HoldingsChannel.com
Boston Trust Walden Corp Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 1,706,515 -45,069 $237,256
     MSFT1,706,515-45,069$237,256
APPLE INC 1,021,326 -5,319 $228,746
     AAPL1,021,326-5,319$228,746
ALPHABET INC CL C 140,710 +247 $171,525
     GOOG140,710+247$171,525
COSTCO WHOLESALE CORP 488,744 -10,544 $140,812
     COST488,744-10,544$140,812
JPMORGAN CHASE & CO 1,170,887 -5,864 $137,802
     JPM1,170,887-5,864$137,802
ACCENTURE PLC CL A 667,921 -10,181 $128,475
     ACN667,921-10,181$128,475
VISA INC 706,655 -28,275 $121,551
     V706,655-28,275$121,551
BECTON DICKINSON AND CO 474,812 -4,049 $120,108
     BDX474,812-4,049$120,108
AUTOMATIC DATA PROCESSING 688,588 -9,748 $111,152
     ADP688,588-9,748$111,152
NIKE INC CL B 1,121,356 -21,400 $105,317
     NKE1,121,356-21,400$105,317
DONALDSON CO INC 1,999,028 +35,793 $104,109
     DCI1,999,028+35,793$104,109
COMCAST CORP NEW CL A 2,209,080 -19,275 $99,585
     CMCSA2,209,080-19,275$99,585
JOHNSON & JOHNSON 748,409 -21,389 $96,830
     JNJ748,409-21,389$96,830
UNION PACIFIC CORP 551,303 -8,645 $89,300
     UNP551,303-8,645$89,300
ORACLE CORP 1,620,817 -11,815 $89,193
     ORCL1,620,817-11,815$89,193
PNC FINANCIAL SERVICES GROUP 634,975 -2,555 $88,998
     PNC634,975-2,555$88,998
US BANCORP 1,568,937 -48,350 $86,825
     USB1,568,937-48,350$86,825
EVERSOURCE ENERGY 1,015,250 +37,190 $86,773
     ES1,015,250+37,190$86,773
ROSS STORES INC 777,962 -6,976 $85,459
     ROST777,962-6,976$85,459
STRYKER CORP 392,535 -6,330 $84,905
     SYK392,535-6,330$84,905
APTARGROUP INC 712,097 -169,725 $84,348
     ATR712,097-169,725$84,348
PEPSICO INC 598,664 -4,718 $82,077
     PEP598,664-4,718$82,077
ILLINOIS TOOL WORKS 512,876 -11,240 $80,260
     ITW512,876-11,240$80,260
3M CO 486,085 -4,575 $79,912
     MMM486,085-4,575$79,912
CISCO SYSTEMS INC 1,543,204 -18,445 $76,249
     CSCO1,543,204-18,445$76,249
STARBUCKS CORP 831,579 -11,090 $73,529
     SBUX831,579-11,090$73,529
UNITED HEALTH GROUP INC 332,945 -384 $72,356
     UNH332,945-384$72,356
HUBBELL INC 550,646 -3,360 $72,354
     HUBB550,646-3,360$72,354
SYSCO CORP 875,650 +90,075 $69,526
     SYY875,650+90,075$69,526
AMERICAN EXPRESS CO 553,549 -2,828 $65,474
     AXP553,549-2,828$65,474
WATERS CORP 289,922 +17,849 $64,720
     WAT289,922+17,849$64,720
NORTHERN TRUST CORPORATION 688,868 +6,663 $64,285
     NTRS688,868+6,663$64,285
UNITED PARCEL SERVICE CL B 521,420 -2,005 $62,476
     UPS521,420-2,005$62,476
CONSOLIDATED EDISON INC 628,416 +15,125 $59,366
     ED628,416+15,125$59,366
CINCINNATI FINANCIAL CORP 478,644 -66,473 $55,844
     CINF478,644-66,473$55,844
MEDTRONIC INC 508,304 +49,804 $55,212
     MDT508,304+49,804$55,212
VARIAN MED SYS INC 455,342 +242,080 $54,226
     VAR455,342+242,080$54,226
BERKSHIRE HATHAWAY INC DEL CL      $54,123
     BRK.B254,184+6,350$52,876
     BRK.A4UNCH$1,247
MERCK & CO INC NEW 628,052 -3,192 $52,870
     MRK628,052-3,192$52,870
OMNICOM GROUP 663,416 -12,243 $51,945
     OMC663,416-12,243$51,945
VERIZON COMMUNICATIONS 857,430 +765,575 $51,755
     VZ857,430+765,575$51,755
PPG INDUSTRIES 426,865 +420 $50,587
     PPG426,865+420$50,587
HENRY SCHEIN INC 779,819 +23,380 $49,519
     HSIC779,819+23,380$49,519
CHEMED CORP 117,302 +3,343 $48,982
     CHE117,302+3,343$48,982
T ROWE PRICE GROUP INC 427,738 -1,355 $48,869
     TROW427,738-1,355$48,869
BB&T CORP 915,638 -25,065 $48,868
     BBT915,638-25,065$48,868
LINCOLN ELECTRIC HOLDINGS 557,212 +59,173 $48,344
     LECO557,212+59,173$48,344
DOLLAR GENERAL CORP 297,499 -24,305 $47,285
     DG297,499-24,305$47,285
ONE GAS INC 482,823 +17,691 $46,405
     OGS482,823+17,691$46,405
METTLER TOLEDO INTERNATIONAL 63,455 -20,598 $44,698
     MTD63,455-20,598$44,698

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 09/30/2019: $7,954,841
At 06/30/2019: $7,684,698

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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