HoldingsChannel.com
Boston Trust Walden Corp Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 1,539,831 -162,715 $242,847
     MSFT1,539,831-162,715$242,847
APPLE INC 827,369 -150,546 $210,391
     AAPL827,369-150,546$210,391
ALPHABET INC CL C 129,046 -12,083 $150,056
     GOOG129,046-12,083$150,056
COSTCO WHOLESALE CORP 405,408 -60,517 $115,594
     COST405,408-60,517$115,594
VISA INC 647,347 -52,226 $104,301
     V647,347-52,226$104,301
ACCENTURE PLC CL A 635,379 -33,077 $103,732
     ACN635,379-33,077$103,732
AUTOMATIC DATA PROCESSING 697,586 +6,120 $95,346
     ADP697,586+6,120$95,346
BECTON DICKINSON AND CO 397,051 -74,153 $91,230
     BDX397,051-74,153$91,230
NIKE INC CL B 1,028,668 -82,628 $85,112
     NKE1,028,668-82,628$85,112
JOHNSON & JOHNSON 639,519 -34,758 $83,860
     JNJ639,519-34,758$83,860
JPMORGAN CHASE & CO 924,002 -236,748 $83,188
     JPM924,002-236,748$83,188
DONALDSON CO INC 2,009,142 -38,599 $77,613
     DCI2,009,142-38,599$77,613
EVERSOURCE ENERGY 984,051 -45,590 $76,962
     ES984,051-45,590$76,962
UNITED HEALTH GROUP INC 288,040 -46,140 $71,831
     UNH288,040-46,140$71,831
UNION PACIFIC CORP 506,252 -37,601 $71,402
     UNP506,252-37,601$71,402
PEPSICO INC 580,081 -19,597 $69,667
     PEP580,081-19,597$69,667
APTARGROUP INC 691,194 -26,103 $68,802
     ATR691,194-26,103$68,802
STRYKER CORP 412,492 +20,594 $68,675
     SYK412,492+20,594$68,675
COMCAST CORP NEW CL A 1,954,421 -86,981 $67,193
     CMCSA1,954,421-86,981$67,193
ORACLE CORP 1,385,442 -101,601 $66,958
     ORCL1,385,442-101,601$66,958
ROSS STORES INC 742,860 -30,727 $64,606
     ROST742,860-30,727$64,606
ILLINOIS TOOL WORKS 452,503 -56,099 $64,309
     ITW452,503-56,099$64,309
HUBBELL INC 542,066 -12,561 $62,197
     HUBB542,066-12,561$62,197
3M CO 429,409 -40,517 $58,619
     MMM429,409-40,517$58,619
STARBUCKS CORP 848,879 +13,575 $55,805
     SBUX848,879+13,575$55,805
VERIZON COMMUNICATIONS 1,034,916 +105,996 $55,606
     VZ1,034,916+105,996$55,606
WATERS CORP 284,036 -3,513 $51,709
     WAT284,036-3,513$51,709
CISCO SYSTEMS INC 1,313,338 -193,808 $51,627
     CSCO1,313,338-193,808$51,627
PNC FINANCIAL SERVICES GROUP 535,311 -98,724 $51,240
     PNC535,311-98,724$51,240
MEDTRONIC INC 564,603 +49,444 $50,915
     MDT564,603+49,444$50,915
NORTHERN TRUST CORPORATION 668,095 -19,562 $50,414
     NTRS668,095-19,562$50,414
MERCK & CO INC NEW 629,249 -1,711 $48,414
     MRK629,249-1,711$48,414
UNITED PARCEL SERVICE CL B 513,927 -5,556 $48,011
     UPS513,927-5,556$48,011
VARIAN MED SYS INC 458,071 -10,300 $47,026
     VAR458,071-10,300$47,026
CONSOLIDATED EDISON INC 598,768 -32,711 $46,704
     ED598,768-32,711$46,704
CHEMED CORP 105,596 -14,434 $45,744
     CHE105,596-14,434$45,744
US BANCORP 1,289,094 -278,338 $44,409
     USB1,289,094-278,338$44,409
HILL ROM HLDGS INC COM 437,713 +141,765 $44,034
     HRC437,713+141,765$44,034
AMERICAN EXPRESS CO 506,544 -44,438 $43,365
     AXP506,544-44,438$43,365
ONE GAS INC 515,563 +26,439 $43,111
     OGS515,563+26,439$43,111
DOLLAR GENERAL CORP 276,721 -16,713 $41,788
     DG276,721-16,713$41,788
CORESITE REALTY CORP 350,709 +6,805 $40,647
     COR350,709+6,805$40,647
SYSCO CORP 865,794 -14,870 $39,506
     SYY865,794-14,870$39,506
LINCOLN ELECTRIC HOLDINGS 568,444 +3,946 $39,223
     LECO568,444+3,946$39,223
AIR PRODUCTS & CHEMICALS INC 191,722 -4,776 $38,269
     APD191,722-4,776$38,269
COOPER COS INC THE 136,606 +68,906 $37,658
     COO136,606+68,906$37,658
T ROWE PRICE GROUP INC 385,436 -48,605 $37,638
     TROW385,436-48,605$37,638
COLGATE PALMOLIVE CO 551,564 -27,277 $36,602
     CL551,564-27,277$36,602
METTLER TOLEDO INTERNATIONAL 52,695 -7,350 $36,386
     MTD52,695-7,350$36,386
UNIFIRST CORP MA 237,127 +4,980 $35,828
     UNF237,127+4,980$35,828

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 03/31/2020: $6,276,961
At 12/31/2019: $8,591,639

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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