Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Apple Inc | 494,489 | -25,887 | $95,204 |
AAPL | 494,489 | -25,887 | $95,204 |
NVIDIA Corp | 154,176 | -16,561 | $76,351 |
NVDA | 154,176 | -16,561 | $76,351 |
Microsoft Corp | 184,538 | -6,049 | $69,394 |
MSFT | 184,538 | -6,049 | $69,394 |
MasterCard Inc Cl A | 144,635 | -5,445 | $61,688 |
MA | 144,635 | -5,445 | $61,688 |
Rockwell Automation Inc | 191,793 | -3,020 | $59,548 |
ROK | 191,793 | -3,020 | $59,548 |
Analog Devices Inc | 271,142 | -23,038 | $53,838 |
ADI | 271,142 | -23,038 | $53,838 |
Carrier Global Corporation Com | 936,445 | -15,931 | $53,799 |
CARR | 936,445 | -15,931 | $53,799 |
Danaher Corp | 217,218 | -1,452 | $50,251 |
DHR | 217,218 | -1,452 | $50,251 |
Novo Nordisk AS ADR | 449,106 | -40,118 | $46,460 |
NVO | 449,106 | -40,118 | $46,460 |
Canadian National Railway Co | 362,934 | -16,669 | $45,595 |
CNI | 362,934 | -16,669 | $45,595 |
Abbott Laboratories | 385,965 | -1,492 | $42,483 |
ABT | 385,965 | -1,492 | $42,483 |
Xylem Inc | 334,108 | +19,714 | $38,209 |
XYL | 334,108 | +19,714 | $38,209 |
Alphabet Inc Cap Stock Cl A | 269,737 | -14,397 | $37,680 |
GOOGL | 269,737 | -14,397 | $37,680 |
Nike Inc Cl B | 340,610 | -5,457 | $36,980 |
NKE | 340,610 | -5,457 | $36,980 |
T Mobile US Inc | 228,290 | -3,636 | $36,602 |
TMUS | 228,290 | -3,636 | $36,602 |
AptarGroup Inc | 290,051 | -3,709 | $35,856 |
ATR | 290,051 | -3,709 | $35,856 |
Stryker Corp | 107,521 | -3,066 | $32,198 |
SYK | 107,521 | -3,066 | $32,198 |
Automatic Data Processing Inc | 135,693 | -6,510 | $31,612 |
ADP | 135,693 | -6,510 | $31,612 |
TJX Cos Inc | 310,703 | +5,532 | $29,147 |
TJX | 310,703 | +5,532 | $29,147 |
New York Times Co Cl A | 592,453 | -8,745 | $29,024 |
NYT | 592,453 | -8,745 | $29,024 |
Becton Dickinson & Co | 113,262 | +4,211 | $27,617 |
BDX | 113,262 | +4,211 | $27,617 |
Amphenol Corp Cl A | 272,386 | +16,377 | $27,002 |
APH | 272,386 | +16,377 | $27,002 |
Alphabet Inc Cap Stock Cl C | 185,806 | -7,213 | $26,186 |
GOOG | 185,806 | -7,213 | $26,186 |
Tesla Motors Inc | 101,938 | -2,959 | $25,330 |
TSLA | 101,938 | -2,959 | $25,330 |
Amazon.com Inc | 160,565 | -1,161 | $24,396 |
AMZN | 160,565 | -1,161 | $24,396 |
Waste Management Inc | 128,196 | -1,621 | $22,960 |
WM | 128,196 | -1,621 | $22,960 |
Procter & Gamble Co | 155,102 | +6,279 | $22,729 |
PG | 155,102 | +6,279 | $22,729 |
Crown Holdings Inc | 239,041 | +82,192 | $22,013 |
CCK | 239,041 | +82,192 | $22,013 |
CVS Health Corporation | 258,436 | -16,199 | $20,406 |
CVS | 258,436 | -16,199 | $20,406 |
Home Depot Inc | 51,646 | +899 | $17,898 |
HD | 51,646 | +899 | $17,898 |
Medtronic PLC | 214,097 | -7,788 | $17,637 |
MDT | 214,097 | -7,788 | $17,637 |
Aptiv PLC | 179,744 | +8,098 | $16,127 |
APTV | 179,744 | +8,098 | $16,127 |
Veralto Corp | 193,547 | +193,547 | $15,921 |
VLTO | 193,547 | +193,547 | $15,921 |
Intl Business Machines | 94,929 | +12,002 | $15,526 |
IBM | 94,929 | +12,002 | $15,526 |
Johnson & Johnson | 96,027 | -3,309 | $15,051 |
JNJ | 96,027 | -3,309 | $15,051 |
Teradyne Inc | 138,075 | +2,648 | $14,984 |
TER | 138,075 | +2,648 | $14,984 |
Novartis AG Sp ADR | 125,105 | -1,419 | $12,632 |
NVS | 125,105 | -1,419 | $12,632 |
Unilever PLC Sp ADR | 243,814 | -117,794 | $11,820 |
UL | 243,814 | -117,794 | $11,820 |
Advanced Micro Devices Inc | 77,357 | -1,787 | $11,403 |
AMD | 77,357 | -1,787 | $11,403 |
Alcon Inc | 118,791 | +111,826 | $9,280 |
ALC | 118,791 | +111,826 | $9,280 |
ASML Holding NV NY Registry | 11,180 | +2,475 | $8,462 |
ASML | 11,180 | +2,475 | $8,462 |
Cloudflare Inc Cl A Com | 96,555 | +47,597 | $8,039 |
NET | 96,555 | +47,597 | $8,039 |
Vertiv Holdings Co Cl A | 164,004 | +164,004 | $7,877 |
VRT | 164,004 | +164,004 | $7,877 |
Costco Wholesale Corp | 11,215 | -302 | $7,403 |
COST | 11,215 | -302 | $7,403 |
Illumina Inc | 51,340 | -29,366 | $7,149 |
ILMN | 51,340 | -29,366 | $7,149 |
Perrigo Co PLC | 219,867 | +41,782 | $7,075 |
PRGO | 219,867 | +41,782 | $7,075 |
Vertex Pharmaceuticals Inc | 16,141 | +2,070 | $6,568 |
VRTX | 16,141 | +2,070 | $6,568 |
Starbucks Corp | 67,032 | -45,739 | $6,436 |
SBUX | 67,032 | -45,739 | $6,436 |
Abbvie Inc | 40,897 | -733 | $6,338 |
ABBV | 40,897 | -733 | $6,338 |
Enphase Energy Inc | 47,093 | -557 | $6,223 |
ENPH | 47,093 | -557 | $6,223 |
See Full List: All Stocks Held By Reynders McVeigh Capital Management LLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
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See Details: Top 10 Stocks Held By Reynders McVeigh Capital Management LLC
Size ($ in 1000's)
At 12/31/2023: $1,578,996 At 09/30/2023: $1,455,229 Reynders McVeigh Capital Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Reynders McVeigh Capital Management LLC 13F filings. Link to 13F filings: SEC filings |