HoldingsChannel.com
All Stocks Held By Davis R M Inc.
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
Apple Inc 382,379 -13,237 $112,286
     AAPL382,379-13,237$112,286
iShares Russell 3000 ETF (IWV) 485,735 UNCH $91,556
     IWV485,735UNCH$91,556
American Tower Corp 365,514 -1,306 $84,002
     AMT365,514-1,306$84,002
Walt Disney Co 441,590 +6,714 $63,867
     DIS441,590+6,714$63,867
Danaher Corp 403,900 -5,275 $61,991
     DHR403,900-5,275$61,991
Alphabet Inc A 46,096 -201 $61,741
     GOOGL46,096-201$61,741
Vanguard FTSE Dev Mkts ETF (VEA) 1,399,200 +972 $61,649
     VEA1,399,200+972$61,649
Microchip Technology Inc 565,022 -2,856 $59,169
     MCHP565,022-2,856$59,169
Berkshire Hathaway Inc B      $57,621
     BRK.B251,399-3,517$56,942
     BRK.A2UNCH$679
American Water Works Co Inc 443,274 -6,119 $54,456
     AWK443,274-6,119$54,456
TJX Companies Inc 884,160 -990 $53,987
     TJX884,160-990$53,987
Waste Connections Inc 570,354 -11,526 $51,782
     WCN570,354-11,526$51,782
Visa Inc A 269,739 -636 $50,684
     V269,739-636$50,684
Thermo Fisher Scientific Inc 154,985 -2,256 $50,350
     TMO154,985-2,256$50,350
Microsoft Corp 309,324 +8,158 $48,780
     MSFT309,324+8,158$48,780
US Bancorp 821,232 +89 $48,691
     USB821,232+89$48,691
Amphenol Corp 447,980 -1,009 $48,485
     APH447,980-1,009$48,485
Intuit Inc 183,920 -3,007 $48,174
     INTU183,920-3,007$48,174
Mettler Toledo Intl Inc 60,119 -1,380 $47,691
     MTD60,119-1,380$47,691
Phillips 66 416,654 +3,465 $46,419
     PSX416,654+3,465$46,419
Johnson & Johnson 313,111 -7,269 $45,674
     JNJ313,111-7,269$45,674
Cerner Corp 617,428 +3,286 $45,313
     CERN617,428+3,286$45,313
Pepsico Inc 330,266 -1,383 $45,137
     PEP330,266-1,383$45,137
Roper Technologies Inc 127,415 -176 $45,134
     ROP127,415-176$45,134
Ametek Inc 446,218 -3,830 $44,506
     AME446,218-3,830$44,506
United Technologies Corp 284,794 +3,247 $42,651
     UTX284,794+3,247$42,651
Linde Plc 196,111 +4,022 $41,752
     LIN196,111+4,022$41,752
Chubb Ltd 265,750 +1,967 $41,367
     CB265,750+1,967$41,367
Nextera Energy Inc 170,483 +9,758 $41,284
     NEE170,483+9,758$41,284
Ecolab Inc 209,250 -6,782 $40,383
     ECL209,250-6,782$40,383
Medtronic Plc 342,249 -892 $38,828
     MDT342,249-892$38,828
Oshkosh Corp 391,392 -6,660 $37,045
     OSK391,392-6,660$37,045
Dunkin Brands Group Inc 485,912 -9,276 $36,706
     DNKN485,912-9,276$36,706
Unilever Plc ADR 641,401 +254 $36,669
     UL641,401+254$36,669
Vanguard FTSE All World Ex US (VEU) 642,970 -4,152 $34,560
     VEU642,970-4,152$34,560
Facebook Inc A 165,003 -282 $33,867
     FB165,003-282$33,867
Amazon.com Inc 18,213 +944 $33,655
     AMZN18,213+944$33,655
Costco Wholesale Corp 114,169 -2,064 $33,557
     COST114,169-2,064$33,557
Teleflex Inc 88,283 +1,514 $33,233
     TFX88,283+1,514$33,233
JP Morgan Chase & Co 233,327 +10,310 $32,526
     JPM233,327+10,310$32,526
Idexx Labs Corp 122,000 -5,365 $31,858
     IDXX122,000-5,365$31,858
Booking Holdings Inc 15,248 +941 $31,315
     BKNG15,248+941$31,315
Aon PLC 148,741 -4,136 $30,981
     AON148,741-4,136$30,981
Qualcomm Inc 337,579 +16,823 $29,785
     QCOM337,579+16,823$29,785
Hershey Co 193,789 -6,984 $28,483
     HSY193,789-6,984$28,483
Exxon Mobil Corp 406,973 -16,461 $28,399
     XOM406,973-16,461$28,399
Accenture Plc 126,075 -1,427 $26,548
     ACN126,075-1,427$26,548
Sherwin Williams Co 45,402 -316 $26,494
     SHW45,402-316$26,494
Henry Schein Inc 387,231 -10,118 $25,836
     HSIC387,231-10,118$25,836
Merck & Co Inc 282,199 +2,153 $25,666
     MRK282,199+2,153$25,666
CME Group Inc 124,780 +3,552 $25,046
     CME124,780+3,552$25,046
Akamai Technologies Inc 289,030 +100,217 $24,966
     AKAM289,030+100,217$24,966
Ansys Inc 96,364 -1,106 $24,805
     ANSS96,364-1,106$24,805
Vanguard FTSE EM ETF (VWO) 555,658 +5,647 $24,710
     VWO555,658+5,647$24,710
Cullen Frost Bankers Inc 244,181 -25,207 $23,876
     CFR244,181-25,207$23,876
Stryker Corp 113,524 -3,044 $23,833
     SYK113,524-3,044$23,833
Northern Trust Corp 217,037 -4,072 $23,058
     NTRS217,037-4,072$23,058
iShares Core S&P M C ETF (IJH) 111,397 +5,811 $22,928
     IJH111,397+5,811$22,928
Conocophillips 345,913 +10,958 $22,495
     COP345,913+10,958$22,495
Home Depot Inc 98,180 +367 $21,441
     HD98,180+367$21,441
Cognizant Tech Solutions Corp 333,882 -45,884 $20,707
     CTSH333,882-45,884$20,707
3M Co 117,052 -8,322 $20,650
     MMM117,052-8,322$20,650
Union Pacific Corp 111,908 -256 $20,232
     UNP111,908-256$20,232
Unitedhealth Group Inc 66,444 +422 $19,533
     UNH66,444+422$19,533
T Rowe Price Group Inc 158,129 -3,674 $19,266
     TROW158,129-3,674$19,266
Constellation Brands Inc A 101,325 +528 $19,226
     STZ101,325+528$19,226
WEX Inc 91,778 +23,250 $19,224
     WEX91,778+23,250$19,224
Borgwarner Inc 437,381 +19,347 $18,974
     BWA437,381+19,347$18,974
Northrop Grumman Corp 54,126 +2,158 $18,618
     NOC54,126+2,158$18,618
SPDR S&P 500 ETF (SPY) 49,136 +860 $15,815
     SPY49,136+860$15,815
RBC Bearings Inc 94,749 +74 $15,003
     ROLL94,749+74$15,003
Alphabet Inc C 10,448 -26 $13,969
     GOOG10,448-26$13,969
Rockwell Automation Corp 67,627 -1,279 $13,706
     ROK67,627-1,279$13,706
Nike Inc 133,232 -1,612 $13,498
     NKE133,232-1,612$13,498
Procter & Gamble Co 107,936 +2,051 $13,481
     PG107,936+2,051$13,481
Nordson Corp 79,152 -1,797 $12,889
     NDSN79,152-1,797$12,889
Globe Life Inc 118,091 +2,518 $12,429
     GL118,091+2,518$12,429
Palo Alto Networks Inc 47,716 +47,716 $11,034
     PANW47,716+47,716$11,034
McCormick & Co Inc 63,231 -2,369 $10,732
     MKC63,231-2,369$10,732
Automatic Data Processing Inc 59,229 -1,467 $10,099
     ADP59,229-1,467$10,099
Colgate Palmolive Co 122,298 -1,950 $8,419
     CL122,298-1,950$8,419
Boeing Co 24,937 -3,198 $8,123
     BA24,937-3,198$8,123
Activision Blizzard Inc 136,521 +39,521 $8,112
     ATVI136,521+39,521$8,112
Toll Brothers Inc 183,482 +2,768 $7,249
     TOL183,482+2,768$7,249
Starbucks Corp 74,942 -4,157 $6,589
     SBUX74,942-4,157$6,589
Invesco Bulletshares 2022 Corp (BSCM) 305,934 +22,193 $6,579
     BSCM305,934+22,193$6,579
Invesco Bulletshares 2021 Corp (BSCL) 302,760 +21,123 $6,431
     BSCL302,760+21,123$6,431
Comcast Corp 141,896 -1,655 $6,381
     CMCSA141,896-1,655$6,381
iShares Russell 1000 ETF (IWB) 33,006 +77 $5,889
     IWB33,006+77$5,889
Invesco Bulletshares 2020 Corp (BSCK) 270,051 +18,978 $5,749
     BSCK270,051+18,978$5,749
Invesco Bulletshares 2023 Corp (BSCN) 265,381 +28,904 $5,655
     BSCN265,381+28,904$5,655
Tractor Supply Co 58,934 +1,501 $5,507
     TSCO58,934+1,501$5,507
Vanguard Total Stock Mkt ETF (VTI) 30,725 +2,178 $5,027
     VTI30,725+2,178$5,027
Hologic Inc 92,398 -25,066 $4,824
     HOLX92,398-25,066$4,824
Pfizer Inc 117,354 +6,435 $4,598
     PFE117,354+6,435$4,598
Carnival Corp 83,864 -95,013 $4,263
     CCL83,864-95,013$4,263
iShares S T Corporate Bond ETF (IGSB) 79,426 +12,866 $4,260
     IGSB79,426+12,866$4,260
Chevron Corp 34,903 +2,616 $4,206
     CVX34,903+2,616$4,206
Quaker Chemical Corp 22,905 +13,544 $3,768
     KWR22,905+13,544$3,768
SEI Investments Co 54,834 +54,834 $3,591
     SEIC54,834+54,834$3,591
Invesco Bulletshares 2024 Corp (BSCO) 160,820 +52,494 $3,453
     BSCO160,820+52,494$3,453
iShares I T Corporate Bond ETF (IGIB) 57,137 +14,506 $3,313
     IGIB57,137+14,506$3,313
McDonalds Corp 15,298 -534 $3,023
     MCD15,298-534$3,023
SPDR S&P M C 400 ETF (MDY) 7,914 +1,845 $2,971
     MDY7,914+1,845$2,971
Honeywell International Inc 15,254 +45 $2,700
     HON15,254+45$2,700
Verizon Communications Inc 43,025 +6,444 $2,642
     VZ43,025+6,444$2,642
Cooper Companies Inc 7,540 -776 $2,423
     COO7,540-776$2,423
VF Corp 23,827 -7,056 $2,375
     VFC23,827-7,056$2,375
Abbott Labs 27,116 -44 $2,355
     ABT27,116-44$2,355
Emerson Electric Co 30,051 -410 $2,292
     EMR30,051-410$2,292
iShares MSCI EAFE ETF (EFA) 31,920 +42 $2,217
     EFA31,920+42$2,217
Vanguard S C ETF (VB) 12,083 +316 $2,001
     VB12,083+316$2,001
AT&T Inc 48,585 +403 $1,899
     T48,585+403$1,899
iShares Core S&P S C ETF (IJR) 22,363 +5,933 $1,875
     IJR22,363+5,933$1,875
Intel Corp 31,113 -136 $1,862
     INTC31,113-136$1,862
Amgen Inc 7,322 +386 $1,765
     AMGN7,322+386$1,765
Abbvie Inc 19,114 -1,268 $1,692
     ABBV19,114-1,268$1,692
Brown Forman Corp B      $1,637
     BF.B24,212-500$1,637
Clorox Co 10,186 +1,858 $1,564
     CLX10,186+1,858$1,564
Invesco S&P 500 Equal Weight E 13,295 -145 $1,539
     RSP13,295-145$1,539
Kimberly Clark Corp 10,915 -113 $1,501
     KMB10,915-113$1,501
Norfolk Southern Corp 7,442 -540 $1,445
     NSC7,442-540$1,445
Deere & Co 8,230 +90 $1,426
     DE8,230+90$1,426
Lowe&apos s Companies Inc 11,904 +342 $1,426
     LOW11,904+342$1,426
iShares Russell M C ETF (IWR) 23,042 -570 $1,374
     IWR23,042-570$1,374
iShares Russell 2000 ETF (IWM) 8,267 -183 $1,370
     IWM8,267-183$1,370
Coca Cola Co 24,381 +1,368 $1,349
     KO24,381+1,368$1,349
iShares Russell 1000 Gwth ETF (IWF) 7,645 +963 $1,345
     IWF7,645+963$1,345
Bank of America Corp      $1,255
     BAC22,884+526$806
     BAC.PRL310UNCH$449
Omnicom Group Inc 13,722 -996 $1,112
     OMC13,722-996$1,112
Intl Business Machines Corp 8,239 -1,350 $1,104
     IBM8,239-1,350$1,104
Cisco Systems Inc 22,128 +1,854 $1,061
     CSCO22,128+1,854$1,061
Air Products & Chemicals Inc 4,298 +418 $1,010
     APD4,298+418$1,010
Invesco Bulletshares 2025 Corp (BSCP) 45,380 +45,380 $974
     BSCP45,380+45,380$974
Illinois Tool Wks Inc 5,217 +129 $937
     ITW5,217+129$937
Vanguard Total Bond Mkt ETF (BND) 10,142 +1,552 $851
     BND10,142+1,552$851
Oracle Corp 15,332 -233 $812
     ORCL15,332-233$812
Mastercard Inc A 2,709 +427 $809
     MA2,709+427$809
iShares Core S&P 500 ETF (IVV) 2,485 -145 $803
     IVV2,485-145$803
Enterprise Products Partners L 27,697 +342 $780
     EPD27,697+342$780
Eli Lilly & Co 5,928 UNCH $779
     LLY5,928UNCH$779
Royal Dutch Shell ADR A      $759
     RDS.A12,876-66$759
Bristol Myers Squibb Co 11,796 -598 $757
     BMY11,796-598$757
Toronto Dominion Bank 12,531 +73 $703
     TD12,531+73$703
Vanguard S&P 500 ETF (VOO) 2,371 -71 $701
     VOO2,371-71$701
Church & Dwight Inc 9,884 +1,154 $695
     CHD9,884+1,154$695
Broadcom Inc 2,132 +382 $674
     AVGO2,132+382$674
Blackstone Group Inc 11,742 +2,442 $657
     BX11,742+2,442$657
Philip Morris Intl Inc 7,470 -1,062 $636
     PM7,470-1,062$636
Vanguard REIT ETF (VNQ) 6,732 +2,550 $625
     VNQ6,732+2,550$625
Assurant Inc 4,690 UNCH $615
     AIZ4,690UNCH$615
Truist Financial Corp 10,860 +10,860 $612
     TFC10,860+10,860$612
NVR Inc 160 UNCH $609
     NVR160UNCH$609
Adobe Systems Inc 1,816 +363 $599
     ADBE1,816+363$599
Diageo Plc ADR 3,542 +250 $597
     DEO3,542+250$597
Duke Energy Corp 6,519 +2,852 $595
     DUK6,519+2,852$595
Unilever NV NY Shares (UN) 10,068 UNCH $579
     UN10,068UNCH$579
Vanguard Dvd Appreciation ETF (VIG) 4,620 UNCH $576
     VIG4,620UNCH$576
General Electric Co 49,036 -7,106 $547
     GE49,036-7,106$547
Altria Group Inc 10,870 -380 $543
     MO10,870-380$543
Vanguard High Dvd Yield ETF (VYM) 5,550 UNCH $520
     VYM5,550UNCH$520
iShares Russell1000 Value ETF (IWD) 3,797 +100 $518
     IWD3,797+100$518
Wells Fargo New      $518
     WFC.PRL200UNCH$290
     WFC4,237-463$228
Cyberark Software Ltd 4,425 -5,710 $516
     CYBR4,425-5,710$516
Consolidated Edison Inc 5,600 -850 $507
     ED5,600-850$507
Yum Brands Inc 4,806 +100 $484
     YUM4,806+100$484
PNC Financial Services Group 3,000 -237 $479
     PNC3,000-237$479
Blackrock Inc 931 +288 $468
     BLK931+288$468
Invesco Bulletshares 2026 Corp (BSCQ) 22,618 +22,618 $465
     BSCQ22,618+22,618$465
iShares S&P 500 Value (IVE) 3,523 +1,400 $458
     IVE3,523+1,400$458
Raytheon Co 2,061 +407 $453
     RTN2,061+407$453
Magellan Midstream Partners LP 7,115 UNCH $447
     MMP7,115UNCH$447
Mondelez Intl Inc A 7,916 +1,199 $436
     MDLZ7,916+1,199$436
Fiserv Inc 3,735 -500 $432
     FISV3,735-500$432
Travelers Companies Inc 3,110 -524 $426
     TRV3,110-524$426
iShares Russell M C Gwth ETF (IWP) 2,683 +16 $409
     IWP2,683+16$409
Salesforce.Com Inc 2,486 +265 $404
     CRM2,486+265$404
Sysco Corp 4,725 UNCH $404
     SYY4,725UNCH$404
Smucker JM Co 3,692 -226 $384
     SJM3,692-226$384
Dominion Energy Inc 4,602 +500 $381
     D4,602+500$381
Weyerhaeuser Co 12,575 -5,080 $380
     WY12,575-5,080$380
Aqua America Inc 7,817 UNCH $367
     WTR7,817UNCH$367
iShares Core MSCI EAFE ETF (IEFA) 5,602 +5,602 $365
     IEFA5,602+5,602$365
Prudential Financial Inc 3,858 +50 $362
     PRU3,858+50$362
Invesco QQQ Trust Series 1 ETF (QQQ) 1,701 +150 $362
     QQQ1,701+150$362
Paypal Holdings Inc 3,267 +384 $353
     PYPL3,267+384$353
Yum China Holdings Inc 7,156 -400 $344
     YUMC7,156-400$344
Lockheed Martin Corp 870 -263 $339
     LMT870-263$339
Total SA ADR 6,084 UNCH $336
     TOT6,084UNCH$336
Gilead Sciences Inc 5,032 +370 $327
     GILD5,032+370$327
iShares Russell M C Value ETF (IWS) 3,439 +25 $326
     IWS3,439+25$326
Wal Mart Stores Inc 2,715 +349 $323
     WMT2,715+349$323
F5 Networks Inc 2,295 -165 $320
     FFIV2,295-165$320
Xylem Inc 4,055 UNCH $319
     XYL4,055UNCH$319
Waste Management Inc 2,774 -72 $316
     WM2,774-72$316
Seagate Technology 5,288 -101 $315
     STX5,288-101$315
L3 Harris Technologies Inc 1,569 -131 $310
     LHX1,569-131$310
iShares S&P M C 400 Value ETF (IJJ) 1,804 +400 $308
     IJJ1,804+400$308
Du Pont De Nemours 4,733 -142 $304
     DD4,733-142$304
American Express Co 2,428 -136 $302
     AXP2,428-136$302
Intuitive Surgical Inc 500 +1 $296
     ISRG500+1$296
iShares S&P 500 Gwth ETF (IVW) 1,529 UNCH $296
     IVW1,529UNCH$296
Applied Materials Inc 4,840 -300 $295
     AMAT4,840-300$295
Walgreens Boots Alliance Inc 4,999 -1 $295
     WBA4,999-1$295
Paychex Inc 3,462 UNCH $294
     PAYX3,462UNCH$294
Allstate Corp 2,575 +2,575 $290
     ALL2,575+2,575$290
Caterpillar Inc 1,954 -169 $289
     CAT1,954-169$289
Fortive Corp 3,689 +732 $282
     FTV3,689+732$282
Canadian Natl Railway 3,070 UNCH $278
     CNI3,070UNCH$278
Enbridge Inc 6,840 +6,840 $272
     ENB6,840+6,840$272
Target Corp 2,125 +200 $272
     TGT2,125+200$272
Oneok Inc 3,537 UNCH $268
     OKE3,537UNCH$268
iShares MSCI EM ETF (EEM) 5,948 -500 $267
     EEM5,948-500$267
Financial Select Sector SPDR (XLF) 8,660 UNCH $267
     XLF8,660UNCH$267
Texas Instruments Inc 2,069 +393 $265
     TXN2,069+393$265
Dow Inc 4,770 +211 $261
     DOW4,770+211$261
Keycorp 12,892 -1,930 $261
     KEY12,892-1,930$261
Charles Schwab Corp 5,354 -955 $255
     SCHW5,354-955$255
CSX Corp 3,516 -400 $254
     CSX3,516-400$254
iShares Core U S Agg Bond ETF (AGG) 2,188 UNCH $246
     AGG2,188UNCH$246
Novo Nordisk A S ADR 4,250 UNCH $246
     NVO4,250UNCH$246
Jack Henry & Associates Inc 1,665 -72 $243
     JKHY1,665-72$243
General Dynamics Corp 1,362 UNCH $240
     GD1,362UNCH$240
United Parcel Service Inc B 2,001 +240 $234
     UPS2,001+240$234
Pimco Intm Muni Bond ETF (MUNI) 4,226 +215 $233
     MUNI4,226+215$233
Baxter Intl Inc 2,772 +2,772 $232
     BAX2,772+2,772$232
Camden Natl Corp 4,900 UNCH $226
     CAC4,900UNCH$226
Novartis Ag ADR 2,374 -54 $225
     NVS2,374-54$225
CVS Health Corp 2,993 +2,993 $222
     CVS2,993+2,993$222
iShares S&P M C 400 Gwth ETF (IJK) 916 -1,500 $218
     IJK916-1,500$218
iShares S&P GSCI Commodity ETF (GSG) 13,040 UNCH $211
     GSG13,040UNCH$211
IQ Hedge Multi Strategy Tracke 6,710 UNCH $207
     QAI6,710UNCH$207
SBA Communications Corp REIT 850 UNCH $205
     SBAC850UNCH$205
Vanguard Gwth ETF (VUG) 1,127 +1,127 $205
     VUG1,127+1,127$205
Autodesk Inc 1,097 +1,097 $201
     ADSK1,097+1,097$201
Energy Transfer LP 12,683 +683 $163
     ET12,683+683$163
Covetrus Inc 11,343 -17,148 $150
     CVET11,343-17,148$150
Sirius XM Holdings Inc 11,500 +0 $82
     SIRI11,500UNCH$82
Aflac Inc $0 (exited)
     AFL0-4,860$0
BB&T Corp $0 (exited)
     BBT0-9,918$0
Bank of Nova Scotia $0 (exited)
     BNS0-4,400$0
Invesco Bulletshares 2019 Corp $0 (exited)
     BSCJ0-153,874$0
Nuveen S&P 500 Buy Write Incom $0 (exited)
     BXMX0-10,532$0
Celgene Corp $0 (exited)
     CELG0-2,365$0
EOG Resources Inc $0 (exited)
     EOG0-3,020$0
Realty Income Corp $0 (exited)
     O0-2,630$0
Pimco S T Muni Bond ETF 0 -5,481 $0 (exited)
     SMMU0-5,481$0

See Summary: Davis R M Inc. Top Holdings
See Details: Top 10 Stocks Held By Davis R M Inc.

EntityShares/Amount
Change
Position Value
Change
PANW +47,716+$11,034
SEIC +54,834+$3,591
BSCP +45,380+$974
TFC +10,860+$612
BSCQ +22,618+$465
IEFA +5,602+$365
ALL +2,575+$290
ENB +6,840+$272
BAX +2,772+$232
CVS +2,993+$222
EntityShares/Amount
Change
Position Value
Change
BSCJ -153,874-$3,244
BBT -9,918-$529
SMMU -5,481-$278
AFL -4,860-$254
BNS -4,400-$250
CELG -2,365-$235
EOG -3,020-$224
O -2,630-$202
BXMX -10,532-$138
EntityShares/Amount
Change
Position Value
Change
AKAM +100,217+$7,712
BSCO +52,494+$1,132
ATVI +39,521+$2,979
BSCN +28,904+$620
WEX +23,250+$5,377
BSCM +22,193+$481
BSCL +21,123+$443
BWA +19,347+$3,641
BSCK +18,978+$401
QCOM +16,823+$5,318
EntityShares/Amount
Change
Position Value
Change
CCL -95,013-$3,556
CTSH -45,884-$2,180
CFR -25,207+$22
HOLX -25,066-$1,107
CVET -17,148-$189
XOM -16,461-$1,500
AAPL -13,237+$23,680
WCN -11,526-$1,751
HSIC -10,118+$604
Size ($ in 1000's)
At 12/31/2019: $3,050,289
At 09/30/2019: $2,838,988

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

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