HoldingsChannel.com
Fort Washington Investment Advisors Inc. OH Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
BERKSHIRE HATHAWAY INC DEL CL B      $409,338
     BRK.B2,036,126-18,733$409,037
     BRK.A1UNCH$301
MICROSOFT CORP 2,804,992 -290,668 $330,821
     MSFT2,804,992-290,668$330,821
AMAZON.COM INC 161,985 -1,371 $288,455
     AMZN161,985-1,371$288,455
APPLE INC 1,415,556 -12,740 $268,885
     AAPL1,415,556-12,740$268,885
ALPHABET CLASS C 224,400 +2,674 $263,291
     GOOG224,400+2,674$263,291
CINTAS CORP 1,062,425 UNCH $214,727
     CTAS1,062,425UNCH$214,727
FACEBOOK INC A 1,178,189 +6,211 $196,392
     FB1,178,189+6,211$196,392
SALESFORCE.COM INC 1,140,764 +28,920 $180,663
     CRM1,140,764+28,920$180,663
SPDR TRUST SERIES 1 (SPY) 571,662 +57,811 $161,483
     SPY571,662+57,811$161,483
NOVARTIS AG ADR 1,572,851 -372,968 $151,214
     NVS1,572,851-372,968$151,214
COMCAST CORP CL A 3,780,073 +13,494 $151,127
     CMCSA3,780,073+13,494$151,127
JOHNSON & JOHNSON 1,003,552 -62,633 $140,287
     JNJ1,003,552-62,633$140,287
ORACLE CORP 2,454,113 -377,435 $131,810
     ORCL2,454,113-377,435$131,810
JONES LANG LASALLE INC 818,754 +31,054 $126,235
     JLL818,754+31,054$126,235
SIMON PROPERTY GRP LP REIT 663,386 +23,193 $120,876
     SPG663,386+23,193$120,876
EXXON MOBIL CORP 1,452,123 -4,138 $117,332
     XOM1,452,123-4,138$117,332
PROCTER & GAMBLE CO 1,121,456 -30,016 $116,687
     PG1,121,456-30,016$116,687
AMERISOURCEBERGEN CORP 1,417,099 +26,165 $112,688
     ABC1,417,099+26,165$112,688
CINCINNATI FINANCIAL 1,196,685 -19,299 $102,795
     CINF1,196,685-19,299$102,795
BANK OF AMERICA CORP 3,702,183 +60,189 $102,144
     BAC3,702,183+60,189$102,144
UNITED TECHNOLOGIES 772,088 +24,650 $99,514
     UTX772,088+24,650$99,514
GOLDMAN SACHS GROUP INC 513,134 +32,067 $98,517
     GS513,134+32,067$98,517
STARBUCKS CORP 1,311,566 -215,684 $97,502
     SBUX1,311,566-215,684$97,502
BRISTOL MYERS SQUIBB 1,962,786 -146,550 $93,645
     BMY1,962,786-146,550$93,645
CARNIVAL CRUISE UNIT 1,815,109 +22,968 $92,062
     CCL1,815,109+22,968$92,062
VISA INC 538,944 -7,440 $84,178
     V538,944-7,440$84,178
BIOGEN INC 355,876 -60,682 $84,122
     BIIB355,876-60,682$84,122
SIGNATURE BANK 655,210 +5,780 $83,913
     SBNY655,210+5,780$83,913
YUM CHINA HOLDINGS INC W I 1,788,028 +31,313 $80,300
     YUMC1,788,028+31,313$80,300
UNILEVER N V NY SHARES (UN) 1,375,676 -98,249 $80,188
     UN1,375,676-98,249$80,188
MONSTER BEVERAGE CORP 1,354,221 +76,671 $73,913
     MNST1,354,221+76,671$73,913
UNION PACIFIC CORP 440,747 -63,340 $73,693
     UNP440,747-63,340$73,693
IBM 519,385 -24,745 $73,285
     IBM519,385-24,745$73,285
DEERE & COMPANY 448,092 +37,357 $71,623
     DE448,092+37,357$71,623
AVNET INC 1,637,785 -42,558 $71,031
     AVT1,637,785-42,558$71,031
ROPER INDUSTRIES INC 198,351 -2,095 $67,830
     ROP198,351-2,095$67,830
DISNEY 608,833 +493,631 $67,599
     DIS608,833+493,631$67,599
AT&T INC 2,153,653 -181,920 $67,539
     T2,153,653-181,920$67,539
BAIDU INC SPON ADR RECEIPTS 396,071 -1,723 $65,292
     BIDU396,071-1,723$65,292
INTEL CORPORATION 1,206,124 -22,777 $64,769
     INTC1,206,124-22,777$64,769
SCHLUMBERGER LTD 1,412,375 +11,856 $61,537
     SLB1,412,375+11,856$61,537
JP MORGAN CHASE & CO 602,197 +86,530 $60,960
     JPM602,197+86,530$60,960
McDONALDS 309,323 -10,467 $58,740
     MCD309,323-10,467$58,740
ISHARES RUSSELL 2000 (IWO) 291,132 UNCH $57,254
     IWO291,132UNCH$57,254
BIO RAD LABORATORIES INC 175,158 -25,544 $53,542
     BIO175,158-25,544$53,542
TJX COMPANIES INC 939,327 -15,532 $49,982
     TJX939,327-15,532$49,982
MERCK & CO INC 586,319 -111,539 $48,764
     MRK586,319-111,539$48,764
ALPHABET CLASS A 40,912 -1,758 $48,149
     GOOGL40,912-1,758$48,149
BOOKING HOLDING 26,829 +171 $46,814
     BKNG26,829+171$46,814
VERINT SYSTEMS INC 764,194 +73,500 $45,745
     VRNT764,194+73,500$45,745

See Full List: All Stocks Held By Fort Washington Investment Advisors Inc. OH
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Fort Washington Investment Advisors Inc. OH

Size ($ in 1000's)
At 03/31/2019: $8,902,327
At 12/31/2018: $8,175,113

Combined Holding Report Includes:
FORT WASHINGTON INVESTMENT ADVISORS INC OH
Todd Asset Management

Fort Washington Investment Advisors Inc. OH holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Fort Washington Investment Advisors Inc. OH 13F filings. Link to 13F filings: SEC filings

Fort Washington Investment Advisors Inc. OH Top Holdings 13F Filings | www.HoldingsChannel.com

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