HoldingsChannel.com
All Stocks Held By Beech Hill Advisors Inc.
As of  03/31/2024, we find all stocks held by Beech Hill Advisors Inc. to be as follows, presented in the table below with each row detailing each Beech Hill Advisors Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Beech Hill Advisors Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Beech Hill Advisors Inc. as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
AMAZON COM INC 60,970 +8,270 $10,998
     AMZN60,970+8,270$10,998
ALPHABET INC 64,325 +1,760 $9,709
     GOOGL64,325+1,760$9,709
APPLE INC 50,331 -1,347 $8,631
     AAPL50,331-1,347$8,631
META PLATFORMS INC 17,650 -474 $8,570
     META17,650-474$8,570
UBER TECHNOLOGIES INC 102,173 -1,100 $7,866
     UBER102,173-1,100$7,866
EATON CORP PLC 24,572 -374 $7,683
     ETN24,572-374$7,683
APPLIED MATLS INC 35,575 -1,170 $7,337
     AMAT35,575-1,170$7,337
MICROSOFT CORP 15,260 +670 $6,420
     MSFT15,260+670$6,420
DISNEY WALT CO 44,607 +1,221 $5,458
     DIS44,607+1,221$5,458
QUALCOMM INC 31,678 -1,615 $5,363
     QCOM31,678-1,615$5,363
ABBVIE INC 29,407 +35 $5,355
     ABBV29,407+35$5,355
MERCK & CO INC 38,152 +535 $5,034
     MRK38,152+535$5,034
TJX COS INC NEW 48,360 -50 $4,905
     TJX48,360-50$4,905
FIRST SOLAR INC 27,201 +4,654 $4,592
     FSLR27,201+4,654$4,592
GE HEALTHCARE TECHNOLOGIES I 49,741 +817 $4,522
     GEHC49,741+817$4,522
EXPEDIA GROUP INC 31,855 +1,035 $4,388
     EXPE31,855+1,035$4,388
BROADCOM INC 3,132 -270 $4,152
     AVGO3,132-270$4,152
VISA INC 14,685 -191 $4,098
     V14,685-191$4,098
MEDTRONIC PLC 46,092 -172 $4,017
     MDT46,092-172$4,017
STARBUCKS CORP 43,703 +23,820 $3,994
     SBUX43,703+23,820$3,994
JPMORGAN CHASE & CO 19,751 +2,720 $3,956
     JPM19,751+2,720$3,956
HOME DEPOT INC 10,012 -45 $3,841
     HD10,012-45$3,841
NEXTERA ENERGY INC 59,944 +37,729 $3,831
     NEE59,944+37,729$3,831
SALESFORCE INC 12,504 -85 $3,766
     CRM12,504-85$3,766
ORACLE CORP 29,788 +26,288 $3,742
     ORCL29,788+26,288$3,742
DIGITAL RLTY TR INC 25,658 -133 $3,696
     DLR25,658-133$3,696
NETFLIX INC 6,040 -70 $3,668
     NFLX6,040-70$3,668
EXACT SCIENCES CORP 51,711 +386 $3,571
     EXAS51,711+386$3,571
CHART INDS INC 21,130 +1,200 $3,481
     GTLS21,130+1,200$3,481
BLACKSTONE INC 26,240 +1,220 $3,447
     BX26,240+1,220$3,447
INTERNATIONAL BUSINESS MACHS 16,746 +230 $3,198
     IBM16,746+230$3,198
COCA COLA CO 52,194 +1,721 $3,193
     KO52,194+1,721$3,193
JOHNSON & JOHNSON 19,831 +439 $3,137
     JNJ19,831+439$3,137
PFIZER INC 106,078 +8,256 $2,944
     PFE106,078+8,256$2,944
PROCTER AND GAMBLE CO 18,082 +5 $2,934
     PG18,082+5$2,934
KRAFT HEINZ CO 77,590 +3,602 $2,863
     KHC77,590+3,602$2,863
VICI PPTYS INC 95,726 +4,391 $2,852
     VICI95,726+4,391$2,852
AUTOMATIC DATA PROCESSING IN 10,480 -1,000 $2,617
     ADP10,480-1,000$2,617
SELECT SECTOR SPDR TR (XLK) 12,321 +7,971 $2,566
     XLK12,321+7,971$2,566
PAYPAL HLDGS INC 35,448 +824 $2,375
     PYPL35,448+824$2,375
WALMART INC 39,148 +26,130 $2,356
     WMT39,148+26,130$2,356
AMERICAN TOWER CORP NEW 11,784 +669 $2,328
     AMT11,784+669$2,328
KENVUE INC 107,975 -345 $2,317
     KVUE107,975-345$2,317
FREEPORT MCMORAN INC 48,750 +1,550 $2,292
     FCX48,750+1,550$2,292
MCDONALDS CORP 7,705 +1,000 $2,173
     MCD7,705+1,000$2,173
FEDEX CORP 6,945 -350 $2,012
     FDX6,945-350$2,012
SELECT SECTOR SPDR TR (XLY) 10,172 +10,172 $1,871
     XLY10,172+10,172$1,871
BOEING CO 9,632 +155 $1,859
     BA9,632+155$1,859
NIKE INC 19,445 +19,445 $1,827
     NKE19,445+19,445$1,827
ALIGN TECHNOLOGY INC 5,545 -55 $1,818
     ALGN5,545-55$1,818
BERKSHIRE HATHAWAY INC DEL      $1,756
     BRK.B4,175-600$1,756
CATERPILLAR INC 4,350 +100 $1,594
     CAT4,350+100$1,594
WILLIAMS COS INC 37,060 +385 $1,444
     WMB37,060+385$1,444
SPDR SER TR (BIL) 15,356 +3,631 $1,410
     BIL15,356+3,631$1,410
DUKE ENERGY CORP NEW 13,894 +1,440 $1,344
     DUK13,894+1,440$1,344
ABBOTT LABS 11,400 UNCH $1,296
     ABT11,400UNCH$1,296
SELECT SECTOR SPDR TR (XLV) 8,535 +5,569 $1,261
     XLV8,535+5,569$1,261
CLEVELAND CLIFFS INC NEW 53,150 UNCH $1,209
     CLF53,150UNCH$1,209
GILEAD SCIENCES INC 15,047 +585 $1,102
     GILD15,047+585$1,102
SELECT SECTOR SPDR TR (XLC) 13,452 +4,456 $1,098
     XLC13,452+4,456$1,098
BRISTOL MYERS SQUIBB CO 19,118 +291 $1,037
     BMY19,118+291$1,037
PUBLIC SVC ENTERPRISE GRP IN 14,250 +445 $952
     PEG14,250+445$952
CHUBB LIMITED 3,610 UNCH $935
     CB3,610UNCH$935
ILLUMINA INC 5,922 -85 $813
     ILMN5,922-85$813
GOLDMAN SACHS GROUP INC 1,900 UNCH $794
     GS1,900UNCH$794
SPDR S&P 500 ETF TR (SPY) 1,420 +1,420 $743
     SPY1,420+1,420$743
LINDE PLC 1,505 UNCH $699
     LIN1,505UNCH$699
GENERAL MTRS CO 15,000 -600 $680
     GM15,000-600$680
SPDR SER TR (XBI) 6,468 +1,616 $614
     XBI6,468+1,616$614
AMGEN INC 2,150 UNCH $611
     AMGN2,150UNCH$611
BANK AMERICA CORP 16,050 UNCH $609
     BAC16,050UNCH$609
WYNN RESORTS LTD 5,950 UNCH $608
     WYNN5,950UNCH$608
COSTCO WHSL CORP NEW 755 -100 $553
     COST755-100$553
EXXON MOBIL CORP 4,517 +175 $525
     XOM4,517+175$525
ISHARES TR (IWF) 1,546 UNCH $521
     IWF1,546UNCH$521
HOWARD HUGHES HOLDINGS INC 6,650 +350 $483
     HHH6,650+350$483
ALPHABET INC 3,160 -20 $481
     GOOG3,160-20$481
ISHARES TR (ICLN) 33,570 +10,222 $469
     ICLN33,570+10,222$469
VANGUARD INDEX FDS (VTI) 1,672 +1,672 $435
     VTI1,672+1,672$435
NORFOLK SOUTHN CORP 1,604 UNCH $409
     NSC1,604UNCH$409
CSX CORP 10,933 UNCH $405
     CSX10,933UNCH$405
CVS HEALTH CORP 5,000 -250 $399
     CVS5,000-250$399
UNION PAC CORP 1,600 UNCH $393
     UNP1,600UNCH$393
BLACKBERRY LTD 142,200 -5,750 $392
     BB142,200-5,750$392
DOMINION ENERGY INC 7,708 -200 $379
     D7,708-200$379
COTY INC 31,300 UNCH $374
     COTY31,300UNCH$374
TARGET CORP 1,906 -1,000 $338
     TGT1,906-1,000$338
WELLTOWER INC 3,250 UNCH $304
     WELL3,250UNCH$304
SPDR SER TR (FLRN) 9,744 +9,744 $300
     FLRN9,744+9,744$300
ISHARES TR (IWD) 1,474 -430 $264
     IWD1,474-430$264
ZOETIS INC 1,496 -68 $253
     ZTS1,496-68$253
SERVICE CORP INTL 2,982 +2,982 $221
     SCI2,982+2,982$221
SELECT SECTOR SPDR TR (XLRE) 5,288 +5,288 $209
     XLRE5,288+5,288$209
PEPSICO INC 1,190 UNCH $208
     PEP1,190UNCH$208
PARAMOUNT GLOBAL 10,650 +0 $125
     PARA10,650UNCH$125
CUMMINS INC $0 (exited)
     CMI0-8,867$0
HUMANA INC $0 (exited)
     HUM0-8,904$0
TESLA INC 0 -1,005 $0 (exited)
     TSLA0-1,005$0

See Summary: Beech Hill Advisors Inc. Top Holdings
See Details: Top 10 Stocks Held By Beech Hill Advisors Inc.

EntityShares/Amount
Change
Position Value
Change
XLY +10,172+$1,871
NKE +19,445+$1,827
SPY +1,420+$743
VTI +1,672+$435
FLRN +9,744+$300
SCI +2,982+$221
XLRE +5,288+$209
EntityShares/Amount
Change
Position Value
Change
HUM -8,904-$4,076
CMI -8,867-$2,124
TSLA -1,005-$250
EntityShares/Amount
Change
Position Value
Change
NEE +37,729+$2,482
ORCL +26,288+$3,373
WMT +26,130+$304
SBUX +23,820+$2,085
ICLN +10,222+$105
AMZN +8,270+$2,991
PFE +8,256+$128
XLK +7,971+$1,729
XLV +5,569+$856
FSLR +4,654+$708
EntityShares/Amount
Change
Position Value
Change
BB -5,750-$132
QCOM -1,615+$548
AAPL -1,347-$1,319
AMAT -1,170+$1,382
UBER -1,100+$1,507
TGT -1,000-$76
ADP -1,000-$57
GM -600+$120
BRK -600+$53
Size ($ in 1000's)
At 03/31/2024: $240,672
At 12/31/2023: $206,732

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

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