HoldingsChannel.com
Callahan Advisors LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Apple Computer Inc 88,050 -12,615 $22,390
     AAPL88,050-12,615$22,390
Microsoft Corp 131,585 -8,010 $20,752
     MSFT131,585-8,010$20,752
Intel Corp 294,019 -13,784 $15,912
     INTC294,019-13,784$15,912
Alphabet Inc Class C 13,044 -340 $15,168
     GOOG13,044-340$15,168
Johnson & Johnson 113,550 +882 $14,890
     JNJ113,550+882$14,890
United Healthcare Cor 53,248 -278 $13,279
     UNH53,248-278$13,279
AT&T Inc 439,698 +9,056 $12,817
     T439,698+9,056$12,817
NextEra Energy Inc 49,762 -2,170 $11,974
     NEE49,762-2,170$11,974
Procter & Gamble Co 106,586 -1,208 $11,724
     PG106,586-1,208$11,724
JPMorgan Chase & Co. 127,408 -5,525 $11,471
     JPM127,408-5,525$11,471
Facebook Inc Class A 68,552 +1,670 $11,434
     FB68,552+1,670$11,434
Berkshire Hathaway Cl B      $10,992
     BRK.B60,122-1,164$10,992
Brookfield Asset Mgmt 246,852 -14,088 $10,923
     BAM246,852-14,088$10,923
Pepsico Incorporated 89,237 -847 $10,717
     PEP89,237-847$10,717
McDonalds Corp 64,185 +51 $10,613
     MCD64,185+51$10,613
Pfizer Incorporated 324,275 +5,162 $10,584
     PFE324,275+5,162$10,584
Disney Walt Hldg Co 108,222 +216 $10,454
     DIS108,222+216$10,454
Kinder Morgan Inc 657,395 -4,719 $9,151
     KMI657,395-4,719$9,151
Stryker Corp 51,339 +1,052 $8,547
     SYK51,339+1,052$8,547
Abbott Laboratories 106,029 -4,382 $8,367
     ABT106,029-4,382$8,367
Lowes Companies Inc 96,280 +166 $8,285
     LOW96,280+166$8,285
Paychex Inc 131,479 -838 $8,273
     PAYX131,479-838$8,273
Canadian Natl Ry Co 104,691 +898 $8,127
     CNI104,691+898$8,127
Nike Inc Class B 95,613 -3,197 $7,911
     NKE95,613-3,197$7,911
Cisco Systems Inc 196,295 -117 $7,716
     CSCO196,295-117$7,716
Amazon Com Inc 3,776 +274 $7,362
     AMZN3,776+274$7,362
Wal Mart Stores Inc 64,552 +1,414 $7,334
     WMT64,552+1,414$7,334
Chubb Ltd F 65,363 +1,156 $7,300
     CB65,363+1,156$7,300
Caterpillar Inc 55,720 +169 $6,466
     CAT55,720+169$6,466
Chevron Corp 85,692 +3,974 $6,209
     CVX85,692+3,974$6,209
Booking Holdings Inc 4,527 -963 $6,090
     BKNG4,527-963$6,090
FedEx Corporation 50,201 -2,184 $6,087
     FDX50,201-2,184$6,087
Northern Trust Corp 73,424 -2,059 $5,541
     NTRS73,424-2,059$5,541
Exxon Mobil Corporation 142,342 +25,827 $5,405
     XOM142,342+25,827$5,405
Skyworks Solutions Inc 57,565 -1,894 $5,145
     SWKS57,565-1,894$5,145
Dominion Res Inc Va New 66,499 +6,898 $4,801
     D66,499+6,898$4,801
Applied Materials Inc 103,554 +4,952 $4,745
     AMAT103,554+4,952$4,745
CVS Health Corporation 79,860 +16,960 $4,738
     CVS79,860+16,960$4,738
Bhp Billiton Ltd Adr 127,835 -3,283 $4,690
     BHP127,835-3,283$4,690
Diageo Plc New Adr 36,744 +1,015 $4,671
     DEO36,744+1,015$4,671
Eaton Corporation 56,005 -795 $4,351
     ETN56,005-795$4,351
Accenture PLC CL A 24,002 -440 $3,918
     ACN24,002-440$3,918
Allegiance Bancshare 155,734 +3 $3,755
     ABTX155,734+3$3,755
Danaher Corp Del 26,790 -4,490 $3,708
     DHR26,790-4,490$3,708
Tyson Foods Inc Cl A 58,041 +8,592 $3,359
     TSN58,041+8,592$3,359
Brookfield Infra Ptnrs 92,065 -12,551 $3,312
     BIP92,065-12,551$3,312
Welltower Inc 70,691 -4,118 $3,236
     WELL70,691-4,118$3,236
Steris Corp 22,793 +705 $3,190
     STE22,793+705$3,190
Dollar Tree Inc 42,690 +2,515 $3,136
     DLTR42,690+2,515$3,136
Willis Towers Watson 17,918 +91 $3,043
     WLTW17,918+91$3,043

See Full List: All Stocks Held By Callahan Advisors LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Callahan Advisors LLC

Size ($ in 1000's)
At 03/31/2020: $476,335
At 12/31/2019: $623,721

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

Callahan Advisors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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