HoldingsChannel.com
All Stocks Held By Birinyi Associates Inc.
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Apple Inc 115,129 -4,646 $29,276
     AAPL115,129-4,646$29,276
Amazon.com Inc 12,277 -1,485 $23,937
     AMZN12,277-1,485$23,937
SPDR S&P 500 ETF Trust (SPY) 88,455 -10,300 $22,799
     SPY88,455-10,300$22,799
Mastercard Inc 60,868 -3,360 $14,703
     MA60,868-3,360$14,703
Alphabet Inc 11,413 -400 $13,261
     GOOGL11,413-400$13,261
Microsoft Corp 47,748 -2,590 $7,530
     MSFT47,748-2,590$7,530
Berkshire Hathaway Inc      $6,581
     BRK.A16UNCH$4,352
     BRK.B12,194-1,270$2,229
SPDR Dow Jones Industrial Average ETF Trust (DIA) 21,461 -3,440 $4,705
     DIA21,461-3,440$4,705
Booking Holdings Inc 3,418 -500 $4,598
     BKNG3,418-500$4,598
Lockheed Martin Corp 10,078 -500 $3,416
     LMT10,078-500$3,416
Procter & Gamble Co The 26,016 +2,925 $2,862
     PG26,016+2,925$2,862
Walmart Inc 24,800 -1,200 $2,818
     WMT24,800-1,200$2,818
JPMorgan Chase & Co 28,575 +100 $2,573
     JPM28,575+100$2,573
Netflix Inc 6,850 +1,000 $2,572
     NFLX6,850+1,000$2,572
Blackstone Group LP The      $2,496
     Common Stock54,775+4,000$2,496
Alphabet Inc 1,806 -185 $2,100
     GOOG1,806-185$2,100
salesforce.com Inc 14,050 +1,000 $2,023
     CRM14,050+1,000$2,023
Starbucks Corp 27,770 -1,150 $1,826
     SBUX27,770-1,150$1,826
Goldman Sachs Group Inc The 11,543 -1,000 $1,784
     GS11,543-1,000$1,784
McDonald s Corp 10,592 -570 $1,751
     MCD10,592-570$1,751
Home Depot Inc The 8,650 -870 $1,615
     HD8,650-870$1,615
Facebook Inc 9,650 -300 $1,610
     FB9,650-300$1,610
International Business Machines Corp 14,000 -8,550 $1,553
     IBM14,000-8,550$1,553
Health Care Select Sector SPDR Fund (XLV) 17,450 -4,700 $1,546
     XLV17,450-4,700$1,546
Adobe Inc 4,700 -3,200 $1,496
     ADBE4,700-3,200$1,496
Amgen Inc 6,827 -1,225 $1,384
     AMGN6,827-1,225$1,384
MSCI Inc 4,500 UNCH $1,300
     MSCI4,500UNCH$1,300
Visa Inc 6,950 -1,525 $1,120
     V6,950-1,525$1,120
Johnson & Johnson 7,700 -1,000 $1,010
     JNJ7,700-1,000$1,010
Unilever NV 19,938 -3,550 $973
     UN19,938-3,550$973
AutoZone Inc 1,050 -375 $888
     AZO1,050-375$888
Boeing Co The 5,650 -5,700 $843
     BA5,650-5,700$843
Caterpillar Inc 7,000 -5,500 $812
     CAT7,000-5,500$812
Motorola Solutions Inc 6,000 +250 $798
     MSI6,000+250$798
United Technologies Corp 7,585 -630 $715
     UTX7,585-630$715
Broadcom Inc 2,750 +570 $652
     AVGO2,750+570$652
Costco Wholesale Corp 2,250 -1,300 $642
     COST2,250-1,300$642
Verizon Communications Inc 10,750 -2,150 $578
     VZ10,750-2,150$578
Deere & Co 4,050 -850 $560
     DE4,050-850$560
Micron Technology Inc 13,000 -1,000 $547
     MU13,000-1,000$547
Lam Research Corp 2,250 +2,250 $540
     LRCX2,250+2,250$540
Altria Group Inc 13,850 -1,150 $536
     MO13,850-1,150$536
Ferrari NV      $534
     Common Stock3,500-3,000$534
Walt Disney Co The 5,493 UNCH $531
     DIS5,493UNCH$531
Advanced Micro Devices 10,600 -750 $482
     AMD10,600-750$482
ASML Holding NV      $476
     NY Reg Shrs1,818-1,000$476
iShares Russell 2000 ETF (IWM) 3,632 -250 $416
     IWM3,632-250$416
Chevron Corp 5,688 -6,120 $412
     CVX5,688-6,120$412
AllianceBernstein Holding LP 21,250 -2,000 $395
     AB21,250-2,000$395
Merck & Co Inc 5,100 +5,100 $392
     MRK5,100+5,100$392
UnitedHealth Group Inc 1,550 -20 $387
     UNH1,550-20$387
American Express Co 4,394 UNCH $376
     AXP4,394UNCH$376
Coca Cola Co The 8,250 -800 $365
     KO8,250-800$365
Palo Alto Networks Inc      $328
     Common Stock2,000-3,000$328
Chipotle Mexican Grill Inc 500 UNCH $327
     CMG500UNCH$327
Pfizer Inc 9,750 -4,250 $318
     PFE9,750-4,250$318
Invesco S&P 500 Equal Weight ETF (RSP) 3,533 +19 $297
     RSP3,533+19$297
Philip Morris International Inc 4,000 -1,000 $292
     PM4,000-1,000$292
NVR Inc 100 +100 $257
     NVR100+100$257
Intel Corp 4,700 UNCH $254
     INTC4,700UNCH$254
Intuitive Surgical 500 UNCH $248
     ISRG500UNCH$248
Bank of America Corp 11,100 -4,000 $236
     BAC11,100-4,000$236
Cisco Systems Inc 5,823 -900 $229
     CSCO5,823-900$229
Alibaba Group Holdings Ltd 1,100 +1,100 $214
     BABA1,100+1,100$214
NVIDIA Corp 800 +800 $211
     NVDA800+800$211
QUALCOMM Inc 3,000 -1,000 $203
     QCOM3,000-1,000$203
Agilent Technologies Inc $0 (exited)
     A0-3,250$0
Alaska Air Group Inc $0 (exited)
     ALK0-6,500$0
BlackRock Inc $0 (exited)
     BLK0-500$0
Citigroup Inc $0 (exited)
     C0-2,550$0
Carvana Co $0 (exited)
     CVNA0-2,500$0
CVS Health Corp $0 (exited)
     CVS0-5,500$0
Delta Air Lines Inc $0 (exited)
     DAL0-6,250$0
Edwards Lifesciences $0 (exited)
     EW0-2,600$0
iShares S&P 500 Value ETF $0 (exited)
     IVE0-2,850$0
People s United Financial Inc $0 (exited)
     PBCT0-10,000$0
T Rowe Price Group Inc $0 (exited)
     TROW0-2,500$0
United Airlines Holdings Inc $0 (exited)
     UAL0-7,250$0
Wells Fargo & Co $0 (exited)
     WFC0-5,795$0
Exxon Mobil Corp $0 (exited)
     XOM0-9,350$0
Zimmer Biomet Holdings Inc 0 -2,000 $0 (exited)
     ZBH0-2,000$0

See Summary: Birinyi Associates Inc. Top Holdings
See Details: Top 10 Stocks Held By Birinyi Associates Inc.

EntityShares/Amount
Change
Position Value
Change
LRCX +2,250+$540
MRK +5,100+$392
NVR +100+$257
BABA +1,100+$214
NVDA +800+$211
EntityShares/Amount
Change
Position Value
Change
XOM -9,350-$652
UAL -7,250-$639
EW -2,600-$607
ALK -6,500-$440
CVS -5,500-$409
IVE -2,850-$371
DAL -6,250-$366
WFC -5,795-$312
TROW -2,500-$305
ZBH -2,000-$299
EntityShares/Amount
Change
Position Value
Change
Blackstone Group LP The +4,000-$344
PG +2,925-$22
NFLX +1,000+$679
CRM +1,000-$99
AVGO +570-$37
MSI +250-$129
JPM +100-$1,396
RSP +19-$110
MSCI UNCH+$138
DIS UNCH-$263
EntityShares/Amount
Change
Position Value
Change
SPY -10,300-$8,985
IBM -8,550-$1,470
CVX -6,120-$1,011
BA -5,700-$2,854
CAT -5,500-$1,034
XLV -4,700-$710
AAPL -4,646-$5,896
PFE -4,250-$231
BAC -4,000-$296
Size ($ in 1000's)
At 03/31/2020: $183,509
At 12/31/2019: $241,534

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

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