Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
Microsoft | 966,487 | +19,203 | $406,620 |
MSFT | 966,487 | +19,203 | $406,620 |
Apple Inc | 1,433,397 | -62,841 | $245,799 |
AAPL | 1,433,397 | -62,841 | $245,799 |
Alphabet Inc Class A | 1,515,259 | +29,004 | $228,698 |
GOOGL | 1,515,259 | +29,004 | $228,698 |
Nvidia | 188,642 | +20,159 | $170,449 |
NVDA | 188,642 | +20,159 | $170,449 |
JPMorgan Chase and Company | 786,454 | +12,033 | $157,527 |
JPM | 786,454 | +12,033 | $157,527 |
Procter And Gamble | 859,287 | +13,600 | $139,419 |
PG | 859,287 | +13,600 | $139,419 |
AbbVie Inc | 651,818 | +102,399 | $118,696 |
ABBV | 651,818 | +102,399 | $118,696 |
Broadcom LTD | 85,215 | -8,756 | $112,945 |
AVGO | 85,215 | -8,756 | $112,945 |
Parker Hannifin | 193,196 | +5,938 | $107,376 |
PH | 193,196 | +5,938 | $107,376 |
Home Depot | 271,051 | +84 | $103,975 |
HD | 271,051 | +84 | $103,975 |
Visa Inc | 347,283 | +5,017 | $96,920 |
V | 347,283 | +5,017 | $96,920 |
Honeywell International Inc | 455,322 | -40,595 | $93,455 |
HON | 455,322 | -40,595 | $93,455 |
Amazon.com | 513,076 | +191,412 | $92,549 |
AMZN | 513,076 | +191,412 | $92,549 |
iShares Core S&P 500 ETF (IVV) | 172,014 | +5,037 | $90,433 |
IVV | 172,014 | +5,037 | $90,433 |
Johnson & Johnson | 568,708 | +2,095 | $89,964 |
JNJ | 568,708 | +2,095 | $89,964 |
Chevron Corp | 549,089 | +8,949 | $86,613 |
CVX | 549,089 | +8,949 | $86,613 |
Comcast Cl A | 1,821,694 | +48,509 | $78,970 |
CMCSA | 1,821,694 | +48,509 | $78,970 |
Fortive Corp | 856,619 | +23,731 | $73,686 |
FTV | 856,619 | +23,731 | $73,686 |
UnitedHealth Group | 146,552 | -1,048 | $72,499 |
UNH | 146,552 | -1,048 | $72,499 |
Thermo Fisher Scientific | 118,878 | +1,948 | $69,093 |
TMO | 118,878 | +1,948 | $69,093 |
Entergy | 612,254 | +16,610 | $64,703 |
ETR | 612,254 | +16,610 | $64,703 |
Stryker | 177,707 | +45,368 | $63,596 |
SYK | 177,707 | +45,368 | $63,596 |
State Street | 821,976 | +337,565 | $63,555 |
STT | 821,976 | +337,565 | $63,555 |
TJX Companies | 610,406 | +6,924 | $61,907 |
TJX | 610,406 | +6,924 | $61,907 |
Merck | 461,948 | -1,157 | $60,954 |
MRK | 461,948 | -1,157 | $60,954 |
Wal Mart Stores | 934,816 | +631,580 | $56,248 |
WMT | 934,816 | +631,580 | $56,248 |
Philip Morris International In | 606,884 | +3,442 | $55,603 |
PM | 606,884 | +3,442 | $55,603 |
American Intl Group | 698,042 | +15,141 | $54,566 |
AIG | 698,042 | +15,141 | $54,566 |
Abbott Laboratories | 479,048 | +9,834 | $54,449 |
ABT | 479,048 | +9,834 | $54,449 |
Schwab S&P 500 Index Fund | 667,487 | -1,450 | $53,940 |
COM | 667,487 | -1,450 | $53,940 |
CrowdStrike Holdings Inc. | 165,458 | +6,256 | $53,044 |
CRWD | 165,458 | +6,256 | $53,044 |
Eaton Corp PLC | 162,838 | +10,833 | $50,916 |
ETN | 162,838 | +10,833 | $50,916 |
Palo Alto Networks Inc | 168,950 | +7,090 | $48,004 |
PANW | 168,950 | +7,090 | $48,004 |
Avalonbay Communities | 250,551 | +1,852 | $46,492 |
AVB | 250,551 | +1,852 | $46,492 |
Textron | 478,812 | +478,812 | $45,932 |
TXT | 478,812 | +478,812 | $45,932 |
Autonation | 267,650 | +4,720 | $44,317 |
AN | 267,650 | +4,720 | $44,317 |
Apache Corp | 1,260,506 | +22,719 | $43,336 |
APA | 1,260,506 | +22,719 | $43,336 |
ServiceNow Inc | 53,999 | +1,924 | $41,169 |
NOW | 53,999 | +1,924 | $41,169 |
American Electric Power | 474,643 | +394,370 | $40,867 |
AEP | 474,643 | +394,370 | $40,867 |
PPG Industries | 279,910 | +3,863 | $40,559 |
PPG | 279,910 | +3,863 | $40,559 |
Motorola Solutions | 110,448 | +1,671 | $39,207 |
MSI | 110,448 | +1,671 | $39,207 |
Emerson Electric | 330,044 | -920 | $37,434 |
EMR | 330,044 | -920 | $37,434 |
Cisco Systems | 713,991 | -8,780 | $35,635 |
CSCO | 713,991 | -8,780 | $35,635 |
Morgan Stanley | 364,451 | -11,610 | $34,317 |
MS | 364,451 | -11,610 | $34,317 |
Cencora Formerly AmerisourceBe | 134,200 | +134,200 | $32,609 |
COR | 134,200 | +134,200 | $32,609 |
Berkshire Hathaway Class B | $30,524 | ||
BRK.B | 63,533 | +123 | $26,717 |
BRK.A | 6 | UNCH | $3,807 |
Arthur J. Gallagher & Co | 114,522 | -24,970 | $28,635 |
AJG | 114,522 | -24,970 | $28,635 |
Brown and Brown | 324,623 | +7,835 | $28,417 |
BRO | 324,623 | +7,835 | $28,417 |
Schlumberger | 515,057 | +4,004 | $28,230 |
SLB | 515,057 | +4,004 | $28,230 |
Monster Beverage | 475,515 | +12,117 | $28,189 |
MNST | 475,515 | +12,117 | $28,189 |
See Full List: All Stocks Held By Ferguson Wellman Capital Management Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Ferguson Wellman Capital Management Inc.
Size ($ in 1000's)
At 03/31/2024: $4,902,212 At 12/31/2023: $4,459,647 Ferguson Wellman Capital Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Ferguson Wellman Capital Management Inc. 13F filings. Link to 13F filings: SEC filings |