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

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Qualcomm Inc. 551,499 -2,146 $37,309
     QCOM551,499-2,146$37,309
Apple Inc 76,791 -1,256 $19,527
     AAPL76,791-1,256$19,527
Visa Inc Class A 116,606 +278 $18,788
     V116,606+278$18,788
Microsoft Corp 105,825 +275 $16,690
     MSFT105,825+275$16,690
Intel Corp 301,029 -7,085 $16,292
     INTC301,029-7,085$16,292
Merck & Co Inc 198,529 +1,240 $15,275
     MRK198,529+1,240$15,275
Costco Wholesale Corp 52,835 -8 $15,065
     COST52,835-8$15,065
The Home Depot Inc 77,383 -766 $14,449
     HD77,383-766$14,449
Bank of America Corporation 679,070 -4,953 $14,417
     BAC679,070-4,953$14,417
JPMorgan Chase & Co 152,501 -555 $13,730
     JPM152,501-555$13,730
Pfizer Inc 407,688 +702 $13,307
     PFE407,688+702$13,307
Alphabet Inc C 10,573 +139 $12,299
     GOOG10,573+139$12,299
Johnson & Johnson 93,531 +125 $12,265
     JNJ93,531+125$12,265
Micron Technology Inc 286,389 -41 $12,046
     MU286,389-41$12,046
Amazon.com Inc 6,172 +279 $12,034
     AMZN6,172+279$12,034
AT&T Inc 332,734 +25,516 $9,699
     T332,734+25,516$9,699
Chevron Corp 127,645 +2,032 $9,249
     CVX127,645+2,032$9,249
Walt Disney Co 93,140 +4,637 $8,997
     DIS93,140+4,637$8,997
Citigroup Inc 208,594 +3,703 $8,786
     C208,594+3,703$8,786
Bristol Myers Squibb Company 144,376 +16,145 $8,048
     BMY144,376+16,145$8,048
United Technologies Corp 83,227 -643 $7,851
     UTX83,227-643$7,851
Gilead Sciences Inc 101,958 -11,775 $7,622
     GILD101,958-11,775$7,622
Starbucks Corp 105,842 -1,031 $6,958
     SBUX105,842-1,031$6,958
Berkshire Hathaway Inc B      $6,788
     BRK.B37,129+4,894$6,788
Alibaba Group Holding Ltd ADR 34,266 +372 $6,664
     BABA34,266+372$6,664
Colgate Palmolive Co 99,330 -1,360 $6,592
     CL99,330-1,360$6,592
Oracle Corp 127,407 -1,830 $6,158
     ORCL127,407-1,830$6,158
Procter & Gamble Co 53,767 +562 $5,914
     PG53,767+562$5,914
PepsiCo Inc 47,017 -585 $5,647
     PEP47,017-585$5,647
Autodesk Inc 35,956 -951 $5,613
     ADSK35,956-951$5,613
Exxon Mobil Corp 135,938 -9,441 $5,162
     XOM135,938-9,441$5,162
International Business Machines Corp 42,530 -110 $4,718
     IBM42,530-110$4,718
Raytheon Co 35,575 +2,161 $4,666
     RTN35,575+2,161$4,666
Emerson Electric Co 96,675 -3,575 $4,607
     EMR96,675-3,575$4,607
Illumina Inc 16,564 +540 $4,524
     ILMN16,564+540$4,524
Cisco Systems Inc 115,036 +4,926 $4,522
     CSCO115,036+4,926$4,522
BP PLC ADR 182,499 +6,385 $4,451
     BP182,499+6,385$4,451
Eaton Corp PLC 55,442 -3,350 $4,307
     ETN55,442-3,350$4,307
Novartis Ag 48,123 -2,645 $3,968
     NVS48,123-2,645$3,968
SPDR S&P 500 ETF (SPY) 13,931 -38 $3,591
     SPY13,931-38$3,591
Allstate Corp 35,733 +2,092 $3,278
     ALL35,733+2,092$3,278
Wells Fargo & Co      $3,150
     WFC90,598-4,590$2,600
     WFC.PRN23,450-750$550
Southern Co 53,484 UNCH $2,896
     SO53,484UNCH$2,896
Salesforce.com Inc 19,562 +330 $2,817
     CRM19,562+330$2,817
iShares Core S&P Mid Cap (IJH) 18,928 +773 $2,723
     IJH18,928+773$2,723
Welltower Inc Com 59,064 +7,854 $2,704
     WELL59,064+7,854$2,704
Xylem Inc 38,055 -2,105 $2,479
     XYL38,055-2,105$2,479
PacWest Bancorp 124,357 +2,434 $2,228
     PACW124,357+2,434$2,228
Constellation Brands Inc 15,131 +1,136 $2,169
     STZ15,131+1,136$2,169
Duke Energy Corp 25,629 +2,104 $2,073
     DUK25,629+2,104$2,073

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

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

Size ($ in 1000's)
At 03/31/2020: $475,413
At 12/31/2019: $613,513

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

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

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