HoldingsChannel.com
Stewart & Patten Co. LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp 198,759 -11,798 $31,346
     MSFT198,759-11,798$31,346
Johnson & Johnson 197,548 -2,576 $25,905
     JNJ197,548-2,576$25,905
Xcel Energy Inc. 416,951 -5,570 $25,143
     XEL416,951-5,570$25,143
J P Morgan Chase & Co 237,487 -2,770 $21,381
     JPM237,487-2,770$21,381
Intel Corp 391,982 -9,295 $21,214
     INTC391,982-9,295$21,214
Procter & Gamble Co 192,705 -4,219 $21,198
     PG192,705-4,219$21,198
Abbott Laboratories 264,300 +2 $20,856
     ABT264,300+2$20,856
Apple Computer Inc. 79,712 -4,783 $20,270
     AAPL79,712-4,783$20,270
Home Depot Inc. 102,623 +958 $19,161
     HD102,623+958$19,161
Automatic Data Processing 132,667 -1,190 $18,133
     ADP132,667-1,190$18,133
Coca Cola Co 407,296 -6,433 $18,023
     KO407,296-6,433$18,023
Stryker Corp. 96,551 +374 $16,075
     SYK96,551+374$16,075
3M Company 112,572 -1,662 $15,367
     MMM112,572-1,662$15,367
Honeywell Inc. 101,643 +4,155 $13,599
     HON101,643+4,155$13,599
AT & T Inc. 454,995 -1,145 $13,263
     T454,995-1,145$13,263
Cisco Systems Inc. 335,714 +26,549 $13,197
     CSCO335,714+26,549$13,197
United Parcel Service 134,298 +3,853 $12,547
     UPS134,298+3,853$12,547
Texas Instruments 116,477 +1,139 $11,639
     TXN116,477+1,139$11,639
Colgate Palmolive 157,831 +416 $10,474
     CL157,831+416$10,474
Mondelez Intl Inc. 205,096 -600 $10,271
     MDLZ205,096-600$10,271
UnitedHealth Group Inc. 39,557 +241 $9,865
     UNH39,557+241$9,865
Chevron Corporation 131,729 +643 $9,545
     CVX131,729+643$9,545
V F Corp 160,410 +2,060 $8,675
     VFC160,410+2,060$8,675
Wells Fargo & Co. 259,849 +1,308 $7,458
     WFC259,849+1,308$7,458
Walt Disney Company 74,756 +21,234 $7,221
     DIS74,756+21,234$7,221
Hanesbrands Inc. 582,051 +41,530 $4,581
     HBI582,051+41,530$4,581
Bank of New York Mellon Corp 132,756 -137,210 $4,471
     BK132,756-137,210$4,471
Nextera Energy Inc. 18,319 +13,533 $4,408
     NEE18,319+13,533$4,408
Union Pacific Corp 30,357 -2,255 $4,282
     UNP30,357-2,255$4,282
Carnival Corp 251,101 -5,079 $3,307
     CCL251,101-5,079$3,307
American Express 35,829 +27,368 $3,067
     AXP35,829+27,368$3,067
Amgen Inc. 11,360 -500 $2,303
     AMGN11,360-500$2,303
Exxon Mobil Corp 51,470 -3,943 $1,954
     XOM51,470-3,943$1,954
DuPont 51,241 -35,908 $1,747
     DD51,241-35,908$1,747
Intl Business Machines Corp 15,689 -1,971 $1,740
     IBM15,689-1,971$1,740
Berkshire Hathaway Cl B      $1,331
     BRK.B7,279+1,784$1,331
Schlumberger Ltd. 94,602 -2,825 $1,276
     SLB94,602-2,825$1,276
McDonald s Corp 7,039 -136 $1,164
     MCD7,039-136$1,164
Oracle Corp 20,240 UNCH $978
     ORCL20,240UNCH$978
Eli Lilly Co 6,740 -716 $935
     LLY6,740-716$935
Grainger W.W. Inc. 3,710 -100 $922
     GWW3,710-100$922
General Electric 115,321 -5,300 $916
     GE115,321-5,300$916
Vanguard Stock Market Index      $841
     COM STK13,400+158$841
Pepsico Inc. 6,888 UNCH $827
     PEP6,888UNCH$827
AbbVie Inc. 10,704 -3,900 $816
     ABBV10,704-3,900$816
American Growth Fd of America      $803
     COM STK18,494UNCH$803
Clorox Company 4,170 -14,450 $723
     CLX4,170-14,450$723
Pfizer Inc. 22,039 -1,530 $719
     PFE22,039-1,530$719
Alphabet Inc. Class C 585 +5 $681
     GOOG585+5$681
Amcor plc 81,785 -20,447 $664
     AMCR81,785-20,447$664

See Full List: All Stocks Held By Stewart & Patten Co. LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Stewart & Patten Co. LLC

Size ($ in 1000's)
At 03/31/2020: $458,819
At 12/31/2019: $593,752

Stewart & Patten Co. LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Stewart & Patten Co. LLC 13F filings. Link to 13F filings: SEC filings

Stewart & Patten Co. LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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