HoldingsChannel.com
QCI Asset Management Inc. NY Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
APPLE INC 188,395 +6,422 $42,195
     AAPL188,395+6,422$42,195
BERKSHIRE HATHAWAY INC CL B      $41,785
     BRK.B200,870+64,756$41,785
AMAZON.COM INC 20,125 +1,400 $34,935
     AMZN20,125+1,400$34,935
ALPHABET INC. CLASS C 27,141 +1,740 $33,085
     GOOG27,141+1,740$33,085
MICROSOFT CORPORATION 224,890 +8,252 $31,266
     MSFT224,890+8,252$31,266
JPMORGAN CHASE & CO      $27,122
     JPM228,046+11,713$26,839
     JPM.PRG10,900+5,450$283
JOHNSON & JOHNSON 209,002 +9,439 $27,041
     JNJ209,002+9,439$27,041
PROCTER & GAMBLE CO 215,020 +6,525 $26,744
     PG215,020+6,525$26,744
NEXTERA ENERGY INC 109,008 +4,505 $25,398
     NEE109,008+4,505$25,398
MCDONALDS CORPORATION 115,186 +3,373 $24,732
     MCD115,186+3,373$24,732
BANK OF AMERICA CORP      $24,446
     BAC831,218+50,421$24,247
     BAC.PRA7,700+3,850$199
ROCHE HOLDING LTD SPONSORED AD 651,353 +34,297 $23,742
     RHHBY651,353+34,297$23,742
MASTERCARD INC CL A 85,245 +2,904 $23,150
     MA85,245+2,904$23,150
BOEING COMPANY 59,552 +6,823 $22,658
     BA59,552+6,823$22,658
GRANITE CONSTRUCTION INC 700,305 +328,657 $22,501
     GVA700,305+328,657$22,501
PEPSICO INC 162,924 +5,059 $22,337
     PEP162,924+5,059$22,337
SOUTHWEST AIRLINES CO 406,567 +23,365 $21,959
     LUV406,567+23,365$21,959
ABBOTT LABORATORIES 256,030 +11,831 $21,422
     ABT256,030+11,831$21,422
ZIMMER BIOMET HOLDINGS INC 155,731 +5,947 $21,377
     ZBH155,731+5,947$21,377
ENBRIDGE INC 605,718 +45,125 $21,249
     ENB605,718+45,125$21,249
PNC FINANCIAL SERVICES GROUP I      $20,842
     PNC147,232+8,513$20,636
     PNC.PRP7,500+3,750$206
VERIZON COMMUNICATIONS INC 340,918 +16,074 $20,578
     VZ340,918+16,074$20,578
HOME DEPOT INC 87,454 +5,034 $20,291
     HD87,454+5,034$20,291
GOLDMAN SACHS GROUP INC      $19,248
     GS92,716+5,197$19,214
     GS.PRA1,624UNCH$34
WALT DISNEY COMPANY 146,444 +6,370 $19,085
     DIS146,444+6,370$19,085
EXXON MOBIL CORPORATION 264,378 +10,822 $18,668
     XOM264,378+10,822$18,668
FACEBOOK INC CL A 103,189 +3,236 $18,376
     FB103,189+3,236$18,376
CHUBB LIMITED 113,200 +4,315 $18,275
     CB113,200+4,315$18,275
CONSTELLATION BRANDS INC CL A 87,417 +7,338 $18,120
     STZ87,417+7,338$18,120
TJX COMPANIES INC 320,887 +12,556 $17,886
     TJX320,887+12,556$17,886
INCYTE CORPORATION 238,520 +12,599 $17,705
     INCY238,520+12,599$17,705
SERVICENOW INC 68,331 +2,221 $17,346
     NOW68,331+2,221$17,346
CHECK POINT SOFTWARE TECHNOLOG 157,533 +9,332 $17,250
     CHKP157,533+9,332$17,250
AMERICOLD REALITY TRUST 461,964 +460,302 $17,125
     COLD461,964+460,302$17,125
INTEL CORPORATION 303,255 +15,757 $15,627
     INTC303,255+15,757$15,627
CHARLES SCHWAB CORPORATION 370,676 +15,991 $15,505
     SCHW370,676+15,991$15,505
CISCO SYSTEMS INC 309,784 +14,956 $15,306
     CSCO309,784+14,956$15,306
GENERAL DYNAMICS CORPORATION 83,693 +5,005 $15,293
     GD83,693+5,005$15,293
REGENERON PHARMACEUTICALS INC 53,231 +3,581 $14,766
     REGN53,231+3,581$14,766
HUMANA INC 57,685 +3,689 $14,748
     HUM57,685+3,689$14,748
CHEVRON CORPORATION 119,977 +9,110 $14,229
     CVX119,977+9,110$14,229
NVIDIA CORPORATION 80,776 +5,379 $14,061
     NVDA80,776+5,379$14,061
SCHLUMBERGER LTD 406,912 +26,998 $13,904
     SLB406,912+26,998$13,904
ISHARES MSCI INDIA ETF (INDA) 413,703 +413,703 $13,888
     INDA413,703+413,703$13,888
ALTRIA GROUP INC 324,481 +84,258 $13,271
     MO324,481+84,258$13,271
ECOLAB INC 65,553 +314 $12,982
     ECL65,553+314$12,982
UNITED PARCEL SERVICE INC CL B 105,690 +4,930 $12,664
     UPS105,690+4,930$12,664
UNIVERSAL DISPLAY CORPORATION 58,142 -20,372 $9,762
     OLED58,142-20,372$9,762
SPDR S&P 500 ETF TRUST (SPY) 29,688 -10 $8,811
     SPY29,688-10$8,811
VANGUARD 500 INDEX FD ADM      $8,187
     MUT29,804+2,701$8,187

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 09/30/2019: $1,111,246
At 06/30/2019: $1,051,583

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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