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

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Apple Inc. 110,838 -768 $28,153
     AAPL110,838-768$28,153
Visa Inc. 119,560 -1,456 $19,249
     V119,560-1,456$19,249
Abbott Labs 215,570 +4,045 $17,030
     ABT215,570+4,045$17,030
Stryker 99,292 +3,924 $16,482
     SYK99,292+3,924$16,482
Automatic Data Processing 88,325 +931 $12,101
     ADP88,325+931$12,101
Alphabet Inc. Cl A 10,025 +45 $11,649
     GOOGL10,025+45$11,649
Air Products 52,279 +1,187 $10,456
     APD52,279+1,187$10,456
PepsiCo 81,294 -225 $9,755
     PEP81,294-225$9,755
PayPal Holdings 97,392 +3,706 $9,350
     PYPL97,392+3,706$9,350
Paychex 137,597 -1,373 $8,669
     PAYX137,597-1,373$8,669
Paycom Software 42,029 +257 $8,490
     PAYC42,029+257$8,490
Starbucks 121,625 +8,650 $8,027
     SBUX121,625+8,650$8,027
Novo Nordisk ADR 133,403 +3,963 $8,004
     NVO133,403+3,963$8,004
Facebook Inc. 46,220 +2,915 $7,719
     FB46,220+2,915$7,719
Disney Walt Co 75,266 +5,296 $7,301
     DIS75,266+5,296$7,301
Lowe s 84,829 +4,900 $7,295
     LOW84,829+4,900$7,295
NVIDIA Corp 27,277 +805 $7,201
     NVDA27,277+805$7,201
Danaher Corporation 50,272 -34 $6,938
     DHR50,272-34$6,938
Ecolab 44,025 -173 $6,868
     ECL44,025-173$6,868
Norfolk Southern Corp. 44,349 +1,165 $6,475
     NSC44,349+1,165$6,475
Canadian Natl. Railway 81,773 -450 $6,378
     CNI81,773-450$6,378
United Technologies 64,761 +5,133 $6,088
     UTX64,761+5,133$6,088
Euronet Worldwide Inc 70,110 +9,868 $6,029
     EEFT70,110+9,868$6,029
Colgate Palmolive 88,630 -17,336 $5,850
     CL88,630-17,336$5,850
Alphabet Inc. Cl C 4,720 -20 $5,489
     GOOG4,720-20$5,489
Johnson and Johnson 37,018 -8,400 $4,849
     JNJ37,018-8,400$4,849
Amazon.com Inc 2,037 +275 $3,972
     AMZN2,037+275$3,972
O Reilly Automotive Inc. 12,648 +746 $3,807
     ORLY12,648+746$3,807
McDonald s 20,538 -500 $3,389
     MCD20,538-500$3,389
Constellation Brands Inc. 20,874 +3,676 $2,985
     STZ20,874+3,676$2,985
JP Morgan Chase & Co. 31,079 +3,318 $2,797
     JPM31,079+3,318$2,797
Home Depot 14,574 -100 $2,725
     HD14,574-100$2,725
Procter and Gamble 24,447 -323 $2,689
     PG24,447-323$2,689
Salesforce Com 13,380 +1,320 $1,927
     CRM13,380+1,320$1,927
Sysco Corp. 38,748 -1,442 $1,782
     SYY38,748-1,442$1,782
Becton Dickinson and Company 7,203 -2,338 $1,657
     BDX7,203-2,338$1,657
Diageo PLC 12,860 +250 $1,633
     DEO12,860+250$1,633
Microsoft 9,268 +624 $1,464
     MSFT9,268+624$1,464
NextEra Energy Inc. 5,597 UNCH $1,349
     NEE5,597UNCH$1,349
AbbVie 16,131 -3,535 $1,226
     ABBV16,131-3,535$1,226
Intuitive Surgical 2,459 +2,459 $1,217
     ISRG2,459+2,459$1,217
Wal Mart Stores 8,809 -200 $1,004
     WMT8,809-200$1,004
Mondelez Int l 19,455 -300 $973
     MDLZ19,455-300$973
American Tower Corp 4,076 +4,076 $889
     AMT4,076+4,076$889
Merck & Co. Inc. New 9,780 +1,595 $753
     MRK9,780+1,595$753
QUALCOMM 10,595 -300 $720
     QCOM10,595-300$720
Novartis AG ADS 8,689 -250 $712
     NVS8,689-250$712
Honeywell Int l 4,729 +350 $634
     HON4,729+350$634
Amgen 2,989 UNCH $607
     AMGN2,989UNCH$607
Adobe Inc 1,642 +225 $522
     ADBE1,642+225$522

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

See Details: Top 10 Stocks Held By Dillon & Associates Inc.

Size ($ in 1000's)
At 03/31/2020: $297,005
At 12/31/2019: $357,414

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

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

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