HoldingsChannel.com
Cullinan Associates Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Wal Mart Stores Inc 2,965,597 -2,446 $336,951
     WMT2,965,597-2,446$336,951
Coca Cola Company 1,266,477 -2,472 $56,042
     KO1,266,477-2,472$56,042
Microsoft Corp 228,104 -47,564 $35,974
     MSFT228,104-47,564$35,974
S&P Global Inc. 124,900 +2,400 $30,607
     SPGI124,900+2,400$30,607
Apple Inc 118,576 -51,315 $30,153
     AAPL118,576-51,315$30,153
Procter & Gamble Co 231,133 +70,458 $25,425
     PG231,133+70,458$25,425
Vertex Pharmaceutical 92,912 +1,641 $22,108
     VRTX92,912+1,641$22,108
Alphabet Class A 17,125 +891 $19,898
     GOOGL17,125+891$19,898
Johnson & Johnson 140,738 -497 $18,455
     JNJ140,738-497$18,455
Intel Corp 326,887 -23,772 $17,691
     INTC326,887-23,772$17,691
Walt Disney Company 163,214 +6,276 $15,767
     DIS163,214+6,276$15,767
Bristol Myers Squibb Company 273,294 -2,684 $15,233
     BMY273,294-2,684$15,233
J P Morgan Chase & Co 135,431 -5,149 $12,193
     JPM135,431-5,149$12,193
Truist Financial Corporation 377,965 -2,474 $11,656
     TFC377,965-2,474$11,656
Adobe 36,509 -100 $11,619
     ADBE36,509-100$11,619
Cisco Systems Inc 294,682 +1,438 $11,584
     CSCO294,682+1,438$11,584
UnitedHealth 43,997 -15,505 $10,972
     UNH43,997-15,505$10,972
Verizon Communications Inc 197,081 +5,454 $10,589
     VZ197,081+5,454$10,589
Intuit 45,142 +1,513 $10,383
     INTU45,142+1,513$10,383
Chevron Corp 142,792 -4,449 $10,347
     CVX142,792-4,449$10,347
Maxim Integrated Prod 211,632 +6,207 $10,287
     MXIM211,632+6,207$10,287
PayPal Hldg Inc 105,790 +5,420 $10,128
     PYPL105,790+5,420$10,128
United Tech 105,473 +1,778 $9,949
     UTX105,473+1,778$9,949
Intl Business Machines Corp 88,283 -4,653 $9,793
     IBM88,283-4,653$9,793
SPDR S&P 500 Trust (SPY) 37,032 -405 $9,545
     SPY37,032-405$9,545
Lowes Companies Inc 109,696 +1,425 $9,439
     LOW109,696+1,425$9,439
Amgen Inc 46,427 -3,830 $9,412
     AMGN46,427-3,830$9,412
Amazon 4,805 +745 $9,368
     AMZN4,805+745$9,368
McDonalds Corp 56,055 -113 $9,269
     MCD56,055-113$9,269
Salesforce.com Inc 64,160 +2,070 $9,238
     CRM64,160+2,070$9,238
United Parcel Service Inc Cl B 98,539 -12,000 $9,206
     UPS98,539-12,000$9,206
Union Pacific Corp 63,040 +222 $8,891
     UNP63,040+222$8,891
Colgate Palmolive Company 132,049 -4,600 $8,763
     CL132,049-4,600$8,763
Pfizer Inc 255,205 +4,716 $8,330
     PFE255,205+4,716$8,330
Merck & Company Inc 108,226 -3,489 $8,327
     MRK108,226-3,489$8,327
Hasbro Inc 112,429 +4,632 $8,044
     HAS112,429+4,632$8,044
Medtronic Plc 88,539 -1,768 $7,984
     MDT88,539-1,768$7,984
Eaton Corp 102,070 -131 $7,930
     ETN102,070-131$7,930
Abbott Laboratories 100,145 +12,525 $7,902
     ABT100,145+12,525$7,902
Nike Inc Cl B 94,527 +430 $7,821
     NKE94,527+430$7,821
U S Bancorp 216,103 +2,440 $7,445
     USB216,103+2,440$7,445
Texas Instruments 73,758 +1,350 $7,371
     TXN73,758+1,350$7,371
Exxon Mobil 189,108 -13,040 $7,180
     XOM189,108-13,040$7,180
Gilead Sciences 95,381 +83,981 $7,131
     GILD95,381+83,981$7,131
3M Company 51,833 -2,355 $7,076
     MMM51,833-2,355$7,076
CME Group 40,817 UNCH $7,058
     CME40,817UNCH$7,058
Yum China Holdings Inc 164,250 -100 $7,002
     COM164,250-100$7,002
TJX Companies 145,801 +7,201 $6,971
     TJX145,801+7,201$6,971
CVS Corp 116,873 +3,402 $6,934
     CVS116,873+3,402$6,934
General Mills 131,302 +2,521 $6,929
     GIS131,302+2,521$6,929

See Full List: All Stocks Held By Cullinan Associates Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Cullinan Associates Inc.

Size ($ in 1000's)
At 03/31/2020: $1,223,226
At 12/31/2019: $1,495,909

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

Cullinan Associates Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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