Holdings Channel



Size ($ in 1000's)
At 12/31/2023: $4,818,734
At 09/30/2023: $4,412,999

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

Crossmark Global Holdings Inc. Top Holdings
As of  12/31/2023, below is a summary of the Crossmark Global Holdings Inc. top holdings by largest position size, as per the latest 13f filing made by Crossmark Global Holdings Inc.. In the Crossmark Global Holdings Inc.-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 Crossmark Global Holdings Inc. in that top holding, then the share count change between reporting periods, and finally the Crossmark Global Holdings Inc. top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE COMPUTER INC 894,070 -36,245 $172,136
     AAPL894,070-36,245$172,136
MICROSOFT CORP 452,644 -3,080 $170,212
     MSFT452,644-3,080$170,212
AMAZON COM INC 606,941 -11,379 $92,219
     AMZN606,941-11,379$92,219
NVIDIA CORP 138,477 -516 $68,576
     NVDA138,477-516$68,576
COCA COLA CO 1,027,967 -228 $60,578
     KO1,027,967-228$60,578
ALPHABET CLASS C 404,285 +89,284 $56,976
     GOOG404,285+89,284$56,976
TAIWAN SEMICONDUCTOR MFG CO AD 536,820 -12,885 $55,829
     TSM536,820-12,885$55,829
ALPHABET CLASS A 348,073 +1,461 $48,622
     GOOGL348,073+1,461$48,622
META PLATFORMS INC CL A 131,734 +14,941 $46,628
     META131,734+14,941$46,628
J P MORGAN CHASE & CO      $42,298
     JPM207,939+40,529$35,370
     JPM.PRC273,716-4,705$6,928
GILEAD SCIENCES INC 512,097 -3,441 $41,485
     GILD512,097-3,441$41,485
VISA INC COM CL A 156,880 +500 $40,844
     V156,880+500$40,844
CISCO SYSTEMS INC 769,000 +2,804 $38,850
     CSCO769,000+2,804$38,850
QUALCOMM INC 265,677 +2,118 $38,425
     QCOM265,677+2,118$38,425
ABBOTT LABS 348,271 +27,527 $38,334
     ABT348,271+27,527$38,334
APPLIED MATERIALS INC 228,338 -2,655 $37,006
     AMAT228,338-2,655$37,006
HOME DEPOT INC 106,621 +8,131 $36,950
     HD106,621+8,131$36,950
CIGNA CORP NEW 121,871 -2,917 $36,494
     CI121,871-2,917$36,494
MCDONALDS CORP 122,634 -3,538 $36,362
     MCD122,634-3,538$36,362
MASTERCARD INC 84,959 +1,129 $36,236
     MA84,959+1,129$36,236
BROADCOM INC COM 32,129 +2,967 $35,864
     AVGO32,129+2,967$35,864
C V S CAREMARK CORP 445,918 +162,296 $35,210
     CVS445,918+162,296$35,210
VERIZON COMMUNICATIONS 872,673 +6,178 $32,899
     VZ872,673+6,178$32,899
AMGEN INC 113,415 +487 $32,665
     AMGN113,415+487$32,665
TESLA MTRS INC COM 131,233 -1,505 $32,609
     TSLA131,233-1,505$32,609
ADVANCED MICRO DEVICES INC 216,954 -6,325 $31,982
     AMD216,954-6,325$31,982
BERKSHIRE HATHAWAY INC DEL CL      $29,492
     BRK.B82,690+2,608$29,492
ADOBE SYSTEM INC 49,282 -342 $29,401
     ADBE49,282-342$29,401
EXXON MOBIL CORP 291,551 -2,278 $29,149
     XOM291,551-2,278$29,149
T J X COMPANIES INC 309,286 +5,088 $29,014
     TJX309,286+5,088$29,014
BANK AMERICA CORP      $28,718
     BAC678,610-3,886$22,849
     BAC.PRO301,882-764$5,869
ACCENTURE PLC 75,604 -1,663 $26,530
     ACN75,604-1,663$26,530
TEXAS INSTRUMENTS INC 155,629 -3,271 $26,528
     TXN155,629-3,271$26,528
WELLS FARGO & CO 533,848 -3,850 $26,276
     WFC533,848-3,850$26,276
WAL MART STORES INC 153,923 +1,877 $24,266
     WMT153,923+1,877$24,266
ELEVANCE HEALTH INC 50,255 +427 $23,698
     ELV50,255+427$23,698
SALESFORCE COM INC 89,468 -7,212 $23,543
     CRM89,468-7,212$23,543
MORGAN STANLEY 242,371 +17,265 $22,601
     MS242,371+17,265$22,601
ORACLE SYSTEMS CORP 211,947 -12,614 $22,346
     ORCL211,947-12,614$22,346
PROCTER & GAMBLE 150,155 +16,419 $22,004
     PG150,155+16,419$22,004
LILLY ELI & COMPANY 37,122 -1,602 $21,640
     LLY37,122-1,602$21,640
HP INC COM 710,703 -25,552 $21,385
     HPQ710,703-25,552$21,385
MERCK & COMPANY 191,514 +6,915 $20,878
     MRK191,514+6,915$20,878
VALERO ENERGY CORP 160,127 +84,034 $20,817
     VLO160,127+84,034$20,817
UNITEDHEALTH GROUP INC 39,141 -667 $20,607
     UNH39,141-667$20,607
GAP INC 983,384 +26,704 $20,562
     GPS983,384+26,704$20,562
WILLIAMS SONOMA INC 96,307 -3,961 $19,432
     WSM96,307-3,961$19,432
MICRON TECHNOLOGY INC 224,763 -4,780 $19,181
     MU224,763-4,780$19,181
PAYPAL HLDGS INC COM 309,579 +59,825 $19,012
     PYPL309,579+59,825$19,012
HSBC HLDGS PLC ADR SPON 467,608 -14,823 $18,957
     HSBC467,608-14,823$18,957

See Full List: All Stocks Held By Crossmark Global Holdings Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Crossmark Global Holdings Inc.

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