HoldingsChannel.com
All Stocks Held By Godshalk Welsh Capital Management Inc.
As of  09/30/2019
   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Microsoft Corporation 37,704 -571 $5,242
     MSFT37,704-571$5,242
Globus Medical Inc 83,305 -1,803 $4,259
     GMED83,305-1,803$4,259
Apple Inc 13,932 +15 $3,120
     AAPL13,932+15$3,120
Intuit Inc 11,650 -50 $3,098
     INTU11,650-50$3,098
Berkshire Hathaway Inc Cl B      $2,602
     BRK.B12,508+325$2,602
Costco Wholesale Corp 8,291 +76 $2,389
     COST8,291+76$2,389
Procter & Gamble 19,135 +150 $2,380
     PG19,135+150$2,380
Merck & Co 26,778 -25 $2,254
     MRK26,778-25$2,254
Sysco Corporation 28,305 UNCH $2,247
     SYY28,305UNCH$2,247
Berkley W R Corporation 30,799 UNCH $2,225
     WRB30,799UNCH$2,225
Cisco Systems Inc 44,702 +752 $2,209
     CSCO44,702+752$2,209
Paychex Inc 24,670 +150 $2,042
     PAYX24,670+150$2,042
Home Depot Inc 8,641 -126 $2,005
     HD8,641-126$2,005
PayPal Holdings Inc 19,250 UNCH $1,994
     PYPL19,250UNCH$1,994
Invesco Preferred 131,658 -500 $1,978
     PGX131,658-500$1,978
Oracle Corp 35,610 +285 $1,960
     ORCL35,610+285$1,960
iShares Russell 2000 Index (IWM) 12,405 UNCH $1,877
     IWM12,405UNCH$1,877
Johnson & Johnson 13,981 +281 $1,809
     JNJ13,981+281$1,809
Automatic Data Processing 10,850 -50 $1,751
     ADP10,850-50$1,751
Zoetis Inc 13,475 -200 $1,679
     ZTS13,475-200$1,679
American Express 13,854 -36 $1,639
     AXP13,854-36$1,639
Chevron Corp 13,275 +125 $1,574
     CVX13,275+125$1,574
Bank of America Corp 52,575 UNCH $1,534
     BAC52,575UNCH$1,534
Pepsico Inc 10,610 +150 $1,455
     PEP10,610+150$1,455
Waste Management Inc 12,120 -150 $1,394
     WM12,120-150$1,394
Aqua America Inc 31,048 -600 $1,392
     WTR31,048-600$1,392
Lowes Companies Inc 12,485 UNCH $1,373
     LOW12,485UNCH$1,373
Alphabet Inc Cl A 1,122 +24 $1,370
     GOOGL1,122+24$1,370
United Parcel Service Inc 11,130 UNCH $1,334
     UPS11,130UNCH$1,334
ConocoPhillips 23,165 +385 $1,320
     COP23,165+385$1,320
A T & T 33,587 +450 $1,271
     T33,587+450$1,271
American Tower Corp 5,665 UNCH $1,253
     AMT5,665UNCH$1,253
Ecolab Inc 6,170 -125 $1,222
     ECL6,170-125$1,222
Vanguard Div Appreciation (VIG) 9,966 +225 $1,192
     VIG9,966+225$1,192
Vgd Int Term Bond Index Fund (BIV) 13,510 +1,325 $1,189
     BIV13,510+1,325$1,189
Bank of New York Mellon 25,850 +25,850 $1,169
     COM25,850+25,850$1,169
Verizon Communications 19,282 +210 $1,164
     VZ19,282+210$1,164
Starbucks Corp 12,775 -50 $1,130
     SBUX12,775-50$1,130
iShares Core MSCI EAFE (IEFA) 17,700 +1,350 $1,081
     IEFA17,700+1,350$1,081
Becton Dickinson & Co 4,235 UNCH $1,071
     BDX4,235UNCH$1,071
Target Corporation 9,850 UNCH $1,053
     TGT9,850UNCH$1,053
L3Harris Technologies Inc 5,035 +5,035 $1,051
     LHX5,035+5,035$1,051
United Technologies Corp 7,642 +50 $1,043
     UTX7,642+50$1,043
GlaxoSmithKline PLC ADR 24,200 +100 $1,033
     GSK24,200+100$1,033
Vanguard Short Term Bond Index (BSV) 12,450 +750 $1,006
     BSV12,450+750$1,006
Pfizer Inc 27,153 +300 $976
     PFE27,153+300$976
McDonalds Corp 4,525 -50 $972
     MCD4,525-50$972
Mondelez Intl Inc Cl A 17,475 UNCH $967
     MDLZ17,475UNCH$967
JP Morgan Chase & Co 8,060 +310 $949
     JPM8,060+310$949
Alphabet Inc Cl C 761 UNCH $928
     GOOG761UNCH$928
Visa Inc 5,070 +20 $872
     V5,070+20$872
CSX Corp 11,950 -250 $828
     CSX11,950-250$828
IdaCorp Incorporated 7,336 UNCH $827
     IDA7,336UNCH$827
YUM Brands Inc 7,150 +50 $811
     YUM7,150+50$811
Comcast Corp Class A 17,800 UNCH $802
     CMCSA17,800UNCH$802
TJX Companies Inc 13,675 +575 $762
     TJX13,675+575$762
RPM International 11,005 UNCH $757
     RPM11,005UNCH$757
Invesco S&P 500 Eq Wt 6,975 +700 $754
     RSP6,975+700$754
Colgate Palmolive Co 9,850 UNCH $724
     CL9,850UNCH$724
UnitedHealth Group Inc 3,250 UNCH $706
     UNH3,250UNCH$706
V F Corporation 7,850 UNCH $699
     VFC7,850UNCH$699
Valero Energy Corp 8,050 +1,050 $686
     VLO8,050+1,050$686
Phillips 66 6,475 UNCH $663
     PSX6,475UNCH$663
MetLife Inc 13,750 UNCH $648
     MET13,750UNCH$648
American Water Works Inc 5,200 -50 $646
     AWK5,200-50$646
Intel Corp 12,455 +631 $642
     INTC12,455+631$642
NextEra Energy Inc 2,700 -100 $629
     NEE2,700-100$629
Scotts Miracle Group 6,025 UNCH $613
     SMG6,025UNCH$613
CVS Health Corporation 9,555 +9,555 $603
     CVS9,555+9,555$603
SPDR S&P 500 (SPY) 1,963 UNCH $583
     SPY1,963UNCH$583
3M Company 3,485 -100 $573
     MMM3,485-100$573
AbbVie Inc 7,508 -150 $569
     ABBV7,508-150$569
Consolidated Edison Inc 5,975 UNCH $564
     ED5,975UNCH$564
Boeing Co 1,385 +85 $527
     BA1,385+85$527
Walmart Inc 4,440 +60 $527
     WMT4,440+60$527
Lockheed Martin Corp 1,300 -10 $507
     LMT1,300-10$507
Clorox Company 3,300 -50 $501
     CLX3,300-50$501
UniFirst Corp 2,525 UNCH $493
     UNF2,525UNCH$493
Exxon Mobil Corporation 6,972 UNCH $492
     XOM6,972UNCH$492
Citigroup Inc 7,025 +550 $485
     C7,025+550$485
Intl Flavors & Fragrances 3,735 +485 $458
     IFF3,735+485$458
Quest Diagnostics Inc 4,150 UNCH $444
     DGX4,150UNCH$444
iShares MSCI EmergMkt Min Vol (EEMV) 7,750 +750 $442
     EEMV7,750+750$442
DuPont de Nemours Inc 5,875 +1,640 $419
     DD5,875+1,640$419
Wells Fargo Bank NA 7,450 -50 $376
     WFC7,450-50$376
Brinker International Inc 8,725 -2,700 $372
     EAT8,725-2,700$372
Raytheon Company 1,800 UNCH $353
     RTN1,800UNCH$353
Invesco QQQ Trust 1,800 UNCH $340
     QQQ1,800UNCH$340
Masco Corp 8,050 UNCH $336
     MAS8,050UNCH$336
UGI Corporation 6,610 UNCH $332
     UGI6,610UNCH$332
Hershey Company 2,100 UNCH $325
     HSY2,100UNCH$325
Abbott Laboratories 3,700 UNCH $310
     ABT3,700UNCH$310
iShares MSCI EAFE Index (EFA) 4,500 UNCH $293
     EFA4,500UNCH$293
U S Bancorp 5,050 +300 $279
     USB5,050+300$279
iShares Short Term Corporate (IGSB) 5,060 UNCH $272
     IGSB5,060UNCH$272
Danaher Corp 1,850 UNCH $267
     DHR1,850UNCH$267
Kimberly Clark Corp 1,862 UNCH $264
     KMB1,862UNCH$264
Mastercard Inc 950 UNCH $258
     MA950UNCH$258
BHP Billiton Ltd ADR 5,100 UNCH $252
     BHP5,100UNCH$252
Bristol Myers Squibb Co 4,700 UNCH $238
     BMY4,700UNCH$238
Coca Cola Company 4,150 UNCH $226
     KO4,150UNCH$226
Union Pacific Corp 1,350 UNCH $219
     UNP1,350UNCH$219
Genuine Parts Co 2,125 UNCH $212
     GPC2,125UNCH$212
iShares Core Moderate Allocati (AOM) 5,200 +5,200 $204
     AOM5,200+5,200$204
WEC Energy Group 2,150 +2,150 $204
     WEC2,150+2,150$204
Republic Services Inc 2,350 UNCH $203
     RSG2,350UNCH$203
American Electric Power Co 2,150 +2,150 $201
     AEP2,150+2,150$201
Disney Walt Company 1,537 UNCH $200
     DIS1,537UNCH$200
WideOpenWest Inc 19,000 +19,000 $117
     WOW19,000+19,000$117
Anthem Inc $0 (exited)
     ANTM0-715$0
Bank of New York Mellon $0 (exited)
     COM0-28,650$0
Honeywell International Inc $0 (exited)
     HON0-1,150$0
Harris Corporation $0 (exited)
     HRS0-5,035$0
M & T Bank Corporation 0 -1,200 $0 (exited)
     MTB0-1,200$0

See Summary: Godshalk Welsh Capital Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Godshalk Welsh Capital Management Inc.

EntityShares/Amount
Change
Position Value
Change
BK +25,850+$1,169
LHX +5,035+$1,051
CVS +9,555+$603
AOM +5,200+$204
WEC +2,150+$204
AEP +2,150+$201
WOW +19,000+$117
EntityShares/Amount
Change
Position Value
Change
Bank of New York Mellon -28,650-$1,265
HRS -5,035-$952
MTB -1,200-$204
ANTM -715-$202
HON -1,150-$201
EntityShares/Amount
Change
Position Value
Change
DD +1,640+$101
IEFA +1,350+$77
BIV +1,325+$135
VLO +1,050+$87
CSCO +752-$196
BSV +750+$64
EEMV +750+$30
RSP +700+$78
INTC +631+$76
TJX +575+$69
EntityShares/Amount
Change
Position Value
Change
EAT -2,700-$78
GMED -1,803+$659
WTR -600+$83
MSFT -571+$115
PGX -500+$45
CSX -250-$116
ZTS -200+$127
ABBV -150+$12
WM -150-$22
Size ($ in 1000's)
At 09/30/2019: $113,134
At 06/30/2019: $108,197

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

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