Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Apple Computer | 30,761 | +1,200 | $5,922 |
AAPL | 30,761 | +1,200 | $5,922 |
Church and Dwight | 58,000 | -200 | $5,484 |
CHD | 58,000 | -200 | $5,484 |
Microsoft | 13,798 | -600 | $5,189 |
MSFT | 13,798 | -600 | $5,189 |
Alphabet Inc Class A | 36,961 | -1,145 | $5,163 |
GOOGL | 36,961 | -1,145 | $5,163 |
Johnson & Johnson | 29,893 | -435 | $4,685 |
JNJ | 29,893 | -435 | $4,685 |
Zoetis Inc | 23,568 | +1,340 | $4,652 |
ZTS | 23,568 | +1,340 | $4,652 |
CSX Corp | 117,047 | +9,428 | $4,058 |
CSX | 117,047 | +9,428 | $4,058 |
United Rentals Inc. | 6,760 | +955 | $3,876 |
URI | 6,760 | +955 | $3,876 |
UPS | 20,959 | +45 | $3,295 |
UPS | 20,959 | +45 | $3,295 |
Honeywell Int l. | 15,465 | -1,766 | $3,243 |
HON | 15,465 | -1,766 | $3,243 |
Jacobs Solutions Inc. | 22,775 | +22,775 | $2,956 |
J | 22,775 | +22,775 | $2,956 |
Berkshire Hathaway B | $2,812 | ||
BRK.B | 7,885 | -85 | $2,812 |
Coca Cola | 47,543 | -270 | $2,802 |
KO | 47,543 | -270 | $2,802 |
Oracle | 25,870 | +15,340 | $2,727 |
ORCL | 25,870 | +15,340 | $2,727 |
Quanta Services | 12,281 | +4,485 | $2,650 |
PWR | 12,281 | +4,485 | $2,650 |
Kimberly Clark | 21,704 | +50 | $2,637 |
KMB | 21,704 | +50 | $2,637 |
Advanced Micro Devices | 17,425 | -600 | $2,569 |
AMD | 17,425 | -600 | $2,569 |
Lennar | 16,650 | -2,725 | $2,482 |
LEN | 16,650 | -2,725 | $2,482 |
Canadian Pacific Kansas City L | 30,097 | -243 | $2,379 |
CP | 30,097 | -243 | $2,379 |
Charles Schwab | 34,505 | +5,175 | $2,374 |
SCHW | 34,505 | +5,175 | $2,374 |
Bristol Myers Squibb | 45,352 | -2,045 | $2,327 |
BMY | 45,352 | -2,045 | $2,327 |
Nike Inc Class B | 20,952 | +900 | $2,275 |
NKE | 20,952 | +900 | $2,275 |
Air Prod.& Chem. | 8,055 | +8,055 | $2,205 |
APD | 8,055 | +8,055 | $2,205 |
Union Pacific | 8,611 | -250 | $2,115 |
UNP | 8,611 | -250 | $2,115 |
Pfizer | 72,950 | -5,900 | $2,100 |
PFE | 72,950 | -5,900 | $2,100 |
Abbott Labs | 18,574 | -200 | $2,044 |
ABT | 18,574 | -200 | $2,044 |
Exxon Mobil | 19,761 | UNCH | $1,976 |
XOM | 19,761 | UNCH | $1,976 |
Teradyne | 18,050 | +11,850 | $1,959 |
TER | 18,050 | +11,850 | $1,959 |
Sysco Corp | 26,334 | -450 | $1,926 |
SYY | 26,334 | -450 | $1,926 |
Morgan Stanley | 20,542 | -875 | $1,916 |
MS | 20,542 | -875 | $1,916 |
United Therapeutics Corporatio | 8,035 | -470 | $1,767 |
UTHR | 8,035 | -470 | $1,767 |
Yum Brands Inc. | 13,251 | -199 | $1,731 |
YUM | 13,251 | -199 | $1,731 |
Hyatt Hotels Corp | 12,950 | -3,550 | $1,689 |
H | 12,950 | -3,550 | $1,689 |
Pepsico | 9,893 | -25 | $1,680 |
PEP | 9,893 | -25 | $1,680 |
Amgen | 5,800 | -4,160 | $1,671 |
AMGN | 5,800 | -4,160 | $1,671 |
Merck | 15,324 | -600 | $1,671 |
MRK | 15,324 | -600 | $1,671 |
Analog Devices | 8,250 | -3,400 | $1,638 |
ADI | 8,250 | -3,400 | $1,638 |
Alphabet Inc Class C | 11,494 | UNCH | $1,620 |
GOOG | 11,494 | UNCH | $1,620 |
GE HealthCare Technologies Inc | 20,653 | -5,808 | $1,597 |
GEHC | 20,653 | -5,808 | $1,597 |
Eli Lilly | 2,735 | +1,045 | $1,594 |
LLY | 2,735 | +1,045 | $1,594 |
Estee Lauder | 10,650 | -3,098 | $1,558 |
EL | 10,650 | -3,098 | $1,558 |
Simon Property Group | 10,525 | -400 | $1,501 |
SPG | 10,525 | -400 | $1,501 |
Medtronic PLC | 18,034 | -470 | $1,486 |
MDT | 18,034 | -470 | $1,486 |
M.D.C. Holdings Inc. | 26,021 | -425 | $1,438 |
MDC | 26,021 | -425 | $1,438 |
Stryker | 4,685 | +1,585 | $1,403 |
SYK | 4,685 | +1,585 | $1,403 |
Walt Disney | 15,302 | -260 | $1,382 |
DIS | 15,302 | -260 | $1,382 |
Procter & Gamble | 9,246 | UNCH | $1,355 |
PG | 9,246 | UNCH | $1,355 |
Amazon Inc. | 8,888 | -10,545 | $1,350 |
AMZN | 8,888 | -10,545 | $1,350 |
Int l Bus. Mach. | 8,119 | -2,655 | $1,328 |
IBM | 8,119 | -2,655 | $1,328 |
Target | 9,275 | -3,325 | $1,321 |
TGT | 9,275 | -3,325 | $1,321 |
See Full List: All Stocks Held By New England Research & Management Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By New England Research & Management Inc.
Size ($ in 1000's)
At 12/31/2023: $188,796 At 09/30/2023: $175,496 New England Research & Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from New England Research & Management Inc. 13F filings. Link to 13F filings: SEC filings |