Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
MSA Safety Inc | 377,725 | +377,725 | $63,771 |
MSA | 377,725 | +377,725 | $63,771 |
Microsoft Corporation | 160,707 | +133,926 | $60,432 |
MSFT | 160,707 | +133,926 | $60,432 |
Apple Inc | 272,299 | +221,439 | $52,426 |
AAPL | 272,299 | +221,439 | $52,426 |
Amazon.com Inc | 204,373 | +168,384 | $31,052 |
AMZN | 204,373 | +168,384 | $31,052 |
Avantis US Large Cap Value ETF (AVLV) | 529,187 | +529,187 | $30,566 |
AVLV | 529,187 | +529,187 | $30,566 |
SPDR S&P MidCap 400 ETF (MDY) | 50,899 | +48,513 | $25,825 |
MDY | 50,899 | +48,513 | $25,825 |
Alphabet Inc Cl C | 173,533 | +152,199 | $24,456 |
GOOG | 173,533 | +152,199 | $24,456 |
Salesforce Inc | 77,292 | +65,274 | $20,339 |
CRM | 77,292 | +65,274 | $20,339 |
NVIDIA Corp | 40,603 | +34,198 | $20,107 |
NVDA | 40,603 | +34,198 | $20,107 |
Mastercard Inc Cl A | 45,869 | +39,000 | $19,564 |
MA | 45,869 | +39,000 | $19,564 |
Booking Holdings Inc | 4,988 | +4,264 | $17,694 |
BKNG | 4,988 | +4,264 | $17,694 |
Thermo Fisher Scientific Inc | 31,542 | +27,402 | $16,742 |
TMO | 31,542 | +27,402 | $16,742 |
Johnson & Johnson | 106,694 | +92,406 | $16,723 |
JNJ | 106,694 | +92,406 | $16,723 |
Palo Alto Networks Inc | 56,709 | +47,997 | $16,722 |
PANW | 56,709 | +47,997 | $16,722 |
TJX Companies Inc | 175,610 | +151,078 | $16,474 |
TJX | 175,610 | +151,078 | $16,474 |
Stryker Corp | 54,958 | +47,222 | $16,458 |
SYK | 54,958 | +47,222 | $16,458 |
IQVIA Holdings Inc | 68,585 | +58,839 | $15,869 |
IQV | 68,585 | +58,839 | $15,869 |
Comcast Corp New Cl A | 358,887 | +321,812 | $15,737 |
CMCSA | 358,887 | +321,812 | $15,737 |
Linde PLC | 37,085 | +30,703 | $15,231 |
LIN | 37,085 | +30,703 | $15,231 |
Alphabet Inc Cl A | 107,858 | +86,527 | $15,067 |
GOOGL | 107,858 | +86,527 | $15,067 |
PepsiCo Inc | 85,543 | +72,982 | $14,529 |
PEP | 85,543 | +72,982 | $14,529 |
Intercontinental Exchange Inc (ICE) | 112,364 | +93,949 | $14,431 |
ICE | 112,364 | +93,949 | $14,431 |
Procter & Gamble Co | 98,360 | +84,474 | $14,414 |
PG | 98,360 | +84,474 | $14,414 |
JPMorgan Chase & Co | 83,499 | +68,986 | $14,203 |
JPM | 83,499 | +68,986 | $14,203 |
General Dynamics Corp | 53,757 | +43,953 | $13,959 |
GD | 53,757 | +43,953 | $13,959 |
Marsh & McLennan Cos Inc | 72,183 | +72,183 | $13,677 |
MMC | 72,183 | +72,183 | $13,677 |
Deere & Co | 33,558 | +27,215 | $13,419 |
DE | 33,558 | +27,215 | $13,419 |
Danaher Corp | 57,211 | +48,278 | $13,235 |
DHR | 57,211 | +48,278 | $13,235 |
Waste Management Inc | 71,336 | +60,005 | $12,776 |
WM | 71,336 | +60,005 | $12,776 |
Exxon Mobil Corp | 122,863 | +102,436 | $12,284 |
XOM | 122,863 | +102,436 | $12,284 |
Novartis AG Sponsored ADR | 121,257 | +101,925 | $12,243 |
NVS | 121,257 | +101,925 | $12,243 |
Broadcom Inc | 10,832 | +10,438 | $12,091 |
AVGO | 10,832 | +10,438 | $12,091 |
Rockwell Automation Inc | 38,738 | +33,362 | $12,027 |
ROK | 38,738 | +33,362 | $12,027 |
Roper Technologies Inc | 20,753 | +17,427 | $11,314 |
ROP | 20,753 | +17,427 | $11,314 |
Coca Cola Co | 188,866 | +157,712 | $11,130 |
KO | 188,866 | +157,712 | $11,130 |
Medtronic PLC | 130,317 | +107,163 | $10,736 |
MDT | 130,317 | +107,163 | $10,736 |
NextEra Energy Inc | 174,935 | +144,464 | $10,626 |
NEE | 174,935 | +144,464 | $10,626 |
Morgan Stanley Com New | 109,863 | +109,863 | $10,245 |
MS | 109,863 | +109,863 | $10,245 |
Walmart Inc | 64,826 | +52,883 | $10,220 |
WMT | 64,826 | +52,883 | $10,220 |
Chevron Corp | 68,232 | +54,918 | $10,177 |
CVX | 68,232 | +54,918 | $10,177 |
Lowe s Cos Inc | 44,929 | +37,910 | $9,999 |
LOW | 44,929 | +37,910 | $9,999 |
American Tower Corp | 45,899 | +36,454 | $9,909 |
AMT | 45,899 | +36,454 | $9,909 |
Bank of America Corp | 294,254 | +245,871 | $9,908 |
BAC | 294,254 | +245,871 | $9,908 |
Blackrock Inc | 11,858 | +9,957 | $9,626 |
BLK | 11,858 | +9,957 | $9,626 |
iShares Core S&P Small Cap ETF (IJR) | 88,718 | +83,451 | $9,604 |
IJR | 88,718 | +83,451 | $9,604 |
SPDR S&P 500 ETF (SPY) | 19,538 | +12,541 | $9,287 |
SPY | 19,538 | +12,541 | $9,287 |
iShares MSCI EAFE ETF (EFA) | 114,355 | +109,469 | $8,617 |
EFA | 114,355 | +109,469 | $8,617 |
Merck & Co Inc | 68,290 | +65,815 | $7,445 |
MRK | 68,290 | +65,815 | $7,445 |
Home Depot Inc | 12,604 | +11,111 | $4,368 |
HD | 12,604 | +11,111 | $4,368 |
iShares Russell 2000 ETF (IWM) | 14,646 | +14,646 | $2,940 |
IWM | 14,646 | +14,646 | $2,940 |
See Full List: All Stocks Held By Nixon Peabody Trust Co.
— Including:
Biggest new positions
Biggest exits
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See Details: Top 10 Stocks Held By Nixon Peabody Trust Co.
Size ($ in 1000's)
At 12/31/2023: $891,774 At 09/30/2023: $119,422 Nixon Peabody Trust Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Nixon Peabody Trust Co. 13F filings. Link to 13F filings: SEC filings |