HoldingsChannel.com
Campbell Newman Asset Management Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp. 240,059 -626 $37,860
     MSFT240,059-626$37,860
Apple Inc. 120,823 +14,543 $30,724
     AAPL120,823+14,543$30,724
Intl. Flavors & Fragrances Inc 250,000 UNCH $25,520
     IFF250,000UNCH$25,520
JPMorgan Chase & Co. 243,683 -1,569 $21,938
     JPM243,683-1,569$21,938
UnitedHealth Group 86,075 -166 $21,465
     UNH86,075-166$21,465
Visa Inc. Class A 131,692 -484 $21,218
     V131,692-484$21,218
American Tower Corp. 96,046 -9,235 $20,914
     AMT96,046-9,235$20,914
Cisco Systems Inc. 492,991 -1,900 $19,379
     CSCO492,991-1,900$19,379
Texas Instruments Inc. 174,417 -1,044 $17,429
     TXN174,417-1,044$17,429
Abbott Laboratories 215,226 -1,368 $16,984
     ABT215,226-1,368$16,984
Analog Devices Inc. 166,905 -395 $14,963
     ADI166,905-395$14,963
Lockheed Martin Corp. 43,272 -274 $14,667
     LMT43,272-274$14,667
Accenture plc 87,806 -565 $14,336
     ACN87,806-565$14,336
The Walt Disney Co. 147,590 -1,810 $14,257
     DIS147,590-1,810$14,257
Lowe s Companies Inc. 159,704 -1,207 $13,743
     LOW159,704-1,207$13,743
Eli Lilly & Co. 95,356 +38 $13,228
     LLY95,356+38$13,228
KLA Corp. 89,948 -498 $12,929
     KLAC89,948-498$12,929
Merck & Co. Inc. 164,203 -970 $12,634
     MRK164,203-970$12,634
Intercontinental Exchange Inc (ICE) 155,389 +49,130 $12,548
     ICE155,389+49,130$12,548
Stryker Corp. 75,203 -75 $12,520
     SYK75,203-75$12,520
Northrop Grumman Corp. 40,792 +23,979 $12,342
     NOC40,792+23,979$12,342
Becton Dickinson & Co. 51,570 -270 $11,849
     BDX51,570-270$11,849
Raytheon Co. 89,034 -802 $11,677
     RTN89,034-802$11,677
The Home Depot Inc. 62,453 -175 $11,661
     HD62,453-175$11,661
Maxim Integrated Products Inc 230,771 -1,261 $11,218
     MXIM230,771-1,261$11,218
Truist Financial Corp. 357,260 -12,495 $11,018
     TFC357,260-12,495$11,018
TE Connectivity Ltd. Regular S 168,967 -14,852 $10,641
     TEL168,967-14,852$10,641
Honeywell International Inc. 78,520 -553 $10,505
     HON78,520-553$10,505
Mastercard Inc. 40,927 +31,786 $9,887
     MA40,927+31,786$9,887
Amazon.com Inc. 4,781 +25 $9,322
     AMZN4,781+25$9,322
Bristol Myers Squibb Co. 127,243 +726 $7,093
     BMY127,243+726$7,093
S&P Global Inc. 22,196 +22,196 $5,439
     SPGI22,196+22,196$5,439
Moody s Corp. 24,556 +24,556 $5,194
     MCO24,556+24,556$5,194
McDonald s Corporation 27,699 UNCH $4,580
     MCD27,699UNCH$4,580
Johnson & Johnson 30,254 UNCH $3,967
     JNJ30,254UNCH$3,967
Crown Castle International Cor 25,981 +25,981 $3,752
     CCI25,981+25,981$3,752
Intel Corporation 68,060 UNCH $3,683
     INTC68,060UNCH$3,683
Bank of America Corporation 152,000 UNCH $3,227
     BAC152,000UNCH$3,227
NIKE Inc. Class B 37,371 -221 $3,092
     NKE37,371-221$3,092
Alphabet Inc. Class A 2,638 +32 $3,066
     GOOGL2,638+32$3,066
Alphabet Inc. Class C 2,441 UNCH $2,839
     GOOG2,441UNCH$2,839
PepsiCo Inc. 22,538 +149 $2,707
     PEP22,538+149$2,707
Fiserv Inc. 25,647 +436 $2,436
     FISV25,647+436$2,436
United Technologies Corp. 22,515 UNCH $2,124
     UTX22,515UNCH$2,124
Netflix Inc. 5,313 +104 $1,995
     NFLX5,313+104$1,995
Abbvie Inc. 25,548 UNCH $1,946
     ABBV25,548UNCH$1,946
Corning Inc. 88,324 -238,024 $1,814
     GLW88,324-238,024$1,814
Pool Corp. 8,933 -206 $1,758
     POOL8,933-206$1,758
SPDR Tr Unit Ser 1 (SPY) 6,534 +6,534 $1,684
     SPY6,534+6,534$1,684
Thermo Fisher Scientific Inc. 5,268 +151 $1,494
     TMO5,268+151$1,494

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 03/31/2020: $583,860
At 12/31/2019: $741,029

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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