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Entity | Shares/Amount Change | Position Value Change |
AMZN |
+1,125 | +$203 | RSP |
+1,200 | +$203 |
Entity | Shares/Amount Change | Position Value Change |
IEFA |
-3,110 | -$219 |
Entity | Shares/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 |
Entity | Shares/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: $432,663
Drexel Morgan & Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Drexel Morgan & Co. 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, we find all stocks held by Drexel Morgan & Co. to be as follows, presented in the
table below with each row detailing each Drexel Morgan & Co. position, ordered by largest to smallest position size.
The all-stocks-held-by-Drexel Morgan & Co. table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Drexel Morgan & Co. as of the latest filing.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
AT&T INC |
5,119,460 |
UNCH |
$90,102 | T | 5,119,460 | UNCH | $90,102 | CLEVELAND CLIFFS INC |
2,986,545 |
-3,855 |
$67,914 | CLF | 2,986,545 | -3,855 | $67,914 | WARNER BROS DISCOVERY INC |
4,600,463 |
+2,272,245 |
$40,162 | WBD | 4,600,463 | +2,272,245 | $40,162 | JOHNSON & JOHNSON |
216,257 |
+160 |
$34,210 | JNJ | 216,257 | +160 | $34,210 | COCA COLA CO |
456,311 |
+100 |
$27,917 | KO | 456,311 | +100 | $27,917 | INTERNATIONAL BUSINESS MACHINES |
139,735 |
UNCH |
$26,684 | IBM | 139,735 | UNCH | $26,684 | J.P. MORGAN CHASE & CO |
113,589 |
+125 |
$22,752 | JPM | 113,589 | +125 | $22,752 | FORD MOTOR CO |
1,600,000 |
+500,000 |
$21,248 | F | 1,600,000 | +500,000 | $21,248 | SCHLUMBERGER |
340,152 |
UNCH |
$18,644 | SLB | 340,152 | UNCH | $18,644 | AMERICAN EXPRESS CO |
70,918 |
UNCH |
$16,147 | AXP | 70,918 | UNCH | $16,147 | MICROSOFT CORP |
30,129 |
+110 |
$12,676 | MSFT | 30,129 | +110 | $12,676 | DEERE & CO. |
26,086 |
UNCH |
$10,715 | DE | 26,086 | UNCH | $10,715 | CATERPILLAR INC |
27,886 |
+140 |
$10,218 | CAT | 27,886 | +140 | $10,218 | CVS HEALTH CORPORATION |
100,265 |
+165 |
$7,997 | CVS | 100,265 | +165 | $7,997 | EXXON MOBIL CORP |
68,600 |
UNCH |
$7,974 | XOM | 68,600 | UNCH | $7,974 | APPLE INC |
44,102 |
+150 |
$7,563 | AAPL | 44,102 | +150 | $7,563 | SPDR TR UNIT SER 1 (SPY) |
10,236 |
+45 |
$5,354 | SPY | 10,236 | +45 | $5,354 | PROCTER & GAMBLE |
29,590 |
+265 |
$4,801 | PG | 29,590 | +265 | $4,801 | WASHINGTON TR BANCORP INC |
167,123 |
UNCH |
$4,492 | WASH | 167,123 | UNCH | $4,492 | UNION PACIFIC CORP |
17,873 |
+170 |
$4,396 | UNP | 17,873 | +170 | $4,396 | ABBOTT LABS |
33,634 |
+357 |
$3,823 | ABT | 33,634 | +357 | $3,823 | MERCK & CO |
28,879 |
UNCH |
$3,811 | MRK | 28,879 | UNCH | $3,811 | MCDONALDS CORP |
12,142 |
+126 |
$3,423 | MCD | 12,142 | +126 | $3,423 | EMERSON ELECTRIC CO |
29,904 |
+415 |
$3,392 | EMR | 29,904 | +415 | $3,392 | INVESCO QQQ TRUST SERIES 1 |
6,900 |
UNCH |
$3,064 | QQQ | 6,900 | UNCH | $3,064 | COLGATE PALMOLIVE CO |
28,820 |
UNCH |
$2,595 | CL | 28,820 | UNCH | $2,595 | SHELL PLC ADR |
38,544 |
UNCH |
$2,584 | SHEL | 38,544 | UNCH | $2,584 | 3M COMPANY |
21,122 |
UNCH |
$2,240 | MMM | 21,122 | UNCH | $2,240 | DISNEY WALT PRODUCTIONS |
16,586 |
UNCH |
$2,029 | DIS | 16,586 | UNCH | $2,029 | MEDTRONIC PLC |
21,546 |
+220 |
$1,878 | MDT | 21,546 | +220 | $1,878 | RAYTHEON TECHNOLOGIES CORP |
18,290 |
+627 |
$1,784 | RTX | 18,290 | +627 | $1,784 | LILLY ELI & COMPANY |
2,134 |
UNCH |
$1,660 | LLY | 2,134 | UNCH | $1,660 | UNILEVER PLC SPONSORED ADR |
31,722 |
UNCH |
$1,592 | UL | 31,722 | UNCH | $1,592 | HOME DEPOT INC |
3,300 |
UNCH |
$1,266 | HD | 3,300 | UNCH | $1,266 | DUPONT DE NEMOURS INC |
15,721 |
+527 |
$1,205 | DD | 15,721 | +527 | $1,205 | NOVARTIS AG ADR |
9,720 |
UNCH |
$940 | NVS | 9,720 | UNCH | $940 | SPDR DOW JONES INDUSTRIAL AVERAGE ETF (DIA) |
2,000 |
UNCH |
$796 | DIA | 2,000 | UNCH | $796 | ISHARES RUSSELL 2000 INDEX FUND (IWM) |
2,866 |
UNCH |
$603 | IWM | 2,866 | UNCH | $603 | KYNDRYL HOLDINGS INC |
25,984 |
UNCH |
$565 | KD | 25,984 | UNCH | $565 | CARRIER GLOBAL CORP |
8,578 |
UNCH |
$499 | CARR | 8,578 | UNCH | $499 | PEPSICO INC |
2,800 |
+200 |
$490 | PEP | 2,800 | +200 | $490 | ISHARES CORE S&P MID CAP ETF (IJH) |
7,755 |
+6,342 |
$471 | IJH | 7,755 | +6,342 | $471 | OTIS WORLDWIDE CORP |
4,288 |
UNCH |
$426 | OTIS | 4,288 | UNCH | $426 | SPDR FINANCIAL SELECT (XLF) |
10,000 |
UNCH |
$421 | XLF | 10,000 | UNCH | $421 | CHEVRON CORPORATION |
2,555 |
+55 |
$403 | CVX | 2,555 | +55 | $403 | WELLS FARGO CO |
6,747 |
UNCH |
$391 | WFC | 6,747 | UNCH | $391 | ABBVIE INC. |
1,609 |
UNCH |
$293 | ABBV | 1,609 | UNCH | $293 | LOWES COS INC |
1,080 |
+80 |
$275 | LOW | 1,080 | +80 | $275 | AMGEN INC |
750 |
UNCH |
$213 | AMGN | 750 | UNCH | $213 | BERKSHIRE HATHAWAY INC DEL CL B |
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$210 | BRK.B | 500 | -193 | $210 | AMAZON COM INC |
1,125 |
+1,125 |
$203 | AMZN | 1,125 | +1,125 | $203 | INVESCO EXCHANGE TRADED FD T (RSP) |
1,200 |
+1,200 |
$203 | RSP | 1,200 | +1,200 | $203 | ISHARES TR |
0 |
-3,110 |
$0 (exited) | IEFA | 0 | -3,110 | $0 |
See Summary: Drexel Morgan & Co. Top Holdings
See Details: Top 10 Stocks Held By Drexel Morgan & Co.
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