HoldingsChannel.com
HM Payson & Co. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 797,408 +4,186 $106,821
     MSFT797,408+4,186$106,821
APPLE INC 518,536 -32,433 $102,629
     AAPL518,536-32,433$102,629
JOHNSON & JOHNSON 592,489 +36,240 $82,522
     JNJ592,489+36,240$82,522
PFIZER INC 1,509,623 +6,261 $65,397
     PFE1,509,623+6,261$65,397
INTEL CORP 1,352,533 +30,427 $64,746
     INTC1,352,533+30,427$64,746
JPMORGAN CHASE & CO 549,833 +3,491 $61,471
     JPM549,833+3,491$61,471
MCDONALDS CORP 284,999 -803 $59,183
     MCD284,999-803$59,183
AMAZON COM INC 31,141 -1,969 $58,970
     AMZN31,141-1,969$58,970
BERKSHIRE HATHAWAY INC DEL      $58,457
     BRK.B221,958-3,431$47,315
     BRK.A35+35$11,142
VANGUARD TAX MANAGED INTL FD (VEA) 1,347,210 -143,949 $56,192
     VEA1,347,210-143,949$56,192
EXXON MOBIL CORP 719,958 -18,555 $55,170
     XOM719,958-18,555$55,170
TJX COS INC NEW 912,513 -14,540 $48,254
     TJX912,513-14,540$48,254
ALPHABET INC 42,433 +1,787 $45,866
     GOOG42,433+1,787$45,866
CISCO SYS INC 834,563 +3,398 $45,676
     CSCO834,563+3,398$45,676
MASTERCARD INC 172,466 +2,122 $45,623
     MA172,466+2,122$45,623
ACCENTURE PLC IRELAND 244,986 -20,238 $45,266
     ACN244,986-20,238$45,266
ABBOTT LABS 521,976 -13,076 $43,898
     ABT521,976-13,076$43,898
AMGEN INC 236,024 +1,803 $43,495
     AMGN236,024+1,803$43,495
HARRIS CORP DEL 228,387 -4,177 $43,195
     HRS228,387-4,177$43,195
SPDR S&P 500 ETF TR (SPY) 141,610 +19,420 $41,492
     SPY141,610+19,420$41,492
UNITED TECHNOLOGIES CORP 312,847 -451 $40,733
     UTX312,847-451$40,733
VISA INC 231,233 +3,025 $40,131
     V231,233+3,025$40,131
PROCTER AND GAMBLE CO 348,429 -7,914 $38,205
     PG348,429-7,914$38,205
AFLAC INC 671,812 -9,275 $36,822
     AFL671,812-9,275$36,822
CUMMINS INC 214,544 +7,685 $36,760
     CMI214,544+7,685$36,760
CSX CORP 473,460 +3,368 $36,632
     CSX473,460+3,368$36,632
DISNEY WALT CO 258,529 +14,884 $36,101
     DIS258,529+14,884$36,101
GENERAL DYNAMICS CORP 197,286 +4,291 $35,871
     GD197,286+4,291$35,871
BROADCOM INC 121,235 +14,412 $34,899
     AVGO121,235+14,412$34,899
HOME DEPOT INC 162,163 +3,211 $33,725
     HD162,163+3,211$33,725
DIAGEO P L C 194,898 -1,770 $33,585
     DEO194,898-1,770$33,585
ALPHABET INC 29,635 -308 $32,089
     GOOGL29,635-308$32,089
DANAHER CORPORATION 221,920 +3,184 $31,717
     DHR221,920+3,184$31,717
S&P GLOBAL INC 135,376 -1,155 $30,837
     SPGI135,376-1,155$30,837
FISERV INC 318,865 +9,818 $29,068
     FISV318,865+9,818$29,068
AMERICAN EXPRESS CO 234,594 +9,482 $28,958
     AXP234,594+9,482$28,958
BANK AMER CORP 988,458 +218,344 $28,665
     BAC988,458+218,344$28,665
V F CORP 305,876 +5,381 $26,718
     VFC305,876+5,381$26,718
ABBVIE INC 360,539 +143 $26,218
     ABBV360,539+143$26,218
PHILLIPS 66 278,390 +11,985 $26,041
     PSX278,390+11,985$26,041
MERCK & CO INC 295,702 -3,200 $24,795
     MRK295,702-3,200$24,795
TEXAS INSTRS INC 211,503 +4,521 $24,272
     TXN211,503+4,521$24,272
CHEVRON CORP NEW 189,174 +1,225 $23,541
     CVX189,174+1,225$23,541
CDW CORP 205,770 +12,461 $22,841
     CDW205,770+12,461$22,841
PEPSICO INC 172,179 -3,893 $22,578
     PEP172,179-3,893$22,578
MEDTRONIC PLC 222,491 -7,628 $21,668
     MDT222,491-7,628$21,668
ISHARES TR (IGSB) 402,629 -28,218 $21,516
     IGSB402,629-28,218$21,516
HASBRO INC 198,723 -49,543 $21,001
     HAS198,723-49,543$21,001
ORACLE CORP 352,844 -14,278 $20,102
     ORCL352,844-14,278$20,102
BECTON DICKINSON & CO 74,195 -2,084 $18,698
     BDX74,195-2,084$18,698

See Full List: All Stocks Held By HM Payson & Co.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By HM Payson & Co.

Size ($ in 1000's)
At 06/30/2019: $2,788,249
At 03/31/2019: $2,616,259

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

HM Payson & Co. Top Holdings 13F Filings | www.HoldingsChannel.com

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