Holdings Channel
EntityShares/Amount
Change
Position Value
Change
AMZN +1,125+$203
RSP +1,200+$203
EntityShares/Amount
Change
Position Value
Change
IEFA -3,110-$219
EntityShares/Amount
Change
Position Value
Change
WBD +2,272,245+$13,667
F +500,000+$7,839
IJH +6,342+$79
RTX +627+$298
DD +527+$36
EMR +415+$522
ABT +357+$160
PG +265+$504
MDT +220+$121
PEP +200+$48
EntityShares/Amount
Change
Position Value
Change
CLF -3,855+$6,850
BRK -193-$37
AMGN UNCH-$3
ABBV UNCH+$44
WFC UNCH+$59
XLF UNCH+$45
OTIS UNCH+$42
CARR UNCH+$6
KD UNCH+$25
Size ($ in 1000's)
At 03/31/2024: $485,714
At 12/31/2023: $432,663

Drexel Morgan & Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Drexel Morgan & Co. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Drexel Morgan & Co.
As of  03/31/2024, we find all stocks held by Drexel Morgan & Co. to be as follows, presented in the table below with each row detailing each Drexel Morgan & Co. position, ordered by largest to smallest position size. The all-stocks-held-by-Drexel Morgan & Co. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Drexel Morgan & Co. as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
AT&T INC 5,119,460 UNCH $90,102
     T5,119,460UNCH$90,102
CLEVELAND CLIFFS INC 2,986,545 -3,855 $67,914
     CLF2,986,545-3,855$67,914
WARNER BROS DISCOVERY INC 4,600,463 +2,272,245 $40,162
     WBD4,600,463+2,272,245$40,162
JOHNSON & JOHNSON 216,257 +160 $34,210
     JNJ216,257+160$34,210
COCA COLA CO 456,311 +100 $27,917
     KO456,311+100$27,917
INTERNATIONAL BUSINESS MACHINES 139,735 UNCH $26,684
     IBM139,735UNCH$26,684
J.P. MORGAN CHASE & CO 113,589 +125 $22,752
     JPM113,589+125$22,752
FORD MOTOR CO 1,600,000 +500,000 $21,248
     F1,600,000+500,000$21,248
SCHLUMBERGER 340,152 UNCH $18,644
     SLB340,152UNCH$18,644
AMERICAN EXPRESS CO 70,918 UNCH $16,147
     AXP70,918UNCH$16,147
MICROSOFT CORP 30,129 +110 $12,676
     MSFT30,129+110$12,676
DEERE & CO. 26,086 UNCH $10,715
     DE26,086UNCH$10,715
CATERPILLAR INC 27,886 +140 $10,218
     CAT27,886+140$10,218
CVS HEALTH CORPORATION 100,265 +165 $7,997
     CVS100,265+165$7,997
EXXON MOBIL CORP 68,600 UNCH $7,974
     XOM68,600UNCH$7,974
APPLE INC 44,102 +150 $7,563
     AAPL44,102+150$7,563
SPDR TR UNIT SER 1 (SPY) 10,236 +45 $5,354
     SPY10,236+45$5,354
PROCTER & GAMBLE 29,590 +265 $4,801
     PG29,590+265$4,801
WASHINGTON TR BANCORP INC 167,123 UNCH $4,492
     WASH167,123UNCH$4,492
UNION PACIFIC CORP 17,873 +170 $4,396
     UNP17,873+170$4,396
ABBOTT LABS 33,634 +357 $3,823
     ABT33,634+357$3,823
MERCK & CO 28,879 UNCH $3,811
     MRK28,879UNCH$3,811
MCDONALDS CORP 12,142 +126 $3,423
     MCD12,142+126$3,423
EMERSON ELECTRIC CO 29,904 +415 $3,392
     EMR29,904+415$3,392
INVESCO QQQ TRUST SERIES 1 6,900 UNCH $3,064
     QQQ6,900UNCH$3,064
COLGATE PALMOLIVE CO 28,820 UNCH $2,595
     CL28,820UNCH$2,595
SHELL PLC ADR 38,544 UNCH $2,584
     SHEL38,544UNCH$2,584
3M COMPANY 21,122 UNCH $2,240
     MMM21,122UNCH$2,240
DISNEY WALT PRODUCTIONS 16,586 UNCH $2,029
     DIS16,586UNCH$2,029
MEDTRONIC PLC 21,546 +220 $1,878
     MDT21,546+220$1,878
RAYTHEON TECHNOLOGIES CORP 18,290 +627 $1,784
     RTX18,290+627$1,784
LILLY ELI & COMPANY 2,134 UNCH $1,660
     LLY2,134UNCH$1,660
UNILEVER PLC SPONSORED ADR 31,722 UNCH $1,592
     UL31,722UNCH$1,592
HOME DEPOT INC 3,300 UNCH $1,266
     HD3,300UNCH$1,266
DUPONT DE NEMOURS INC 15,721 +527 $1,205
     DD15,721+527$1,205
NOVARTIS AG ADR 9,720 UNCH $940
     NVS9,720UNCH$940
SPDR DOW JONES INDUSTRIAL AVERAGE ETF (DIA) 2,000 UNCH $796
     DIA2,000UNCH$796
ISHARES RUSSELL 2000 INDEX FUND (IWM) 2,866 UNCH $603
     IWM2,866UNCH$603
KYNDRYL HOLDINGS INC 25,984 UNCH $565
     KD25,984UNCH$565
CARRIER GLOBAL CORP 8,578 UNCH $499
     CARR8,578UNCH$499
PEPSICO INC 2,800 +200 $490
     PEP2,800+200$490
ISHARES CORE S&P MID CAP ETF (IJH) 7,755 +6,342 $471
     IJH7,755+6,342$471
OTIS WORLDWIDE CORP 4,288 UNCH $426
     OTIS4,288UNCH$426
SPDR FINANCIAL SELECT (XLF) 10,000 UNCH $421
     XLF10,000UNCH$421
CHEVRON CORPORATION 2,555 +55 $403
     CVX2,555+55$403
WELLS FARGO CO 6,747 UNCH $391
     WFC6,747UNCH$391
ABBVIE INC. 1,609 UNCH $293
     ABBV1,609UNCH$293
LOWES COS INC 1,080 +80 $275
     LOW1,080+80$275
AMGEN INC 750 UNCH $213
     AMGN750UNCH$213
BERKSHIRE HATHAWAY INC DEL CL B      $210
     BRK.B500-193$210
AMAZON COM INC 1,125 +1,125 $203
     AMZN1,125+1,125$203
INVESCO EXCHANGE TRADED FD T (RSP) 1,200 +1,200 $203
     RSP1,200+1,200$203
ISHARES TR 0 -3,110 $0 (exited)
     IEFA0-3,110$0

See Summary: Drexel Morgan & Co. Top Holdings
See Details: Top 10 Stocks Held By Drexel Morgan & Co.

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