HoldingsChannel.com
Stewart & Patten Co. LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Microsoft Corp 215,543 -6,658 $29,967
     MSFT215,543-6,658$29,967
J P Morgan Chase & Co 244,948 -2,314 $28,828
     JPM244,948-2,314$28,828
Xcel Energy Inc. 433,393 -18,550 $28,123
     XEL433,393-18,550$28,123
Johnson & Johnson 199,858 +2,476 $25,857
     JNJ199,858+2,476$25,857
Procter & Gamble Co 201,438 -10,331 $25,054
     PG201,438-10,331$25,054
Home Depot Inc. 101,152 -1,565 $23,469
     HD101,152-1,565$23,469
Coca Cola Co 421,529 -4,479 $22,948
     KO421,529-4,479$22,948
Abbott Laboratories 265,277 -6,812 $22,196
     ABT265,277-6,812$22,196
Automatic Data Processing 136,720 -2,614 $22,070
     ADP136,720-2,614$22,070
Intel Corp 418,928 +1,849 $21,588
     INTC418,928+1,849$21,588
Stryker Corp. 96,927 -2,040 $20,965
     SYK96,927-2,040$20,965
Apple Computer Inc. 89,586 -267 $20,065
     AAPL89,586-267$20,065
3M Company 117,335 -1,073 $19,290
     MMM117,335-1,073$19,290
AT & T Inc. 458,463 +630 $17,349
     T458,463+630$17,349
Honeywell Inc. 95,761 +6,208 $16,203
     HON95,761+6,208$16,203
Chevron Corporation 130,892 +60 $15,524
     CVX130,892+60$15,524
United Parcel Service 129,534 +4,078 $15,520
     UPS129,534+4,078$15,520
Texas Instruments 116,695 -439 $15,082
     TXN116,695-439$15,082
V F Corp 159,487 -175 $14,192
     VFC159,487-175$14,192
Cisco Systems Inc. 282,377 +29,408 $13,952
     CSCO282,377+29,408$13,952
Wells Fargo & Co. 267,512 +2,630 $13,493
     WFC267,512+2,630$13,493
Bank of New York Mellon Corp 288,001 +12,164 $13,021
     BK288,001+12,164$13,021
Colgate Palmolive 155,655 +1,048 $11,442
     CL155,655+1,048$11,442
Mondelez Intl Inc. 204,215 +757 $11,297
     MDLZ204,215+757$11,297
Carnival Corp 253,597 +22,185 $11,084
     CCL253,597+22,185$11,084
UnitedHealth Group Inc. 38,733 +1,794 $8,417
     UNH38,733+1,794$8,417
Hanesbrands Inc. 546,420 +18,230 $8,371
     HBI546,420+18,230$8,371
Clorox Company 40,057 -200 $6,083
     CLX40,057-200$6,083
DuPont 83,228 +5,544 $5,935
     DD83,228+5,544$5,935
Union Pacific Corp 34,098 -1,194 $5,523
     UNP34,098-1,194$5,523
Walt Disney Company 41,772 +28,409 $5,444
     DIS41,772+28,409$5,444
Schlumberger Ltd. 136,175 -5,510 $4,653
     SLB136,175-5,510$4,653
Exxon Mobil Corp 58,776 -2,588 $4,150
     XOM58,776-2,588$4,150
Intl Business Machines Corp 26,034 -10,197 $3,786
     IBM26,034-10,197$3,786
Amgen Inc. 13,412 +4,531 $2,595
     AMGN13,412+4,531$2,595
Paccar Inc. 26,700 UNCH $1,869
     PCAR26,700UNCH$1,869
Oracle Corp 33,740 UNCH $1,857
     ORCL33,740UNCH$1,857
McDonald s Corp 7,176 -25 $1,541
     MCD7,176-25$1,541
Pfizer Inc. 40,069 -3,172 $1,440
     PFE40,069-3,172$1,440
Qualcomm Inc 17,000 UNCH $1,297
     QCOM17,000UNCH$1,297
Grainger W.W. Inc. 3,985 -150 $1,184
     GWW3,985-150$1,184
General Electric 127,505 -6,300 $1,140
     GE127,505-6,300$1,140
Berkshire Hathaway Cl B      $1,124
     BRK.B5,404-50$1,124
AbbVie Inc. 14,604 -225 $1,106
     ABBV14,604-225$1,106
Amcor plc 108,398 -10,808 $1,057
     AMCR108,398-10,808$1,057
American Growth Fd of America      $1,016
     COM STK20,631UNCH$1,016
Bristol Myers Squibb Co. 19,785 +58 $1,003
     BMY19,785+58$1,003
Vanguard Stock Market Index      $973
     COM STK13,242+13,242$973
Pepsico Inc. 6,888 -600 $944
     PEP6,888-600$944
American Express 7,961 -50 $942
     AXP7,961-50$942

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 09/30/2019: $572,447
At 06/30/2019: $556,934

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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