HoldingsChannel.com
Vestcor Investment Management Corp Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
HEICO CORP NEW      $57,137
     HEI.A638,183+638,183$57,137
AMERICAN TOWER CORP NEW 99,139 +99,139 $22,784
     AMT99,139+99,139$22,784
ISHARES TR (INDA) 645,918 +645,918 $22,704
     INDA645,918+645,918$22,704
ISHARES INC (EEMV) 380,146 +380,146 $22,307
     EEMV380,146+380,146$22,307
APPLE INC 72,425 +72,425 $21,268
     AAPL72,425+72,425$21,268
MICROSOFT CORP 132,287 +132,287 $20,862
     MSFT132,287+132,287$20,862
NEWMONT GOLDCORP CORPORATION 476,928 +476,928 $20,723
     NEM476,928+476,928$20,723
DISNEY WALT CO 116,548 +116,548 $16,856
     DIS116,548+116,548$16,856
LENNAR CORP      $16,653
     LEN.B366,494+366,494$16,382
     LEN4,853+4,853$271
BROOKFIELD BUSINESS PARTNERS 400,438 +400,438 $16,530
     BBU400,438+400,438$16,530
VISA INC 86,538 +86,538 $16,260
     V86,538+86,538$16,260
WHEATON PRECIOUS METALS CORP 534,502 +534,502 $15,901
     WPM534,502+534,502$15,901
PROCTER & GAMBLE CO 127,227 +127,227 $15,891
     PG127,227+127,227$15,891
JOHNSON & JOHNSON 108,889 +108,889 $15,884
     JNJ108,889+108,889$15,884
MASTERCARD INC 49,036 +49,036 $14,642
     MA49,036+49,036$14,642
ALLERGAN PLC 76,244 +76,244 $14,576
     AGN76,244+76,244$14,576
MERCK & CO INC 155,344 +155,344 $14,129
     MRK155,344+155,344$14,129
HOME DEPOT INC 63,177 +63,177 $13,797
     HD63,177+63,177$13,797
AT&T INC 347,813 +347,813 $13,593
     T347,813+347,813$13,593
AMAZON COM INC 7,222 +7,222 $13,345
     AMZN7,222+7,222$13,345
CONSOLIDATED EDISON INC 147,376 +147,376 $13,333
     ED147,376+147,376$13,333
PEPSICO INC 96,289 +96,289 $13,160
     PEP96,289+96,289$13,160
EVERSOURCE ENERGY 153,363 +153,363 $13,047
     ES153,363+153,363$13,047
COCA COLA CO 234,877 +234,877 $13,000
     KO234,877+234,877$13,000
MEDTRONIC PLC 114,565 +114,565 $12,997
     MDT114,565+114,565$12,997
DISCOVERY INC 418,376 +418,376 $12,756
     DISCK418,376+418,376$12,756
WASTE CONNECTIONS INC 140,500 +140,500 $12,756
     WCN140,500+140,500$12,756
ISHARES TR (SHV) 115,000 +115,000 $12,703
     SHV115,000+115,000$12,703
PUBLIC STORAGE 56,361 +56,361 $12,003
     PSA56,361+56,361$12,003
WALMART INC 99,818 +99,818 $11,862
     WMT99,818+99,818$11,862
VERIZON COMMUNICATIONS INC 190,775 +190,775 $11,714
     VZ190,775+190,775$11,714
MCDONALDS CORP 58,364 +58,364 $11,533
     MCD58,364+58,364$11,533
ENTERGY CORP NEW 96,187 +96,187 $11,523
     ETR96,187+96,187$11,523
PFIZER INC 293,930 +293,930 $11,516
     PFE293,930+293,930$11,516
VANGUARD INDEX FDS (VNQ) 124,000 +124,000 $11,506
     VNQ124,000+124,000$11,506
REALTY INCOME CORP 155,897 +155,897 $11,479
     O155,897+155,897$11,479
ACCENTURE PLC IRELAND 54,195 +54,195 $11,412
     ACN54,195+54,195$11,412
VICI PPTYS INC 444,524 +444,524 $11,358
     VICI444,524+444,524$11,358
LILLY ELI & CO 86,230 +86,230 $11,333
     LLY86,230+86,230$11,333
EQUITY RESIDENTIAL 139,695 +139,695 $11,304
     EQR139,695+139,695$11,304
SYNOPSYS INC 80,248 +80,248 $11,171
     SNPS80,248+80,248$11,171
DUKE ENERGY CORP NEW 121,112 +121,112 $11,047
     DUK121,112+121,112$11,047
SYSCO CORP 127,825 +127,825 $10,934
     SYY127,825+127,825$10,934
NEXTERA ENERGY INC 44,753 +44,753 $10,837
     NEE44,753+44,753$10,837
COSTCO WHSL CORP NEW 36,734 +36,734 $10,797
     COST36,734+36,734$10,797
WELLCARE HEALTH PLANS INC 32,435 +32,435 $10,710
     WCG32,435+32,435$10,710
CITRIX SYS INC 96,391 +96,391 $10,690
     CTXS96,391+96,391$10,690
EVERGY INC 163,280 +163,280 $10,628
     EVRG163,280+163,280$10,628
AON PLC 50,916 +50,916 $10,605
     AON50,916+50,916$10,605
HERSHEY CO 71,870 +71,870 $10,563
     HSY71,870+71,870$10,563

See Full List: All Stocks Held By Vestcor Investment Management Corp
— Including:
     • Biggest new positions
     • Biggest exits

See Details: Top 10 Stocks Held By Vestcor Investment Management Corp

Size ($ in 1000's)
At 12/31/2019: $2,128,838
At 09/30/2019: $0

Vestcor Investment Management Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Vestcor Investment Management Corp 13F filings. Link to 13F filings: SEC filings

Vestcor Investment Management Corp Top Holdings 13F Filings | www.HoldingsChannel.com

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