HoldingsChannel.com
All Stocks Held By Boston Research & Management Inc.
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp 63,883 -2,764 $10,074
     MSFT63,883-2,764$10,074
iShares Core S&P 500 ETF (IVV) 30,471 +8,430 $7,873
     IVV30,471+8,430$7,873
Mastercard Inc. 23,098 -1,781 $5,579
     MA23,098-1,781$5,579
Wal Mart Stores 47,845 -726 $5,436
     WMT47,845-726$5,436
Cisco Systems Inc. 137,679 +405 $5,412
     CSCO137,679+405$5,412
Fastenal Co 161,230 -5,161 $5,038
     FAST161,230-5,161$5,038
General Mills Inc Com 95,449 -81 $5,036
     GIS95,449-81$5,036
Apple Inc. 19,345 -7,452 $4,919
     AAPL19,345-7,452$4,919
Intel Corp 90,055 -26,675 $4,873
     INTC90,055-26,675$4,873
Abbott Laboratories 60,381 -356 $4,764
     ABT60,381-356$4,764
Procter & Gamble Co 42,544 -593 $4,679
     PG42,544-593$4,679
AbbVie Inc. 57,931 -777 $4,413
     ABBV57,931-777$4,413
Pepsi Co Inc 36,661 -1,782 $4,403
     PEP36,661-1,782$4,403
Accenture PLC 26,328 -845 $4,298
     ACN26,328-845$4,298
Xylem Inc. 66,005 -1,386 $4,298
     XYL66,005-1,386$4,298
McDonald s Corp 24,969 -448 $4,128
     MCD24,969-448$4,128
Tractor Supply Co 47,536 +327 $4,019
     TSCO47,536+327$4,019
Medtronic Plc 44,336 -280 $3,998
     MDT44,336-280$3,998
iShares Core S&P SmallCap ETF (IJR) 70,526 +2,298 $3,957
     IJR70,526+2,298$3,957
Berkshire Hathaway Inc. Class      $3,825
     BRK.B20,922-426$3,825
Colgate Palmolive Company 57,536 -904 $3,818
     CL57,536-904$3,818
Verizon Communications 70,773 +817 $3,802
     VZ70,773+817$3,802
Alphabet Inc. Class A 3,234 -166 $3,757
     GOOGL3,234-166$3,757
Merck & Co. Inc. 48,531 +192 $3,733
     MRK48,531+192$3,733
CVS Health Corp 62,917 -400 $3,732
     CVS62,917-400$3,732
Comcast Corp Cl A Vtg 103,129 -2,221 $3,545
     CMCSA103,129-2,221$3,545
iShares Core MSCI Emerging Mar (IEMG) 82,246 -11,314 $3,328
     IEMG82,246-11,314$3,328
United Parcel Services 35,006 -1,114 $3,270
     UPS35,006-1,114$3,270
Coca Cola Company 70,188 -16,613 $3,105
     KO70,188-16,613$3,105
CH Robinson Worldwide Inc 46,331 -1,697 $3,067
     CHRW46,331-1,697$3,067
Walt Disney Co. 30,947 -273 $2,989
     DIS30,947-273$2,989
Linde PLC 17,240 -400 $2,982
     LIN17,240-400$2,982
Laboratory CP Amer Hldgs 23,195 -741 $2,931
     LH23,195-741$2,931
3M Co 20,630 -1,738 $2,816
     MMM20,630-1,738$2,816
iShares Core MSCI EAFE ETF (IEFA) 49,533 -11,809 $2,471
     IEFA49,533-11,809$2,471
iShares Russell 2000 Index Fun (IWM) 21,542 -548 $2,465
     IWM21,542-548$2,465
Bank of New York Mellon Corp. 72,088 -5,249 $2,427
     BK72,088-5,249$2,427
Western Union Company 125,241 -38,579 $2,270
     WU125,241-38,579$2,270
Omnicom Group Inc Com 39,406 -8,041 $2,163
     OMC39,406-8,041$2,163
iShares iBoxx High Yield Corp (HYG) 24,501 +340 $1,888
     HYG24,501+340$1,888
US Bancorp 53,737 -13,108 $1,851
     USB53,737-13,108$1,851
VanEck Vectors Biotech ETF (BBH) 14,443 +298 $1,848
     BBH14,443+298$1,848
SPDR S&P 500 ETF (SPY) 7,152 UNCH $1,843
     SPY7,152UNCH$1,843
iShares Comex Gold Trust (IAU) 118,120 -1,600 $1,780
     IAU118,120-1,600$1,780
Home Depot Inc. 9,495 -100 $1,772
     HD9,495-100$1,772
Exxon Mobil Corp. 42,598 -18,495 $1,617
     XOM42,598-18,495$1,617
Vanguard Total Stock Market ET (VTI) 12,380 UNCH $1,595
     VTI12,380UNCH$1,595
Vanguard Small Cap ETF (VB) 12,367 -3,154 $1,427
     VB12,367-3,154$1,427
iShares Nasdaq Biotechnology I (IBB) 13,009 -425 $1,401
     IBB13,009-425$1,401
ConocoPhillips 40,620 -21,801 $1,251
     COP40,620-21,801$1,251
Johnson & Johnson 9,525 +50 $1,249
     JNJ9,525+50$1,249
AMEX Energy Sector SPDR (XLE) 39,900 +28,245 $1,159
     XLE39,900+28,245$1,159
AT&T Corp 33,385 -657 $973
     T33,385-657$973
Cintas Corporation 5,530 UNCH $957
     CTAS5,530UNCH$957
Alphabet Inc. Class C 793 -8 $922
     GOOG793-8$922
Nextera Energy Inc. 3,570 UNCH $859
     NEE3,570UNCH$859
Vanguard FTSE All World Ex US (VEU) 20,109 +8,760 $824
     VEU20,109+8,760$824
Chevron Corp 10,830 +398 $784
     CVX10,830+398$784
J.P. Morgan Chase & Co. 8,126 -437 $731
     JPM8,126-437$731
Stryker Corp 4,354 -180 $724
     SYK4,354-180$724
Pfizer Inc. 20,172 UNCH $658
     PFE20,172UNCH$658
iShares Core S&P Midcap ETF (IJH) 4,564 -2,852 $656
     IJH4,564-2,852$656
Duke Energy Corp. 7,859 UNCH $635
     DUK7,859UNCH$635
Eli Lilly & Co 4,473 UNCH $620
     LLY4,473UNCH$620
Oracle Corp. 11,694 +130 $565
     ORCL11,694+130$565
Vanguard Europe Pacific ETF (VEA) 16,845 -7,178 $561
     VEA16,845-7,178$561
iShares S&P Growth Allocation (AOR) 12,937 -290 $535
     AOR12,937-290$535
Bristol Myers Squibb Company 8,970 -460 $499
     BMY8,970-460$499
Intl Business Machines Corp 4,393 -90 $487
     IBM4,393-90$487
Paychex Inc. 7,755 UNCH $487
     PAYX7,755UNCH$487
Boston Properties Inc. 4,850 UNCH $447
     BXP4,850UNCH$447
Kimberly Clark Corp 3,185 UNCH $407
     KMB3,185UNCH$407
Caterpillar 3,422 UNCH $397
     CAT3,422UNCH$397
iShares Core Total US Bond Mar (AGG) 3,424 +5 $395
     AGG3,424+5$395
Illinois Tool Works 2,670 UNCH $379
     ITW2,670UNCH$379
Sysco Corp 8,190 UNCH $373
     SYY8,190UNCH$373
Danaher Corp. 2,388 UNCH $330
     DHR2,388UNCH$330
Yum Brands Inc. 4,638 UNCH $317
     YUM4,638UNCH$317
PPG Industries 3,700 UNCH $309
     PPG3,700UNCH$309
Waste Management Inc. 3,090 -490 $286
     WM3,090-490$286
Vanguard Emerging Markets VIPE (VWO) 8,014 -10,957 $268
     VWO8,014-10,957$268
Southern Co 4,710 UNCH $254
     SO4,710UNCH$254
Emerson Electric Co 5,100 UNCH $243
     EMR5,100UNCH$243
Amgen Inc. 1,180 UNCH $239
     AMGN1,180UNCH$239
Clorox Company 1,375 UNCH $238
     CLX1,375UNCH$238
Boeing Co 1,571 UNCH $234
     BA1,571UNCH$234
Marsh & McLennan Companies In 2,620 UNCH $226
     MMC2,620UNCH$226
United Technologies Corp 2,312 -31,348 $218
     UTX2,312-31,348$218
UnitedHealth Group Inc 818 UNCH $203
     UNH818UNCH$203
Qualcomm Inc. 2,960 UNCH $200
     QCOM2,960UNCH$200
FireEye Inc. 18,900 UNCH $199
     FEYE18,900UNCH$199
General Electric Company 20,843 +1,700 $165
     GE20,843+1,700$165
Genuine Parts $0 (exited)
     GPC0-2,390$0
Hubbell Incorporated $0 (exited)
     HUBB0-1,530$0
iShares US Financials ETF $0 (exited)
     IYF0-4,320$0
The Mosaic Company $0 (exited)
     MOS0-80,050$0
Texas Instruments $0 (exited)
     TXN0-2,060$0
V F Corp $0 (exited)
     VFC0-3,120$0
Wisconsin Energy Group Inc. $0 (exited)
     WEC0-2,378$0
Wells Fargo & Co. $0 (exited)
     WFC0-5,945$0
Yum China Holding Inc. 0 -4,320 $0 (exited)
     YUMC0-4,320$0

See Summary: Boston Research & Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Boston Research & Management Inc.

EntityShares/Amount
Change
Position Value
Change
MOS -80,050-$1,732
IYF -4,320-$595
WFC -5,945-$319
VFC -3,120-$310
TXN -2,060-$264
GPC -2,390-$253
HUBB -1,530-$226
WEC -2,378-$219
YUMC -4,320-$207
EntityShares/Amount
Change
Position Value
Change
XLE +28,245+$460
VEU +8,760+$214
IVV +8,430+$749
IJR +2,298-$1,763
GE +1,700-$48
VZ +817-$493
CSCO +405-$1,171
CVX +398-$473
HYG +340-$236
TSCO +327-$392
EntityShares/Amount
Change
Position Value
Change
WU -38,579-$2,117
UTX -31,348-$4,822
INTC -26,675-$2,113
COP -21,801-$2,808
XOM -18,495-$2,646
KO -16,613-$1,699
USB -13,108-$2,112
IEFA -11,809-$1,530
IEMG -11,314-$1,701
Size ($ in 1000's)
At 03/31/2020: $199,178
At 12/31/2019: $266,579

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

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