HoldingsChannel.com
QCI Asset Management Inc. NY Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
APPLE INC 181,973 -1,291 $36,016
     AAPL181,973-1,291$36,016
AMAZON.COM INC 18,725 +286 $35,458
     AMZN18,725+286$35,458
MICROSOFT CORPORATION 216,638 -11,544 $29,021
     MSFT216,638-11,544$29,021
BERKSHIRE HATHAWAY INC CL B      $29,015
     BRK.B136,114+2,661$29,015
JOHNSON & JOHNSON 199,563 -51 $27,795
     JNJ199,563-51$27,795
ALPHABET INC. CLASS C 25,401 +675 $27,456
     GOOG25,401+675$27,456
JPMORGAN CHASE & CO      $24,328
     JPM216,333+3,842$24,186
     JPM.PRG5,450UNCH$142
MCDONALDS CORPORATION 111,813 -316 $23,219
     MCD111,813-316$23,219
PROCTER & GAMBLE CO 208,495 -769 $22,861
     PG208,495-769$22,861
BANK OF AMERICA CORP      $22,745
     BAC780,797+6,475$22,643
     BAC.PRA3,850UNCH$102
MASTERCARD INC CL A 82,341 -20,321 $21,782
     MA82,341-20,321$21,782
ROCHE HOLDING LTD SPONSORED AD 617,056 +22,423 $21,659
     RHHBY617,056+22,423$21,659
NEXTERA ENERGY INC 104,503 +1,529 $21,408
     NEE104,503+1,529$21,408
PEPSICO INC 157,865 +862 $20,701
     PEP157,865+862$20,701
ABBOTT LABORATORIES 244,199 +2,542 $20,537
     ABT244,199+2,542$20,537
ENBRIDGE INC 560,593 -4,065 $20,226
     ENB560,593-4,065$20,226
WALT DISNEY COMPANY 140,074 -30,436 $19,560
     DIS140,074-30,436$19,560
SOUTHWEST AIRLINES CO 383,202 +39,032 $19,459
     LUV383,202+39,032$19,459
EXXON MOBIL CORPORATION 253,556 +5,852 $19,430
     XOM253,556+5,852$19,430
FACEBOOK INC CL A 99,953 +462 $19,291
     FB99,953+462$19,291
BOEING COMPANY 52,729 +49,353 $19,194
     BA52,729+49,353$19,194
INCYTE CORPORATION 225,921 -1,131 $19,194
     INCY225,921-1,131$19,194
PNC FINANCIAL SERVICES GROUP I      $19,144
     PNC138,719+1,674$19,043
     PNC.PRP3,750UNCH$101
VERIZON COMMUNICATIONS INC 324,844 +2,828 $18,558
     VZ324,844+2,828$18,558
SCHWAB EMERGING MARKETS ETF (SCHE) 695,901 +17,348 $18,260
     SCHE695,901+17,348$18,260
SERVICENOW INC 66,110 -213 $18,152
     NOW66,110-213$18,152
GOLDMAN SACHS GROUP INC      $17,937
     GS87,519+585$17,906
     GS.PRA1,624UNCH$31
GRANITE CONSTRUCTION INC 371,648 +45,161 $17,906
     GVA371,648+45,161$17,906
ZIMMER BIOMET HOLDINGS INC 149,784 +3,378 $17,636
     ZBH149,784+3,378$17,636
HOME DEPOT INC 82,420 +1,361 $17,141
     HD82,420+1,361$17,141
CHECK POINT SOFTWARE TECHNOLOG 148,201 +2,118 $17,134
     CHKP148,201+2,118$17,134
TJX COMPANIES INC 308,331 +186 $16,305
     TJX308,331+186$16,305
CISCO SYSTEMS INC 294,828 -1,629 $16,136
     CSCO294,828-1,629$16,136
CHUBB LIMITED 108,885 +828 $16,038
     CB108,885+828$16,038
CONSTELLATION BRANDS INC CL A 80,079 +78,973 $15,771
     STZ80,079+78,973$15,771
REGENERON PHARMACEUTICALS INC 49,650 +4,131 $15,540
     REGN49,650+4,131$15,540
SCHLUMBERGER LTD 379,914 +18,476 $15,098
     SLB379,914+18,476$15,098
UNIVERSAL DISPLAY CORPORATION 78,514 -31,845 $14,765
     OLED78,514-31,845$14,765
HUMANA INC 53,996 +53,996 $14,325
     HUM53,996+53,996$14,325
GENERAL DYNAMICS CORPORATION 78,688 +2,834 $14,307
     GD78,688+2,834$14,307
CHARLES SCHWAB CORPORATION 354,685 +3,547 $14,255
     SCHW354,685+3,547$14,255
DUKE ENERGY CORPORATION 159,725 +1,212 $14,094
     DUK159,725+1,212$14,094
CHEVRON CORPORATION 110,867 +3,185 $13,796
     CVX110,867+3,185$13,796
INTEL CORPORATION 287,498 +6,614 $13,763
     INTC287,498+6,614$13,763
ECOLAB INC 65,239 +170 $12,881
     ECL65,239+170$12,881
NVIDIA CORPORATION 75,397 +1,589 $12,382
     NVDA75,397+1,589$12,382
CORNING INC 346,891 +430 $11,527
     GLW346,891+430$11,527
ALTRIA GROUP INC 240,223 +1,366 $11,375
     MO240,223+1,366$11,375
UNITED PARCEL SERVICE INC CL B 100,760 +1,585 $10,405
     UPS100,760+1,585$10,405
SPDR S&P 500 ETF TRUST (SPY) 29,698 -13,649 $8,702
     SPY29,698-13,649$8,702

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

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

Size ($ in 1000's)
At 06/30/2019: $1,051,583
At 03/31/2019: $1,016,888

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

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

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