,883
CHEMED CORP 120,030 +2,728 $52,724
     CHE120,030+2,728$52,724
COMMERCE BANCSHARES INC (CBSH) 754,229 +48,796 $51,242
     CBSH754,229+48,796$51,242
PPG INDUSTRIES 379,546 -47,319 $50,665
     PPG379,546-47,319$50,665
CONOCOPHILLIPS 770,682 +3,798 $50,118
     COP770,682+3,798$50,118
CINCINNATI FINANCIAL CORP 473,034 -5,610 $49,740
     CINF473,034-5,610$49,740
METTLER TOLEDO INTERNATIONAL 60,045 -3,410 $47,633
     MTD60,045-3,410$47,633

See Full List: All Stocks Held By Boston Trust Walden Corp
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Boston Trust Walden Corp

Size ($ in 1000's)
At 12/31/2019: $8,591,639
At 09/30/2019: $7,954,841

Combined Holding Report Includes:
Boston Trust Walden Corp
Boston Trust Walden Co
Boston Trust Walden Inc.

Boston Trust Walden Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Boston Trust Walden Corp 13F filings. Link to 13F filings: SEC filings

Boston Trust Walden Corp Top Holdings 13F Filings | www.HoldingsChannel.com

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