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Size ($ in 1000's)
At 03/31/2024: $14,019,012 At 12/31/2023: $13,255,037
Combined Holding Report Includes:
Boston Trust Walden Corp Boston Trust Walden Co Boston Trust Walden Inc.
Boston Trust Walden Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Boston Trust Walden Corp 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, below is a summary of the Boston Trust Walden Corp top holdings by largest position size, as per the latest 13f filing made by Boston Trust Walden Corp.
In the Boston Trust Walden Corp-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Boston Trust Walden Corp in that top holding, then the share count change between reporting periods, and finally the Boston Trust Walden Corp top holding position size
for that row.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
MICROSOFT CORP |
1,355,733 |
-7,688 |
$570,384 | MSFT | 1,355,733 | -7,688 | $570,384 | APPLE INC |
2,125,925 |
-73,737 |
$364,554 | AAPL | 2,125,925 | -73,737 | $364,554 | ALPHABET INC A |
1,611,304 |
+30,847 |
$243,194 | GOOGL | 1,611,304 | +30,847 | $243,194 | JPMORGAN CHASE & CO |
1,193,244 |
-38,480 |
$239,007 | JPM | 1,193,244 | -38,480 | $239,007 | ACCENTURE PLC CL A |
641,175 |
-4,987 |
$222,238 | ACN | 641,175 | -4,987 | $222,238 | APTARGROUP INC |
1,488,421 |
+49,979 |
$214,169 | ATR | 1,488,421 | +49,979 | $214,169 | DONALDSON CO INC |
2,798,097 |
-18,203 |
$208,962 | DCI | 2,798,097 | -18,203 | $208,962 | VISA INC |
718,619 |
-581 |
$200,552 | V | 718,619 | -581 | $200,552 | ALPHABET INC CL C |
1,309,967 |
-2,144 |
$199,456 | GOOG | 1,309,967 | -2,144 | $199,456 | WATERS CORP |
547,139 |
-34,909 |
$188,342 | WAT | 547,139 | -34,909 | $188,342 | JOHNSON & JOHNSON |
1,063,030 |
+14,331 |
$168,161 | JNJ | 1,063,030 | +14,331 | $168,161 | STRYKER CORP |
426,154 |
-17,304 |
$152,508 | SYK | 426,154 | -17,304 | $152,508 | UNITED HEALTH GROUP INC |
306,155 |
+1,276 |
$151,455 | UNH | 306,155 | +1,276 | $151,455 | HUBBELL INC |
345,897 |
-10,319 |
$143,565 | HUBB | 345,897 | -10,319 | $143,565 | AUTOMATIC DATA PROCESSING |
559,663 |
-384 |
$139,770 | ADP | 559,663 | -384 | $139,770 | UNION PACIFIC CORP |
558,036 |
-63,818 |
$137,238 | UNP | 558,036 | -63,818 | $137,238 | PEPSICO INC |
783,681 |
+84,991 |
$137,152 | PEP | 783,681 | +84,991 | $137,152 | CHEMED CORP |
210,404 |
+11,257 |
$135,065 | CHE | 210,404 | +11,257 | $135,065 | COSTCO WHOLESALE CORP |
181,295 |
-90,476 |
$132,822 | COST | 181,295 | -90,476 | $132,822 | JONES LANG LASALLE INC |
665,296 |
-44,940 |
$129,793 | JLL | 665,296 | -44,940 | $129,793 | COOPER COS INC THE |
1,278,082 |
+935,049 |
$129,674 | COO | 1,278,082 | +935,049 | $129,674 | COMCAST CORP NEW CL A |
2,950,464 |
+2,640 |
$127,903 | CMCSA | 2,950,464 | +2,640 | $127,903 | CHUBB LTD |
481,686 |
-11,184 |
$124,819 | CB | 481,686 | -11,184 | $124,819 | FACTSET RESH SYS INC |
273,429 |
-14,301 |
$124,243 | FDS | 273,429 | -14,301 | $124,243 | APPLIED INDUSTRIAL TECH INC |
623,195 |
-2,257 |
$123,112 | AIT | 623,195 | -2,257 | $123,112 | QUALYS INC |
736,753 |
+85,416 |
$122,942 | QLYS | 736,753 | +85,416 | $122,942 | EXLSERVICE HOLDINGS INC |
3,714,421 |
-10,778 |
$118,119 | EXLS | 3,714,421 | -10,778 | $118,119 | CHOICE HOTELS INTL INC |
933,527 |
+161,697 |
$117,951 | CHH | 933,527 | +161,697 | $117,951 | APPLIED MATERIALS INC. |
568,431 |
+162,988 |
$117,228 | AMAT | 568,431 | +162,988 | $117,228 | NORTHERN TRUST CORPORATION |
1,255,379 |
-22,476 |
$111,628 | NTRS | 1,255,379 | -22,476 | $111,628 | FLOWERS FOODS INC COM |
4,568,260 |
-15,074 |
$108,496 | FLO | 4,568,260 | -15,074 | $108,496 | MEDPACE HOLDINGS INC |
267,015 |
-221,256 |
$107,914 | MEDP | 267,015 | -221,256 | $107,914 | ROSS STORES INC |
735,111 |
-110,712 |
$107,885 | ROST | 735,111 | -110,712 | $107,885 | SELECTIVE INS GROUP INC |
977,519 |
-5,501 |
$106,716 | SIGI | 977,519 | -5,501 | $106,716 | DEERE & CO |
257,563 |
+25,594 |
$105,791 | DE | 257,563 | +25,594 | $105,791 | COLUMBIA SPORTSWEAR CO |
1,291,125 |
-3,285 |
$104,814 | COLM | 1,291,125 | -3,285 | $104,814 | LOWES COS INC |
403,966 |
+10,499 |
$102,902 | LOW | 403,966 | +10,499 | $102,902 | WILLIAMS SONOMA INC |
313,230 |
-103,511 |
$99,460 | WSM | 313,230 | -103,511 | $99,460 | BECTON DICKINSON AND CO |
401,156 |
+3,308 |
$99,266 | BDX | 401,156 | +3,308 | $99,266 | UNITED PARCEL SERVICE CL B |
661,001 |
-12,676 |
$98,245 | UPS | 661,001 | -12,676 | $98,245 | STAG INDUSTRIAL INC |
2,526,973 |
-12,156 |
$97,137 | STAG | 2,526,973 | -12,156 | $97,137 | CACTUS INC CL A |
1,929,388 |
-11,727 |
$96,643 | WHD | 1,929,388 | -11,727 | $96,643 | CARTER INC |
1,135,260 |
+168 |
$96,134 | CRI | 1,135,260 | +168 | $96,134 | TEXAS ROADHOUSE INC |
622,154 |
-155,048 |
$96,104 | TXRH | 622,154 | -155,048 | $96,104 | CISCO SYSTEMS INC |
1,900,033 |
+9,695 |
$94,831 | CSCO | 1,900,033 | +9,695 | $94,831 | PROGRESS SOFTWARE CORP |
1,773,797 |
+72,703 |
$94,561 | PRGS | 1,773,797 | +72,703 | $94,561 | AUTOZONE INC |
29,771 |
+2,802 |
$93,828 | AZO | 29,771 | +2,802 | $93,828 | SEI INVESTMENTS COMPANY |
1,300,080 |
-14,885 |
$93,476 | SEIC | 1,300,080 | -14,885 | $93,476 | HELMERICH & PAYNE INC |
2,194,817 |
-19,925 |
$92,314 | HP | 2,194,817 | -19,925 | $92,314 | NIKE INC CL B |
978,921 |
+1,508 |
$91,999 | NKE | 978,921 | +1,508 | $91,999 |
See Full List: All Stocks Held By Boston Trust Walden Corp
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By Boston Trust Walden Corp
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