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Campbell Newman Asset Management Inc. Top Holdings
As of  09/30/2022, below is a summary of the Campbell Newman Asset Management Inc. top holdings by largest position size, as per the latest 13f filing made by Campbell Newman Asset Management Inc.. In the Campbell Newman Asset Management Inc.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Campbell Newman Asset Management Inc. in that top holding, then the share count change between reporting periods, and finally the Campbell Newman Asset Management Inc. top holding position size for that row.

   EntityAmountChange
 06/30/2022 to 09/30/2022
Position Size
($ in 1000's)
Apple Inc. 519,123 -2,392 $71,743
     AAPL519,123-2,392$71,743
Microsoft Corp. 246,702 -1,144 $57,457
     MSFT246,702-1,144$57,457
ConocoPhillips 356,545 -1,662 $36,489
     COP356,545-1,662$36,489
Raytheon Technologies Corp. 406,685 -2,837 $33,291
     RTX406,685-2,837$33,291
Broadcom Inc. 74,681 -440 $33,159
     AVGO74,681-440$33,159
Lowe s Companies Inc. 163,423 -1,130 $30,692
     LOW163,423-1,130$30,692
Analog Devices Inc. 219,073 -1,400 $30,526
     ADI219,073-1,400$30,526
KLA Corp. 100,836 -703 $30,516
     KLAC100,836-703$30,516
UnitedHealth Group 59,396 -357 $29,997
     UNH59,396-357$29,997
Eli Lilly & Co. 87,652 -276 $28,342
     LLY87,652-276$28,342
Visa Inc. Class A 143,527 -1,261 $25,498
     V143,527-1,261$25,498
Stryker Corp. 118,171 -668 $23,934
     SYK118,171-668$23,934
Merck & Co. Inc. 276,801 -1,984 $23,838
     MRK276,801-1,984$23,838
American Tower Corp. 110,686 +748 $23,764
     AMT110,686+748$23,764
Honeywell International Inc. 141,053 -76 $23,552
     HON141,053-76$23,552
Northrop Grumman Corp. 49,766 -337 $23,406
     NOC49,766-337$23,406
TE Connectivity Ltd. Regular S 206,594 +1,435 $22,800
     TEL206,594+1,435$22,800
Texas Instruments Inc. 139,818 -1,848 $21,641
     TXN139,818-1,848$21,641
Mastercard Inc. 72,498 -526 $20,614
     MA72,498-526$20,614
Intl. Flavors & Fragrances In 216,285 UNCH $19,645
     IFF216,285UNCH$19,645
The Home Depot Inc. 68,152 -400 $18,806
     HD68,152-400$18,806
Intercontinental Exchange Inc (ICE) 192,878 -3,700 $17,427
     ICE192,878-3,700$17,427
Crown Castle Inc. 109,497 +729 $15,828
     CCI109,497+729$15,828
Accenture plc 61,427 +360 $15,805
     ACN61,427+360$15,805
Comcast Corp. Class A 534,800 -21,967 $15,686
     CMCSA534,800-21,967$15,686
Regions Financial Corp. 712,781 -4,340 $14,306
     RF712,781-4,340$14,306
Cisco Systems Inc. 334,414 -5,403 $13,377
     CSCO334,414-5,403$13,377
Abbott Laboratories 134,996 -899 $13,062
     ABT134,996-899$13,062
Moody s Corp. 52,051 -980 $12,654
     MCO52,051-980$12,654
EOG Resources Inc. 104,722 +104,722 $11,701
     EOG104,722+104,722$11,701
Amazon.com Inc. 90,441 -21 $10,220
     AMZN90,441-21$10,220
S&P Global Inc. 25,134 -445 $7,675
     SPGI25,134-445$7,675
McDonald s Corp. 25,467 UNCH $5,876
     MCD25,467UNCH$5,876
Johnson & Johnson 29,567 UNCH $4,830
     JNJ29,567UNCH$4,830
Alphabet Inc. Class C 46,960 +44,612 $4,515
     GOOG46,960+44,612$4,515
Alphabet Inc. Class A 45,520 +43,243 $4,354
     GOOGL45,520+43,243$4,354
JPMorgan Chase & Co. 35,439 -114,639 $3,703
     JPM35,439-114,639$3,703
Bank of America Corp. 90,850 UNCH $2,744
     BAC90,850UNCH$2,744
The Walt Disney Co. 27,799 -1,900 $2,622
     DIS27,799-1,900$2,622
Medpace Holdings Inc. 16,100 +397 $2,530
     MEDP16,100+397$2,530
Bristol Myers Squibb Co. 32,826 UNCH $2,334
     BMY32,826UNCH$2,334
Corning Inc. 73,052 UNCH $2,120
     GLW73,052UNCH$2,120
NV5 Global Inc. 16,871 +401 $2,089
     NVEE16,871+401$2,089
Monolithic Power Systems Inc. 5,744 +136 $2,087
     MPWR5,744+136$2,087
Hershey Foods Corp. 9,400 UNCH $2,072
     HSY9,400UNCH$2,072
LHC Group Inc. 12,410 -2,939 $2,031
     LHCG12,410-2,939$2,031
NIKE Inc. Class B 23,640 -15 $1,965
     NKE23,640-15$1,965
ExlService Holdings Inc. 13,307 +320 $1,961
     EXLS13,307+320$1,961
Fiserv Inc. 20,686 -14 $1,936
     FISV20,686-14$1,936
Norfolk Southern Corporation 9,165 UNCH $1,921
     NSC9,165UNCH$1,921

See Full List: All Stocks Held By Campbell Newman Asset Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Campbell Newman Asset Management Inc.

Size ($ in 1000's)
At 09/30/2022: $888,351
At 06/30/2022: $945,590

Campbell Newman Asset Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Campbell Newman Asset Management Inc. 13F filings. Link to 13F filings: SEC filings

Campbell Newman Asset Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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