HoldingsChannel.com
Callahan Advisors LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Apple Computer Inc 106,869 -431 $23,935
     AAPL106,869-431$23,935
Microsoft Corp 143,821 -2,993 $19,995
     MSFT143,821-2,993$19,995
Alphabet Inc Class C 13,370 +74 $16,298
     GOOG13,370+74$16,298
AT&T Inc 426,665 +19,186 $16,145
     T426,665+19,186$16,145
Intel Corp 305,577 +8,737 $15,746
     INTC305,577+8,737$15,746
JPMorgan Chase & Co. 132,721 +2,062 $15,620
     JPM132,721+2,062$15,620
Johnson & Johnson 109,867 +869 $14,215
     JNJ109,867+869$14,215
Disney Walt Hldg Co 108,340 +831 $14,119
     DIS108,340+831$14,119
Procter & Gamble Co 111,719 -5,923 $13,896
     PG111,719-5,923$13,896
McDonalds Corp 63,860 +70 $13,711
     MCD63,860+70$13,711
Brookfield Asset Mgmt 258,054 +2,570 $13,700
     BAM258,054+2,570$13,700
Kinder Morgan Inc 634,388 +10,556 $13,075
     KMI634,388+10,556$13,075
Berkshire Hathaway Cl B      $12,800
     BRK.B61,531+328$12,800
Pepsico Incorporated 90,146 +669 $12,359
     PEP90,146+669$12,359
NextEra Energy Inc 52,636 -390 $12,264
     NEE52,636-390$12,264
Facebook Inc Class A 64,336 +3,154 $11,457
     FB64,336+3,154$11,457
United Healthcare Cor 52,428 +1,952 $11,394
     UNH52,428+1,952$11,394
Pfizer Incorporated 313,476 +10,936 $11,263
     PFE313,476+10,936$11,263
Paychex Inc 132,939 -1,742 $11,003
     PAYX132,939-1,742$11,003
Stryker Corp 49,737 -661 $10,758
     SYK49,737-661$10,758
Chubb Ltd F 64,528 +1,684 $10,417
     CB64,528+1,684$10,417
Lowes Companies Inc 94,041 +932 $10,341
     LOW94,041+932$10,341
Booking Holdings Inc 5,260 +30 $10,323
     BKNG5,260+30$10,323
Abbott Laboratories 120,811 -3,499 $10,108
     ABT120,811-3,499$10,108
Cisco Systems Inc 201,902 +1,553 $9,976
     CSCO201,902+1,553$9,976
Chevron Corp 80,398 +1,644 $9,535
     CVX80,398+1,644$9,535
Nike Inc Class B 99,661 -3,909 $9,360
     NKE99,661-3,909$9,360
Canadian Natl Ry Co 102,687 +5,358 $9,227
     CNI102,687+5,358$9,227
Exxon Mobil Corporation 126,314 +675 $8,919
     XOM126,314+675$8,919
FedEx Corporation 58,226 -758 $8,476
     FDX58,226-758$8,476
Wal Mart Stores Inc 63,838 -532 $7,576
     WMT63,838-532$7,576
Welltower Inc 78,231 -6,157 $7,092
     WELL78,231-6,157$7,092
Northern Trust Corp 75,917 +1,126 $7,085
     NTRS75,917+1,126$7,085
Bhp Billiton Ltd Adr 133,934 +12,017 $6,614
     BHP133,934+12,017$6,614
Caterpillar Inc 51,466 +503 $6,501
     CAT51,466+503$6,501
Diageo Plc New Adr 36,769 +125 $6,012
     DEO36,769+125$6,012
Amazon Com Inc 3,442 +141 $5,975
     AMZN3,442+141$5,975
Brookfield Infra Ptnrs 118,071 +708 $5,858
     BIP118,071+708$5,858
Allegiance Bancshare 168,818 -2,904 $5,417
     ABTX168,818-2,904$5,417
Cullen Frost Bankers 57,891 +3,614 $5,126
     CFR57,891+3,614$5,126
Skyworks Solutions Inc 61,095 +1,442 $4,842
     SWKS61,095+1,442$4,842
Accenture PLC CL A 24,245 -155 $4,663
     ACN24,245-155$4,663
Danaher Corp Del 31,629 +23 $4,568
     DHR31,629+23$4,568
Dominion Res Inc Va New 55,967 +1,883 $4,536
     D55,967+1,883$4,536
Sysco Corporation 55,728 +840 $4,425
     SYY55,728+840$4,425
Eaton Corporation 51,890 +4,495 $4,315
     ETN51,890+4,495$4,315
Dollar Tree Inc 36,565 +1,690 $4,174
     DLTR36,565+1,690$4,174
Weingarten Rlty Invs Sbi 140,536 +7,703 $4,094
     WRI140,536+7,703$4,094
Applied Materials Inc 77,269 +8,083 $3,856
     AMAT77,269+8,083$3,856
United Rentals Inc 28,118 +1,120 $3,505
     URI28,118+1,120$3,505

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 09/30/2019: $572,516
At 06/30/2019: $557,230

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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