HoldingsChannel.com
Westchester Capital Management Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corporation 88,867 -3,471 $14,015
     MSFT88,867-3,471$14,015
Apple Inc. 54,522 -1,888 $13,864
     AAPL54,522-1,888$13,864
Intel Corporation 230,176 -8,677 $12,457
     INTC230,176-8,677$12,457
Berkshire Hathaway Class B      $11,924
     BRK.B65,217-964$11,924
Lockheed Martin Corporation 30,896 -545 $10,472
     LMT30,896-545$10,472
Wal Mart Inc. 89,125 -3,538 $10,126
     WMT89,125-3,538$10,126
Cisco Systems Inc. 257,221 +1,985 $10,111
     CSCO257,221+1,985$10,111
Becton Dickinson & Company 42,352 -706 $9,731
     BDX42,352-706$9,731
Procter & Gamble 88,078 -511 $9,689
     PG88,078-511$9,689
Johnson & Johnson 73,813 -1,084 $9,679
     JNJ73,813-1,084$9,679
Waste Management Inc. 101,714 -1,774 $9,415
     WM101,714-1,774$9,415
Caterpillar Inc. 79,153 -1,250 $9,185
     CAT79,153-1,250$9,185
AbbVie Inc. 117,569 -1,397 $8,958
     ABBV117,569-1,397$8,958
McDonald s Corporation 52,800 +1,934 $8,730
     MCD52,800+1,934$8,730
JP Morgan Chase 88,578 +130 $7,975
     JPM88,578+130$7,975
Pfizer Inc. 234,291 +6,755 $7,647
     PFE234,291+6,755$7,647
CVS Health Corporation 124,726 +404 $7,400
     CVS124,726+404$7,400
Microchip Technology Inc. 108,462 -1,715 $7,354
     MCHP108,462-1,715$7,354
Zimmer Biomet Holdings Inc. 70,957 +3,407 $7,172
     ZBH70,957+3,407$7,172
Walt Disney Company 74,040 -889 $7,152
     DIS74,040-889$7,152
Alphabet Inc. Class A 5,882 -115 $6,835
     GOOGL5,882-115$6,835
The Bank of New York Mellon Corporation 191,684 +8,085 $6,456
     BK191,684+8,085$6,456
Exxon Mobil Corporation 135,371 +3,830 $5,140
     XOM135,371+3,830$5,140
Valero Energy Corporation 107,960 +5,993 $4,897
     VLO107,960+5,993$4,897
Conagra Brands Inc. 66,867 +14,455 $1,962
     CAG66,867+14,455$1,962
Boeing Company 12,930 +260 $1,928
     BA12,930+260$1,928
General Electric Company 207,234 -3,725 $1,645
     GE207,234-3,725$1,645
AT&T 26,018 +250 $758
     T26,018+250$758
Coca Cola Company 3,969 UNCH $176
     KO3,969UNCH$176
Roche Holdings ADR 4,000 UNCH $162
     RHHBY4,000UNCH$162
Chevron Corporation 2,110 UNCH $153
     CVX2,110UNCH$153
3M Company 1,000 UNCH $137
     MMM1,000UNCH$137
American Express Company 1,083 UNCH $93
     AXP1,083UNCH$93
Lowe s Companies Inc. 1,000 UNCH $86
     LOW1,000UNCH$86
Verizon Communications 1,325 +400 $71
     VZ1,325+400$71
Synchrony Financial 2,225 UNCH $36
     SYF2,225UNCH$36
Bristol Myers Squibb Company 587 UNCH $33
     BMY587UNCH$33
The Southern Company 400 +400 $22
     SO400+400$22
Duke Energy Corporation 250 +250 $20
     DUK250+250$20
U.S. Bancorp 430 +430 $15
     USB430+430$15
Seagate Technology PLC 240 +240 $12
     STX240+240$12
Deere & Company 82 UNCH $11
     DE82UNCH$11
Oracle Corporation 237 UNCH $11
     ORCL237UNCH$11
Vanguard S&P 500 ETF (VOO) 34 +34 $8
     VOO34+34$8
Citigroup Inc. 73 UNCH $3
     C73UNCH$3
Ford Motor Co 500 UNCH $2
     F500UNCH$2
Centurylink Inc. 75 +75 $1
     CTL75+75$1
Tesla Inc. 2 +2 $1
     TSLA2+2$1

See Full List: All Stocks Held By Westchester Capital Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Westchester Capital Management Inc.

Size ($ in 1000's)
At 03/31/2020: $223,730
At 12/31/2019: $286,972

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

Westchester Capital Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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