Holdings Channel
EntityShares/Amount
Change
Position Value
Change
CHKP +31,643+$5,190
AZO +1,635+$5,153
IDXX +3,991+$2,155
DELL +16,375+$1,869
IVV +3,446+$1,812
SPY +2,750+$1,438
UBER +15,200+$1,170
HEI +5,613+$1,072
WCN +6,049+$1,040
POST +9,500+$1,010
EntityShares/Amount
Change
Position Value
Change
WBA -60,625-$1,583
SCHW -5,950-$409
KLG -26,675-$351
MAS -5,000-$335
FLO -13,248-$298
EntityShares/Amount
Change
Position Value
Change
WMT +501,066+$6,988
BAX +102,729+$5,337
OMC +93,785+$9,491
AAPL +83,222+$3,304
KO +54,673+$3,883
PFE +52,682+$37
TJX +35,879+$4,634
MRK +35,620+$11,988
AMZN +31,489+$13,940
BX +28,312+$3,741
EntityShares/Amount
Change
Position Value
Change
DD -121,272-$9,377
ENB -109,072-$3,922
FCX -85,588-$1,922
PARA -83,872-$1,599
JCI -77,955-$3,474
C -65,332-$2,055
GLW -63,320-$718
CARR -31,110-$1,701
SWK -30,520-$3,013
Size ($ in 1000's)
At 03/31/2024: $2,852,023
At 12/31/2023: $2,568,554

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

All Stocks Held By Meyer Handelman Co.
As of  03/31/2024, we find all stocks held by Meyer Handelman Co. to be as follows, presented in the table below with each row detailing each Meyer Handelman Co. position, ordered by largest to smallest position size. The all-stocks-held-by-Meyer Handelman 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 Meyer Handelman Co. as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
MICROSOFT CORP 496,655 +14,434 $209,007
     MSFT496,655+14,434$209,007
APPLE INC 604,207 +83,222 $103,609
     AAPL604,207+83,222$103,609
PROCTER AND GAMBLE CO 565,266 +2,604 $91,714
     PG565,266+2,604$91,714
HONEYWELL INTL INC 413,804 -19,383 $84,933
     HON413,804-19,383$84,933
TRANE TECHNOLOGIES PLC 272,923 -7,275 $81,931
     TT272,923-7,275$81,931
INTERNATIONAL BUSINESS MACHS 357,575 +25,718 $68,283
     IBM357,575+25,718$68,283
MCKESSON CORP 112,697 -4,472 $60,501
     MCK112,697-4,472$60,501
AMAZON COM INC 319,900 +31,489 $57,761
     AMZN319,900+31,489$57,761
JPMORGAN CHASE & CO 283,626 +22,518 $56,810
     JPM283,626+22,518$56,810
KIMBERLY CLARK CORP 438,817 -2,042 $56,761
     KMB438,817-2,042$56,761
QUALCOMM INC 311,471 -3,261 $52,732
     QCOM311,471-3,261$52,732
MARATHON PETE CORP 250,296 +10,620 $50,435
     MPC250,296+10,620$50,435
HOME DEPOT INC 131,359 +12,810 $50,389
     HD131,359+12,810$50,389
CATERPILLAR INC 129,226 -3,490 $47,352
     CAT129,226-3,490$47,352
MERCK & CO INC 353,445 +35,620 $46,637
     MRK353,445+35,620$46,637
ALPHABET INC 303,173 +10,883 $46,161
     GOOG303,173+10,883$46,161
EXXON MOBIL CORP 391,593 +21,702 $45,461
     XOM391,593+21,702$45,461
SYSCO CORP 556,794 +3,400 $45,201
     SYY556,794+3,400$45,201
WALMART INC 738,661 +501,066 $44,445
     WMT738,661+501,066$44,445
PEPSICO INC 253,769 +9,465 $44,412
     PEP253,769+9,465$44,412
ILLINOIS TOOL WKS INC 151,776 -310 $40,726
     ITW151,776-310$40,726
PFIZER INC 1,459,023 +52,682 $40,526
     PFE1,459,023+52,682$40,526
EATON CORP PLC 128,608 -6,005 $40,213
     ETN128,608-6,005$40,213
VERIZON COMMUNICATIONS INC 919,618 +21,132 $38,587
     VZ919,618+21,132$38,587
CHEVRON CORP NEW 224,914 -14,810 $35,478
     CVX224,914-14,810$35,478
AMGEN INC 121,131 +13,485 $34,440
     AMGN121,131+13,485$34,440
MCDONALDS CORP 116,685 +7,177 $32,899
     MCD116,685+7,177$32,899
INTEL CORP 722,103 -23,920 $31,895
     INTC722,103-23,920$31,895
GENERAL ELECTRIC CO 181,294 -18,519 $31,823
     GE181,294-18,519$31,823
BRISTOL MYERS SQUIBB CO 586,634 -25,069 $31,813
     BMY586,634-25,069$31,813
CISCO SYS INC 624,766 +2,863 $31,182
     CSCO624,766+2,863$31,182
GILEAD SCIENCES INC 392,112 +613 $28,722
     GILD392,112+613$28,722
ALLSTATE CORP 165,925 +20,813 $28,707
     ALL165,925+20,813$28,707
TEXAS INSTRS INC 159,513 -14,401 $27,789
     TXN159,513-14,401$27,789
PPG INDS INC 190,249 -765 $27,567
     PPG190,249-765$27,567
INGERSOLL RAND INC 276,957 -1,691 $26,297
     IR276,957-1,691$26,297
ABBVIE INC 139,683 +1,823 $25,436
     ABBV139,683+1,823$25,436
META PLATFORMS INC 51,714 +16,028 $25,111
     META51,714+16,028$25,111
JOHNSON & JOHNSON 150,015 +15,675 $23,735
     JNJ150,015+15,675$23,735
ELI LILLY & CO 30,144 -919 $23,451
     LLY30,144-919$23,451
VISA INC 76,363 +21,486 $21,311
     V76,363+21,486$21,311
RTX CORPORATION 216,068 -11,214 $21,073
     RTX216,068-11,214$21,073
3M CO 194,643 +4,778 $20,646
     MMM194,643+4,778$20,646
NEXTERA ENERGY INC 312,715 -895 $19,986
     NEE312,715-895$19,986
AUTOMATIC DATA PROCESSING IN 75,576 -70 $18,874
     ADP75,576-70$18,874
CONAGRA BRANDS INC 618,966 -7,785 $18,346
     CAG618,966-7,785$18,346
FREEPORT MCMORAN INC 386,796 -85,588 $18,187
     FCX386,796-85,588$18,187
COCA COLA CO 293,873 +54,673 $17,979
     KO293,873+54,673$17,979
DOW INC 306,679 -9,453 $17,766
     DOW306,679-9,453$17,766
COLGATE PALMOLIVE CO 188,406 -90 $16,966
     CL188,406-90$16,966
TJX COS INC NEW 166,574 +35,879 $16,894
     TJX166,574+35,879$16,894
NUCOR CORP 83,692 +10,160 $16,563
     NUE83,692+10,160$16,563
MEDTRONIC PLC 188,107 -21,441 $16,394
     MDT188,107-21,441$16,394
CORNING INC 482,122 -63,320 $15,891
     GLW482,122-63,320$15,891
ALPHABET INC 104,758 +23,707 $15,811
     GOOGL104,758+23,707$15,811
TE CONNECTIVITY LTD 105,823 -27,363 $15,370
     TEL105,823-27,363$15,370
GENUINE PARTS CO 97,234 -2,420 $15,064
     GPC97,234-2,420$15,064
WELLS FARGO CO NEW 255,944 +452 $14,835
     WFC255,944+452$14,835
DANAHER CORPORATION 58,523 +20,600 $14,614
     DHR58,523+20,600$14,614
MONDELEZ INTL INC 207,585 +20,550 $14,531
     MDLZ207,585+20,550$14,531
BAXTER INTL INC 334,817 +102,729 $14,310
     BAX334,817+102,729$14,310
LAMB WESTON HLDGS INC 133,537 -986 $14,226
     LW133,537-986$14,226
DUPONT DE NEMOURS INC 180,621 -121,272 $13,848
     DD180,621-121,272$13,848
EMERSON ELEC CO 118,610 -5,560 $13,453
     EMR118,610-5,560$13,453
OMNICOM GROUP INC 134,370 +93,785 $13,002
     OMC134,370+93,785$13,002
ABBOTT LABS 108,533 UNCH $12,336
     ABT108,533UNCH$12,336
NVIDIA CORPORATION 13,542 +257 $12,236
     NVDA13,542+257$12,236
BOEING CO 62,956 +3,576 $12,150
     BA62,956+3,576$12,150
STANLEY BLACK & DECKER INC 109,448 -30,520 $10,718
     SWK109,448-30,520$10,718
HALLIBURTON CO 267,949 -8,000 $10,563
     HAL267,949-8,000$10,563
SALESFORCE INC 35,045 +15 $10,555
     CRM35,045+15$10,555
ENTERGY CORP NEW 99,344 -19,400 $10,499
     ETR99,344-19,400$10,499
CVS HEALTH CORP 130,990 +7,656 $10,448
     CVS130,990+7,656$10,448
OTIS WORLDWIDE CORP 101,606 -11,986 $10,086
     OTIS101,606-11,986$10,086
BLACKSTONE INC 76,512 +28,312 $10,051
     BX76,512+28,312$10,051
CONOCOPHILLIPS 78,340 -6,335 $9,971
     COP78,340-6,335$9,971
ALLEGION PLC 73,362 -2,833 $9,883
     ALLE73,362-2,833$9,883
DUKE ENERGY CORP NEW 97,207 -20,493 $9,401
     DUK97,207-20,493$9,401
TARGET CORP 52,675 +1,745 $9,335
     TGT52,675+1,745$9,335
AIR PRODS & CHEMS INC 38,068 -4,680 $9,223
     APD38,068-4,680$9,223
GOLDMAN SACHS GROUP INC 21,900 UNCH $9,147
     GS21,900UNCH$9,147
NEWMONT CORP 246,105 -13,128 $8,820
     NEM246,105-13,128$8,820
JOHNSON CTLS INTL PLC 132,724 -77,955 $8,670
     JCI132,724-77,955$8,670
STARBUCKS CORP 93,388 -110 $8,535
     SBUX93,388-110$8,535
AMERICAN EXPRESS CO 34,500 UNCH $7,855
     AXP34,500UNCH$7,855
INTERNATIONAL PAPER CO 197,884 -16,542 $7,721
     IP197,884-16,542$7,721
GENERAL MLS INC 106,680 UNCH $7,464
     GIS106,680UNCH$7,464
HP INC 246,894 -9,200 $7,461
     HPQ246,894-9,200$7,461
CARRIER GLOBAL CORPORATION 127,115 -31,110 $7,389
     CARR127,115-31,110$7,389
ZIMMER BIOMET HOLDINGS INC 54,260 -2,780 $7,161
     ZBH54,260-2,780$7,161
CITIGROUP INC 110,695 -65,332 $7,000
     C110,695-65,332$7,000
MARATHON OIL CORP 243,580 -1,220 $6,903
     MRO243,580-1,220$6,903
PHILLIPS 66 39,872 UNCH $6,513
     PSX39,872UNCH$6,513
TRAVELERS COMPANIES INC 27,450 UNCH $6,317
     TRV27,450UNCH$6,317
PHILIP MORRIS INTL INC 68,434 +12,936 $6,270
     PM68,434+12,936$6,270
AMERICAN ELEC PWR CO INC 71,139 -15 $6,125
     AEP71,139-15$6,125
KELLANOVA 106,700 UNCH $6,113
     K106,700UNCH$6,113
DISNEY WALT CO 47,068 -3,193 $5,759
     DIS47,068-3,193$5,759
SCHLUMBERGER LTD 95,982 -23,870 $5,261
     SLB95,982-23,870$5,261
CHECK POINT SOFTWARE TECH LT 31,643 +31,643 $5,190
     CHKP31,643+31,643$5,190
AUTOZONE INC 1,635 +1,635 $5,153
     AZO1,635+1,635$5,153
KRAFT HEINZ CO 134,143 -16,865 $4,950
     KHC134,143-16,865$4,950
MOTOROLA SOLUTIONS INC 13,821 -220 $4,906
     MSI13,821-220$4,906
THE CIGNA GROUP 12,508 -1,000 $4,543
     CI12,508-1,000$4,543
SEMPRA 61,975 -6,496 $4,452
     SRE61,975-6,496$4,452
CAMPBELL SOUP CO 97,735 -5,100 $4,344
     CPB97,735-5,100$4,344
BP PLC 112,669 -9,150 $4,245
     BP112,669-9,150$4,245
SYNOPSYS INC 7,380 UNCH $4,218
     SNPS7,380UNCH$4,218
ALTRIA GROUP INC 96,482 +23,800 $4,209
     MO96,482+23,800$4,209
REGENERON PHARMACEUTICALS 4,265 UNCH $4,105
     REGN4,265UNCH$4,105
S&P GLOBAL INC 9,400 -4,026 $3,999
     SPGI9,400-4,026$3,999
DEVON ENERGY CORP NEW 75,031 -900 $3,765
     DVN75,031-900$3,765
EDWARDS LIFESCIENCES CORP 39,108 +3,972 $3,737
     EW39,108+3,972$3,737
HEWLETT PACKARD ENTERPRISE C 209,244 -12,600 $3,710
     HPE209,244-12,600$3,710
METLIFE INC 46,299 UNCH $3,431
     MET46,299UNCH$3,431
GE HEALTHCARE TECHNOLOGIES I 35,896 -5,267 $3,263
     GEHC35,896-5,267$3,263
QUANTA SVCS INC 12,500 -750 $3,248
     PWR12,500-750$3,248
XCEL ENERGY INC 58,870 -475 $3,164
     XEL58,870-475$3,164
BECTON DICKINSON & CO 12,046 UNCH $2,981
     BDX12,046UNCH$2,981
SEALED AIR CORP NEW 79,173 -13,227 $2,945
     SEE79,173-13,227$2,945
WEYERHAEUSER CO MTN BE 78,886 -12,417 $2,833
     WY78,886-12,417$2,833
XYLEM INC 21,046 -3,720 $2,720
     XYL21,046-3,720$2,720
CORTEVA INC 46,360 -489 $2,674
     CTVA46,360-489$2,674
UNION PAC CORP 10,850 UNCH $2,668
     UNP10,850UNCH$2,668
MORGAN STANLEY 28,242 -29,564 $2,659
     MS28,242-29,564$2,659
AT&T INC 142,511 -29,614 $2,508
     T142,511-29,614$2,508
FORTIVE CORP 26,500 +11,250 $2,280
     FTV26,500+11,250$2,280
WEC ENERGY GROUP INC 27,740 -3,050 $2,278
     WEC27,740-3,050$2,278
ENBRIDGE INC 59,554 -109,072 $2,155
     ENB59,554-109,072$2,155
IDEXX LABS INC 3,991 +3,991 $2,155
     IDXX3,991+3,991$2,155
BERKSHIRE HATHAWAY INC DEL      $2,149
     BRK.B5,110+3,450$2,149
LOCKHEED MARTIN CORP 4,649 +764 $2,115
     LMT4,649+764$2,115
NETFLIX INC 3,358 +25 $2,039
     NFLX3,358+25$2,039
AUTOLIV INC 15,973 UNCH $1,924
     ALV15,973UNCH$1,924
DELL TECHNOLOGIES INC 16,375 +16,375 $1,869
     DELL16,375+16,375$1,869
ISHARES TR (IVV) 3,446 +3,446 $1,812
     IVV3,446+3,446$1,812
SENSIENT TECHNOLOGIES CORP 25,200 -16,000 $1,744
     SXT25,200-16,000$1,744
CARDINAL HEALTH INC 15,122 UNCH $1,692
     CAH15,122UNCH$1,692
OCCIDENTAL PETE CORP 25,960 -8,700 $1,687
     OXY25,960-8,700$1,687
ZOETIS INC 9,571 -150 $1,620
     ZTS9,571-150$1,620
COMMERCE BANCSHARES INC (CBSH) 29,809 -3,500 $1,586
     CBSH29,809-3,500$1,586
BROADRIDGE FINL SOLUTIONS IN 7,610 -990 $1,559
     BR7,610-990$1,559
VERALTO CORP 17,425 +4,722 $1,545
     VLTO17,425+4,722$1,545
MARRIOTT INTL INC NEW 5,813 -385 $1,467
     MAR5,813-385$1,467
SPDR S&P 500 ETF TR (SPY) 2,750 +2,750 $1,438
     SPY2,750+2,750$1,438
PARAMOUNT GLOBAL 118,542 -83,872 $1,395
     PARA118,542-83,872$1,395
ADOBE INC 2,506 UNCH $1,265
     ADBE2,506UNCH$1,265
COSTCO WHSL CORP NEW 1,713 +1,313 $1,255
     COST1,713+1,313$1,255
UBER TECHNOLOGIES INC 15,200 +15,200 $1,170
     UBER15,200+15,200$1,170
PENTAIR PLC 13,620 -747 $1,164
     PNR13,620-747$1,164
EASTMAN CHEM CO 11,500 UNCH $1,153
     EMN11,500UNCH$1,153
SYNCHRONY FINANCIAL 26,284 UNCH $1,133
     SYF26,284UNCH$1,133
HEICO CORP NEW 5,613 +5,613 $1,072
     HEI5,613+5,613$1,072
COMCAST CORP NEW 24,196 -7,000 $1,049
     CMCSA24,196-7,000$1,049
MATERION CORP 7,900 -200 $1,041
     MTRN7,900-200$1,041
WASTE CONNECTIONS INC 6,049 +6,049 $1,040
     WCN6,049+6,049$1,040
COMERICA INC 18,631 UNCH $1,025
     CMA18,631UNCH$1,025
GSK PLC 23,587 UNCH $1,011
     GSK23,587UNCH$1,011
POST HLDGS INC 9,500 +9,500 $1,010
     POST9,500+9,500$1,010
HERSHEY CO 4,800 UNCH $934
     HSY4,800UNCH$934
AUTODESK INC 3,467 +3,467 $903
     ADSK3,467+3,467$903
YUM BRANDS INC 6,340 -700 $879
     YUM6,340-700$879
ITT INC 6,450 UNCH $877
     ITT6,450UNCH$877
DEERE & CO 2,075 -450 $852
     DE2,075-450$852
APTIV PLC 10,670 -11,070 $850
     APTV10,670-11,070$850
TESLA INC 4,780 +30 $840
     TSLA4,780+30$840
AMERICAN TOWER CORP NEW 4,053 +4,053 $801
     AMT4,053+4,053$801
KEMPER CORP 10,860 UNCH $672
     KMPR10,860UNCH$672
WASTE MGMT INC DEL 3,050 -150 $650
     WM3,050-150$650
ALBEMARLE CORP 4,900 -750 $646
     ALB4,900-750$646
UNITED PARCEL SERVICE INC 4,300 -1,300 $639
     UPS4,300-1,300$639
SERVICENOW INC 825 +825 $629
     NOW825+825$629
FIRSTENERGY CORP 15,667 UNCH $605
     FE15,667UNCH$605
FASTENAL CO 7,000 UNCH $540
     FAST7,000UNCH$540
AAR CORP 9,000 -4,500 $539
     AIR9,000-4,500$539
LOUISIANA PAC CORP 6,300 UNCH $529
     LPX6,300UNCH$529
HARTFORD FINL SVCS GROUP INC 4,998 -3,320 $515
     HIG4,998-3,320$515
SL GREEN RLTY CORP 7,990 UNCH $440
     SLG7,990UNCH$440
ELEVANCE HEALTH INC 800 UNCH $415
     ELV800UNCH$415
BROADCOM INC 300 UNCH $398
     AVGO300UNCH$398
FISERV INC 2,400 -228 $384
     FI2,400-228$384
PAYCHEX INC 3,100 -1,800 $381
     PAYX3,100-1,800$381
YUM CHINA HLDGS INC 9,090 -2,200 $362
     YUMC9,090-2,200$362
LOWES COS INC 1,357 UNCH $346
     LOW1,357UNCH$346
FRESENIUS MEDICAL CARE AG 16,000 UNCH $308
     FMS16,000UNCH$308
DOMINION ENERGY INC 6,093 -3,640 $300
     D6,093-3,640$300
CYBERARK SOFTWARE LTD 1,025 UNCH $272
     CYBR1,025UNCH$272
MASTERCARD INCORPORATED 560 +560 $270
     MA560+560$270
COSTAR GROUP INC 2,750 +2,750 $266
     CSGP2,750+2,750$266
ADVANCED MICRO DEVICES INC 1,409 -314 $254
     AMD1,409-314$254
ALIBABA GROUP HLDG LTD 3,420 -2,075 $247
     BABA3,420-2,075$247
VERTEX PHARMACEUTICALS INC 575 UNCH $240
     VRTX575UNCH$240
TAIWAN SEMICONDUCTOR MFG LTD 1,703 +1,703 $232
     TSM1,703+1,703$232
LINDE PLC 496 +496 $230
     LIN496+496$230
CAMECO CORP 5,200 UNCH $225
     CCJ5,200UNCH$225
VANGUARD INDEX FDS (VOO) 454 -227 $218
     VOO454-227$218
BANK NEW YORK MELLON CORP 3,696 +3,696 $213
     BK3,696+3,696$213
BLACKROCK INC 255 UNCH $213
     BLK255UNCH$213
MERCADOLIBRE INC 140 UNCH $212
     MELI140UNCH$212
RELMADA THERAPEUTICS INC 32,545 UNCH $151
     RLMD32,545UNCH$151
ELICIO THERAPEUTICS INC 13,899 UNCH $106
     ELTX13,899UNCH$106
PITNEY BOWES INC 15,000 UNCH $65
     PBI15,000UNCH$65
STANDARD BIOTOOLS INC 17,500 +0 $47
     LAB17,500UNCH$47
FLOWERS FOODS INC $0 (exited)
     FLO0-13,248$0
WK KELLOGG CO $0 (exited)
     KLG0-26,675$0
MASCO CORP $0 (exited)
     MAS0-5,000$0
SCHWAB CHARLES CORP $0 (exited)
     SCHW0-5,950$0
WALGREENS BOOTS ALLIANCE INC 0 -60,625 $0 (exited)
     WBA0-60,625$0

See Summary: Meyer Handelman Co. Top Holdings
See Details: Top 10 Stocks Held By Meyer Handelman Co.

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