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

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
AMAZON.COM INC 24,228 +3,946 $47,238
     AMZN24,228+3,946$47,238
MICROSOFT CORPORATION 266,223 +49,133 $41,986
     MSFT266,223+49,133$41,986
APPLE INC 162,668 -16,202 $41,365
     AAPL162,668-16,202$41,365
BERKSHIRE HATHAWAY INC CL B      $38,154
     BRK.B208,688+6,519$38,154
ALPHABET INC. CLASS C 29,353 +2,924 $34,132
     GOOG29,353+2,924$34,132
JOHNSON & JOHNSON 207,977 +7,175 $27,272
     JNJ207,977+7,175$27,272
ROCHE HOLDING LTD SPONSORED AD 631,559 -3,776 $25,622
     RHHBY631,559-3,776$25,622
NEXTERA ENERGY INC 101,665 +461 $24,463
     NEE101,665+461$24,463
VERIZON COMMUNICATIONS INC 433,708 +99,424 $23,303
     VZ433,708+99,424$23,303
PROCTER & GAMBLE CO 203,889 +1,705 $22,428
     PG203,889+1,705$22,428
HUMANA INC 69,643 +3,374 $21,869
     HUM69,643+3,374$21,869
PNC FINANCIAL SERVICES GROUP I      $21,328
     PNC222,719+82,289$21,319
     PNC.PRQ375UNCH$9
JPMORGAN CHASE & CO      $21,231
     JPM235,723+17,562$21,222
     JPM.PRJ400UNCH$9
MASTERCARD INC CL A 84,730 +3,659 $20,467
     MA84,730+3,659$20,467
PEPSICO INC 168,130 +11,388 $20,192
     PEP168,130+11,388$20,192
ABBOTT LABORATORIES 252,447 +7,661 $19,921
     ABT252,447+7,661$19,921
CONSTELLATION BRANDS INC CL A 138,286 +32,864 $19,825
     STZ138,286+32,864$19,825
BOEING COMPANY 132,375 +65,262 $19,742
     BA132,375+65,262$19,742
BANK OF AMERICA CORP 909,898 +113,113 $19,317
     BAC909,898+113,113$19,317
MCDONALDS CORPORATION 115,986 +5,995 $19,178
     MCD115,986+5,995$19,178
WALT DISNEY COMPANY 196,761 +55,901 $19,007
     DIS196,761+55,901$19,007
FACEBOOK INC CL A 108,033 +9,778 $18,020
     FB108,033+9,778$18,020
INCYTE CORPORATION 244,289 +15,819 $17,889
     INCY244,289+15,819$17,889
GILEAD SCIENCES INC 235,992 -59,311 $17,643
     GILD235,992-59,311$17,643
CISCO SYSTEMS INC 446,670 +43,252 $17,559
     CSCO446,670+43,252$17,559
INTEL CORPORATION 319,605 +28,909 $17,297
     INTC319,605+28,909$17,297
CHECK POINT SOFTWARE TECHNOLOG 170,826 +15,734 $17,175
     CHKP170,826+15,734$17,175
CATERPILLAR INC. 146,004 +145,961 $16,942
     CAT146,004+145,961$16,942
AMERICOLD REALITY TRUST 479,130 +36,750 $16,310
     COLD479,130+36,750$16,310
HOME DEPOT INC 84,684 +4,023 $15,811
     HD84,684+4,023$15,811
SOUTHWEST AIRLINES CO 442,043 +56,991 $15,741
     LUV442,043+56,991$15,741
GOLDMAN SACHS GROUP INC      $15,575
     GS100,559+13,196$15,545
     GS.PRA1,624UNCH$30
TJX COMPANIES INC 318,792 +14,701 $15,241
     TJX318,792+14,701$15,241
DISCOVERY HOLDING CO A 780,441 +64,984 $15,172
     DISCA780,441+64,984$15,172
SERVICENOW INC 51,784 -14,192 $14,840
     NOW51,784-14,192$14,840
REGENERON PHARMACEUTICALS INC 29,535 -20,715 $14,422
     REGN29,535-20,715$14,422
CHUBB LIMITED 127,290 +18,323 $14,217
     CB127,290+18,323$14,217
ALTRIA GROUP INC 365,654 +45,599 $14,140
     MO365,654+45,599$14,140
STARBUCKS CORP 209,564 +208,060 $13,777
     SBUX209,564+208,060$13,777
UNITED PARCEL SERVICE INC CL B 139,996 +36,764 $13,078
     UPS139,996+36,764$13,078
ENBRIDGE INC 446,893 -127,534 $13,000
     ENB446,893-127,534$13,000
GENERAL DYNAMICS CORPORATION 97,363 +11,925 $12,882
     GD97,363+11,925$12,882
NVIDIA CORPORATION 48,175 -25,592 $12,699
     NVDA48,175-25,592$12,699
CHEVRON CORPORATION 170,884 +36,228 $12,382
     CVX170,884+36,228$12,382
EXXON MOBIL CORPORATION 314,409 +58,093 $11,938
     XOM314,409+58,093$11,938
ISHARES MSCI INDIA ETF (INDA) 426,081 +26,322 $10,273
     INDA426,081+26,322$10,273
VANGUARD 500 INDEX FD ADM      $9,689
     MUT40,616+11,222$9,689
UNIVERSAL DISPLAY CORPORATION 68,371 +11,538 $9,010
     OLED68,371+11,538$9,010
SPDR S&P 500 ETF TRUST (SPY) 29,320 -75 $7,557
     SPY29,320-75$7,557
SCHWAB US LARGE CAP ETF (SCHX) 114,219 +14,254 $6,996
     SCHX114,219+14,254$6,996

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 03/31/2020: $1,025,417
At 12/31/2019: $1,155,137

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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