HoldingsChannel.com
Tower View Investment Management & Research LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
SPDR Mid Cap (MDY) 16,550 +669 $5,834
     MDY16,550+669$5,834
iShares Russell 3000 (IWV) 29,915 -1,154 $5,198
     IWV29,915-1,154$5,198
S&P 500 14,759 -188 $4,380
     SPY14,759-188$4,380
Vanguard Small Growth (VBK) 23,739 +466 $4,321
     VBK23,739+466$4,321
Nestle ADR 35,565 +360 $3,855
     NSRGY35,565+360$3,855
Pepsico 26,660 +630 $3,655
     PEP26,660+630$3,655
Visa Inc 19,590 +102 $3,370
     V19,590+102$3,370
Home Depot Inc 13,838 +278 $3,211
     HD13,838+278$3,211
Marsh & McLennan 31,670 +658 $3,169
     MMC31,670+658$3,169
United Technologies 22,751 +495 $3,106
     UTX22,751+495$3,106
Edwards Lifesciences 13,384 +5 $2,943
     EW13,384+5$2,943
Kansas City Southern 21,372 +153 $2,843
     KSU21,372+153$2,843
Amazon.com 1,629 +27 $2,828
     AMZN1,629+27$2,828
Lockheed Martin Corp 7,172 +157 $2,798
     LMT7,172+157$2,798
Eli Lilly & Company 24,806 +260 $2,774
     LLY24,806+260$2,774
Vanguard Growth Stocks (VUG) 16,413 +17 $2,729
     VUG16,413+17$2,729
Adobe Systems Inc 9,671 +110 $2,672
     ADBE9,671+110$2,672
Paypal Holdings Inc 25,340 +635 $2,625
     PYPL25,340+635$2,625
L3Harris Technologies 12,544 -2,681 $2,617
     LHX12,544-2,681$2,617
Merck & Co Inc      $2,613
     Equities31,042+807$2,613
Boeing Co 6,809 +115 $2,591
     BA6,809+115$2,591
Apple Inc 11,539 +43 $2,584
     AAPL11,539+43$2,584
Constellation Brands 11,704 +203 $2,426
     STZ11,704+203$2,426
Elbit Systems Ltd 13,681 +105 $2,254
     ESLT13,681+105$2,254
Microsoft Corp 15,978 +575 $2,221
     MSFT15,978+575$2,221
Alphabet Inc. 1,766 +12 $2,153
     GOOG1,766+12$2,153
LVMH Moet ADR      $2,142
     Equities26,995+880$2,142
Starbucks 23,409 -34 $2,070
     SBUX23,409-34$2,070
L Oreal ADR      $2,068
     Equities36,990+1,425$2,068
UnitedHealth Group 9,161 +292 $1,991
     UNH9,161+292$1,991
Stryker Corp 9,042 +21 $1,956
     SYK9,042+21$1,956
Intuitive Surgical 3,094 +73 $1,671
     ISRG3,094+73$1,671
Vanguard Small Cap (VB) 10,665 +182 $1,641
     VB10,665+182$1,641
Delta Air Lines Inc 27,499 +6,739 $1,584
     DAL27,499+6,739$1,584
Vanguard Dividend Growth (VIG) 13,023 -399 $1,557
     VIG13,023-399$1,557
Leidos Holdings Inc 16,163 +16,163 $1,388
     LDOS16,163+16,163$1,388
Xilinx Inc 14,275 +603 $1,369
     XLNX14,275+603$1,369
Alphabet Inc. 1,080 +10 $1,319
     GOOGL1,080+10$1,319
Nvidia Corp 6,868 -28 $1,196
     NVDA6,868-28$1,196
Vanguard High Div Yld (VYM) 13,046 -796 $1,158
     VYM13,046-796$1,158
IAC InterActive 4,858 -152 $1,059
     IAC4,858-152$1,059
Invesco QQQ NASDAQ      $908
     Equities4,811-323$908
Proto Labs Inc 8,775 -25 $896
     PRLB8,775-25$896
Berkshire Hathaway      $868
     Equities4,174+4,174$868
Axon Enterprise Inc 14,970 +615 $850
     AAXN14,970+615$850
MercadoLibre Inc 1,520 +47 $838
     MELI1,520+47$838
Vanguard Health Care (VHT) 4,838 -1,055 $811
     VHT4,838-1,055$811
Spotify Technology 6,821 +65 $778
     SPOT6,821+65$778
Netflix 2,770 +7 $741
     NFLX2,770+7$741
Total SA ADR 14,245 -10 $741
     TOT14,245-10$741

See Full List: All Stocks Held By Tower View Investment Management & Research LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Tower View Investment Management & Research LLC

Size ($ in 1000's)
At 09/30/2019: $121,163
At 06/30/2019: $117,207

Tower View Investment Management & Research LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Tower View Investment Management & Research LLC 13F filings. Link to 13F filings: SEC filings

Tower View Investment Management & Research LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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