Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
Alphabet Inc. | 149,535 | -17,265 | $22,569 |
GOOG | 149,535 | -17,265 | $22,569 |
BlackRock Inc. | 25,810 | -3,214 | $21,518 |
BLK | 25,810 | -3,214 | $21,518 |
Microsoft Corp | 51,133 | -6,660 | $21,513 |
MSFT | 51,133 | -6,660 | $21,513 |
Visa Inc. | 76,365 | -8,930 | $21,312 |
V | 76,365 | -8,930 | $21,312 |
Amazon Com Inc. | 117,390 | +8,610 | $21,175 |
AMZN | 117,390 | +8,610 | $21,175 |
Emerson Electric | 179,295 | -21,597 | $20,336 |
EMR | 179,295 | -21,597 | $20,336 |
Amgen Inc. | 68,678 | -6,752 | $19,527 |
AMGN | 68,678 | -6,752 | $19,527 |
Berkshire Hathaway Inc Del Cl B | $18,875 | ||
BRK.B | 44,886 | -10,888 | $18,875 |
Comcast Corp | 421,930 | -49,884 | $18,291 |
CMCSA | 421,930 | -49,884 | $18,291 |
Pepsico Inc | 103,681 | -10,927 | $18,145 |
PEP | 103,681 | -10,927 | $18,145 |
J P Morgan Chase & Co | 89,747 | -46,352 | $17,976 |
JPM | 89,747 | -46,352 | $17,976 |
Medtronic PLC | 205,620 | -24,085 | $17,920 |
MDT | 205,620 | -24,085 | $17,920 |
Chevron Corp | 111,921 | -12,371 | $17,654 |
CVX | 111,921 | -12,371 | $17,654 |
Accenture PLC A | 50,329 | -5,997 | $17,445 |
ACN | 50,329 | -5,997 | $17,445 |
Apple Computer Inc | 101,555 | +9,230 | $17,415 |
AAPL | 101,555 | +9,230 | $17,415 |
Canadian National Railway Co | 132,109 | -14,905 | $17,400 |
CNI | 132,109 | -14,905 | $17,400 |
Texas Instruments Inc. | 95,517 | -10,243 | $16,640 |
TXN | 95,517 | -10,243 | $16,640 |
Air Pros & Chems Inc | 67,747 | -4,371 | $16,413 |
APD | 67,747 | -4,371 | $16,413 |
Bristol Myers Squibb Co | 289,628 | -27,516 | $15,707 |
BMY | 289,628 | -27,516 | $15,707 |
Starbucks Corp | 169,130 | -18,055 | $15,457 |
SBUX | 169,130 | -18,055 | $15,457 |
Corning Inc. | 464,900 | +464,900 | $15,323 |
GLW | 464,900 | +464,900 | $15,323 |
Nextera Energy Inc. | 228,445 | +65,031 | $14,600 |
NEE | 228,445 | +65,031 | $14,600 |
Agilent Technologies Inc. | 59,695 | -5,598 | $8,686 |
A | 59,695 | -5,598 | $8,686 |
Ishares TR U.S. Pfd Stk ETF (PFF) | 253,900 | -35,050 | $8,183 |
PFF | 253,900 | -35,050 | $8,183 |
Nvidia Corp | 4,525 | -791 | $4,089 |
NVDA | 4,525 | -791 | $4,089 |
Broadcom Limited | 800 | UNCH | $1,060 |
AVGO | 800 | UNCH | $1,060 |
Alphabet Inc. | 6,155 | UNCH | $937 |
GOOGL | 6,155 | UNCH | $937 |
Costco Wholesale Corp | 885 | UNCH | $648 |
COST | 885 | UNCH | $648 |
Procter & Gamble Co | 3,250 | UNCH | $527 |
PG | 3,250 | UNCH | $527 |
TJX Cos Inc. | 4,000 | UNCH | $406 |
COM | 4,000 | UNCH | $406 |
Avery Dennison Corp. | 1,472 | UNCH | $329 |
AVY | 1,472 | UNCH | $329 |
Spdr S&P 500 ETF (SPY) | 510 | UNCH | $267 |
SPY | 510 | UNCH | $267 |
Catepillar Inc. | 600 | +600 | $220 |
CAT | 600 | +600 | $220 |
Lindblad Expeditions Holdings Inc | 12,000 | UNCH | $112 |
LIND | 12,000 | UNCH | $112 |
See Full List: All Stocks Held By Osher Van de Voorde Investment Management
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Osher Van de Voorde Investment Management
Size ($ in 1000's)
At 03/31/2024: $428,695 At 12/31/2023: $454,564 Osher Van de Voorde Investment Management holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Osher Van de Voorde Investment Management 13F filings. Link to 13F filings: SEC filings |