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

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Universal Display Corp 629,899 -11,163 $83,008
     OLED629,899-11,163$83,008
Apple Inc 81,632 -4,586 $20,758
     AAPL81,632-4,586$20,758
Microsoft Corp 107,306 +194 $16,923
     MSFT107,306+194$16,923
Accelerate Diagnostics Inc. 1,390,227 +395,570 $11,581
     AXDX1,390,227+395,570$11,581
Johnson & Johnson 79,019 -3,550 $10,362
     JNJ79,019-3,550$10,362
Berkshire Hathaway Inc Cl A      $10,023
     BRK.A26-2$7,072
     BRK.B16,143-1,136$2,951
Amazon.com Inc 4,818 +510 $9,394
     AMZN4,818+510$9,394
International Business Machine 84,669 +7,171 $9,392
     IBM84,669+7,171$9,392
Merck & Co Inc 120,415 +9,244 $9,265
     MRK120,415+9,244$9,265
AbbVie Inc. 116,858 +40 $8,903
     ABBV116,858+40$8,903
Danaher Corp 61,204 +17,210 $8,471
     DHR61,204+17,210$8,471
Home Depot 45,219 -1,314 $8,443
     HD45,219-1,314$8,443
Visa Inc Cl A 50,316 +17,567 $8,107
     V50,316+17,567$8,107
Invesco QQQ Trust Series 1 39,444 -6,019 $7,510
     QQQ39,444-6,019$7,510
Abbott Labs 94,549 -1,994 $7,461
     ABT94,549-1,994$7,461
Bristol Myers Squibb 124,826 -198 $6,958
     BMY124,826-198$6,958
TJX Cos Inc 140,852 +9,288 $6,734
     TJX140,852+9,288$6,734
Target Corporation 69,079 -949 $6,422
     TGT69,079-949$6,422
Procter & Gamble 56,596 -1,879 $6,226
     PG56,596-1,879$6,226
Intel Corp 113,847 -4,962 $6,161
     INTC113,847-4,962$6,161
Coca Cola 138,650 -1,645 $6,135
     KO138,650-1,645$6,135
Wells Fargo 201,635 -21,754 $5,787
     WFC201,635-21,754$5,787
Honeywell International 43,090 +3,213 $5,765
     HON43,090+3,213$5,765
Pepsico 47,490 -1,524 $5,704
     PEP47,490-1,524$5,704
Medtronic Inc 62,620 +7,336 $5,647
     MDT62,620+7,336$5,647
J P Morgan Chase & Co 62,497 +15,523 $5,627
     JPM62,497+15,523$5,627
3M Company 40,999 +895 $5,597
     MMM40,999+895$5,597
Blackstone Group Inc. 121,647 -14,308 $5,543
     BX121,647-14,308$5,543
McDonalds Corp 33,364 +194 $5,517
     MCD33,364+194$5,517
American Express 63,635 +2,053 $5,448
     AXP63,635+2,053$5,448
Boeing 34,475 +5,098 $5,142
     BA34,475+5,098$5,142
Starbucks Corp. 78,070 +8,818 $5,132
     SBUX78,070+8,818$5,132
Walt Disney 52,955 +30,158 $5,115
     DIS52,955+30,158$5,115
Wal Mart Stores 44,021 -8,332 $5,002
     WMT44,021-8,332$5,002
Qualcomm Inc. 66,908 -194 $4,526
     QCOM66,908-194$4,526
Bank of America Corp 211,785 +2,673 $4,496
     BAC211,785+2,673$4,496
Dover Corp 51,802 +1,720 $4,348
     DOV51,802+1,720$4,348
Alibaba Group Holdings ADS 21,731 -1,933 $4,226
     BABA21,731-1,933$4,226
Novartis AG Adr 50,195 +720 $4,139
     NVS50,195+720$4,139
Chevron Corp 57,016 -1,938 $4,131
     CVX57,016-1,938$4,131
AT&T Inc 139,973 +3,215 $4,080
     T139,973+3,215$4,080
Illinois Tool Works 28,199 -183 $4,008
     ITW28,199-183$4,008
Alphabet Inc. CL A 3,361 +381 $3,905
     GOOGL3,361+381$3,905
Walgreens Boots Alliance Inc. 85,282 -17,658 $3,902
     WBA85,282-17,658$3,902
United Parcel Service 39,787 +1,252 $3,717
     UPS39,787+1,252$3,717
Zoetis Inc. 30,469 +6,570 $3,586
     ZTS30,469+6,570$3,586
Shopify Inc. 8,540 -813 $3,561
     SHOP8,540-813$3,561
Royal Dutch Shell Plc ADR B      $3,519
     RDS.B85,923+2,612$2,806
     RDS.A20,449+1,278$713
Kinder Morgan Inc 247,057 +65,734 $3,439
     KMI247,057+65,734$3,439
Exxon Mobil Corp 87,730 -3,528 $3,331
     XOM87,730-3,528$3,331

See Full List: All Stocks Held By Griffin Asset Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Griffin Asset Management Inc.

Size ($ in 1000's)
At 03/31/2020: $528,064
At 12/31/2019: $713,376

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

Griffin Asset Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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