|
Entity | Shares/Amount Change | Position Value Change |
VLTO |
+193,547 | +$15,921 | VRT |
+164,004 | +$7,877 | FI |
+36,522 | +$4,852 | MKC |
+30,418 | +$2,081 | RVTY |
+6,719 | +$734 | VOO |
+570 | +$249 | PSA |
+725 | +$221 | PLXS |
+1,980 | +$214 | CRM |
+805 | +$212 | TEL |
+1,493 | +$210 |
Entity | Shares/Amount Change | Position Value Change |
FISV |
-37,411 | -$4,226 | PKI |
-7,165 | -$793 | SGEN |
-2,988 | -$634 | BFH |
-9,462 | -$324 | KVUE |
-12,232 | -$246 | VB |
-1,225 | -$232 | CVX |
-1,373 | -$232 | PYPL |
-3,779 | -$221 | TROW |
-2,045 | -$214 | VMW |
-1,249 | -$208 |
Entity | Shares/Amount Change | Position Value Change |
SOFI |
+123,234 | +$1,275 | ALC |
+111,826 | +$8,743 | CCK |
+82,192 | +$8,135 | NET |
+47,597 | +$4,953 | PRGO |
+41,782 | +$1,385 | XYL |
+19,714 | +$9,590 | APH |
+16,377 | +$5,500 | CRSP |
+15,870 | +$2,304 | IBM |
+12,002 | +$3,891 | UBER |
+8,458 | +$1,519 |
Entity | Shares/Amount Change | Position Value Change |
UL |
-117,794 | -$6,043 | TILE |
-77,825 | -$18 | IFF |
-49,877 | -$3,362 | SBUX |
-45,739 | -$3,857 | NVO |
-40,118 | +$1,970 | ILMN |
-29,366 | -$3,930 | AAPL |
-25,887 | +$6,110 | DIS |
-23,674 | -$1,791 | ADI |
-23,038 | +$2,330 |
Size ($ in 1000's)
At 12/31/2023: $1,578,996 At 09/30/2023: $1,455,229
Reynders McVeigh Capital Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Reynders McVeigh Capital Management LLC 13F filings.
Link to 13F filings: SEC filings
|
|
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As of 12/31/2023, we find all stocks held by Reynders McVeigh Capital Management LLC to be as follows, presented in the
table below with each row detailing each Reynders McVeigh Capital Management LLC position, ordered by largest to smallest position size.
The all-stocks-held-by-Reynders McVeigh Capital Management LLC table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Reynders McVeigh Capital Management LLC as of the latest filing.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
Apple Inc |
494,489 |
-25,887 |
$95,204 | AAPL | 494,489 | -25,887 | $95,204 | NVIDIA Corp |
154,176 |
-16,561 |
$76,351 | NVDA | 154,176 | -16,561 | $76,351 | Microsoft Corp |
184,538 |
-6,049 |
$69,394 | MSFT | 184,538 | -6,049 | $69,394 | MasterCard Inc Cl A |
144,635 |
-5,445 |
$61,688 | MA | 144,635 | -5,445 | $61,688 | Rockwell Automation Inc |
191,793 |
-3,020 |
$59,548 | ROK | 191,793 | -3,020 | $59,548 | Analog Devices Inc |
271,142 |
-23,038 |
$53,838 | ADI | 271,142 | -23,038 | $53,838 | Carrier Global Corporation Com |
936,445 |
-15,931 |
$53,799 | CARR | 936,445 | -15,931 | $53,799 | Danaher Corp |
217,218 |
-1,452 |
$50,251 | DHR | 217,218 | -1,452 | $50,251 | Novo Nordisk AS ADR |
449,106 |
-40,118 |
$46,460 | NVO | 449,106 | -40,118 | $46,460 | Canadian National Railway Co |
362,934 |
-16,669 |
$45,595 | CNI | 362,934 | -16,669 | $45,595 | Abbott Laboratories |
385,965 |
-1,492 |
$42,483 | ABT | 385,965 | -1,492 | $42,483 | Xylem Inc |
334,108 |
+19,714 |
$38,209 | XYL | 334,108 | +19,714 | $38,209 | Alphabet Inc Cap Stock Cl A |
269,737 |
-14,397 |
$37,680 | GOOGL | 269,737 | -14,397 | $37,680 | Nike Inc Cl B |
340,610 |
-5,457 |
$36,980 | NKE | 340,610 | -5,457 | $36,980 | T Mobile US Inc |
228,290 |
-3,636 |
$36,602 | TMUS | 228,290 | -3,636 | $36,602 | AptarGroup Inc |
290,051 |
-3,709 |
$35,856 | ATR | 290,051 | -3,709 | $35,856 | Stryker Corp |
107,521 |
-3,066 |
$32,198 | SYK | 107,521 | -3,066 | $32,198 | Automatic Data Processing Inc |
135,693 |
-6,510 |
$31,612 | ADP | 135,693 | -6,510 | $31,612 | TJX Cos Inc |
310,703 |
+5,532 |
$29,147 | TJX | 310,703 | +5,532 | $29,147 | New York Times Co Cl A |
592,453 |
-8,745 |
$29,024 | NYT | 592,453 | -8,745 | $29,024 | Becton Dickinson & Co |
113,262 |
+4,211 |
$27,617 | BDX | 113,262 | +4,211 | $27,617 | Amphenol Corp Cl A |
272,386 |
+16,377 |
$27,002 | APH | 272,386 | +16,377 | $27,002 | Alphabet Inc Cap Stock Cl C |
185,806 |
-7,213 |
$26,186 | GOOG | 185,806 | -7,213 | $26,186 | Tesla Motors Inc |
101,938 |
-2,959 |
$25,330 | TSLA | 101,938 | -2,959 | $25,330 | Amazon.com Inc |
160,565 |
-1,161 |
$24,396 | AMZN | 160,565 | -1,161 | $24,396 | Waste Management Inc |
128,196 |
-1,621 |
$22,960 | WM | 128,196 | -1,621 | $22,960 | Procter & Gamble Co |
155,102 |
+6,279 |
$22,729 | PG | 155,102 | +6,279 | $22,729 | Crown Holdings Inc |
239,041 |
+82,192 |
$22,013 | CCK | 239,041 | +82,192 | $22,013 | CVS Health Corporation |
258,436 |
-16,199 |
$20,406 | CVS | 258,436 | -16,199 | $20,406 | Home Depot Inc |
51,646 |
+899 |
$17,898 | HD | 51,646 | +899 | $17,898 | Medtronic PLC |
214,097 |
-7,788 |
$17,637 | MDT | 214,097 | -7,788 | $17,637 | Aptiv PLC |
179,744 |
+8,098 |
$16,127 | APTV | 179,744 | +8,098 | $16,127 | Veralto Corp |
193,547 |
+193,547 |
$15,921 | VLTO | 193,547 | +193,547 | $15,921 | Intl Business Machines |
94,929 |
+12,002 |
$15,526 | IBM | 94,929 | +12,002 | $15,526 | Johnson & Johnson |
96,027 |
-3,309 |
$15,051 | JNJ | 96,027 | -3,309 | $15,051 | Teradyne Inc |
138,075 |
+2,648 |
$14,984 | TER | 138,075 | +2,648 | $14,984 | Novartis AG Sp ADR |
125,105 |
-1,419 |
$12,632 | NVS | 125,105 | -1,419 | $12,632 | Unilever PLC Sp ADR |
243,814 |
-117,794 |
$11,820 | UL | 243,814 | -117,794 | $11,820 | Advanced Micro Devices Inc |
77,357 |
-1,787 |
$11,403 | AMD | 77,357 | -1,787 | $11,403 | Alcon Inc |
118,791 |
+111,826 |
$9,280 | ALC | 118,791 | +111,826 | $9,280 | ASML Holding NV NY Registry |
11,180 |
+2,475 |
$8,462 | ASML | 11,180 | +2,475 | $8,462 | Cloudflare Inc Cl A Com |
96,555 |
+47,597 |
$8,039 | NET | 96,555 | +47,597 | $8,039 | Vertiv Holdings Co Cl A |
164,004 |
+164,004 |
$7,877 | VRT | 164,004 | +164,004 | $7,877 | Costco Wholesale Corp |
11,215 |
-302 |
$7,403 | COST | 11,215 | -302 | $7,403 | Illumina Inc |
51,340 |
-29,366 |
$7,149 | ILMN | 51,340 | -29,366 | $7,149 | Perrigo Co PLC |
219,867 |
+41,782 |
$7,075 | PRGO | 219,867 | +41,782 | $7,075 | Vertex Pharmaceuticals Inc |
16,141 |
+2,070 |
$6,568 | VRTX | 16,141 | +2,070 | $6,568 | Starbucks Corp |
67,032 |
-45,739 |
$6,436 | SBUX | 67,032 | -45,739 | $6,436 | Abbvie Inc |
40,897 |
-733 |
$6,338 | ABBV | 40,897 | -733 | $6,338 | Enphase Energy Inc |
47,093 |
-557 |
$6,223 | ENPH | 47,093 | -557 | $6,223 | Eli Lilly & Co |
10,307 |
-100 |
$6,008 | LLY | 10,307 | -100 | $6,008 | MarketAxess Holdings Inc |
20,041 |
-4,538 |
$5,869 | MKTX | 20,041 | -4,538 | $5,869 | Crispr Therapeutics |
92,048 |
+15,870 |
$5,762 | CRSP | 92,048 | +15,870 | $5,762 | Thermo Fisher Scientific Inc |
10,449 |
-735 |
$5,546 | TMO | 10,449 | -735 | $5,546 | Visa Inc Cl A |
19,505 |
-364 |
$5,078 | V | 19,505 | -364 | $5,078 | Veeva Systems Inc Cl A |
25,738 |
-12,198 |
$4,955 | VEEV | 25,738 | -12,198 | $4,955 | Fiserv Inc |
36,522 |
+36,522 |
$4,852 | FI | 36,522 | +36,522 | $4,852 | Merck & Co Inc |
43,685 |
-569 |
$4,763 | MRK | 43,685 | -569 | $4,763 | PepsiCo Inc |
27,367 |
+616 |
$4,648 | PEP | 27,367 | +616 | $4,648 | Uber Technologies Inc |
72,502 |
+8,458 |
$4,464 | UBER | 72,502 | +8,458 | $4,464 | Berkshire Hathaway Inc Cl B |
|
|
$3,939 | BRK.B | 11,045 | -900 | $3,939 | McDonalds Corp |
12,740 |
+71 |
$3,778 | MCD | 12,740 | +71 | $3,778 | Union Pacific Corp |
15,182 |
-145 |
$3,729 | UNP | 15,182 | -145 | $3,729 | Descartes Systems Group Inc U |
42,634 |
-155 |
$3,584 | DSGX | 42,634 | -155 | $3,584 | SPDR S&P 500 Index ETF (SPY) |
7,184 |
+315 |
$3,414 | SPY | 7,184 | +315 | $3,414 | Interface Inc |
265,458 |
-77,825 |
$3,350 | TILE | 265,458 | -77,825 | $3,350 | Church & Dwight Inc |
35,234 |
-105 |
$3,332 | CHD | 35,234 | -105 | $3,332 | Oracle Corp |
26,264 |
-50 |
$2,769 | ORCL | 26,264 | -50 | $2,769 | Amgen Inc |
9,074 |
-59 |
$2,613 | AMGN | 9,074 | -59 | $2,613 | Vanguard Index Funds Growth ET (VUG) |
8,276 |
-415 |
$2,573 | VUG | 8,276 | -415 | $2,573 | Equifax Inc |
9,012 |
UNCH |
$2,229 | EFX | 9,012 | UNCH | $2,229 | Vanguard Specialized Portfolio (VIG) |
12,474 |
+60 |
$2,126 | VIG | 12,474 | +60 | $2,126 | McCormick & Co Inc Non Vtg |
30,418 |
+30,418 |
$2,081 | MKC | 30,418 | +30,418 | $2,081 | Tyler Technologies Inc |
4,933 |
+250 |
$2,063 | TYL | 4,933 | +250 | $2,063 | Honeywell Intl Inc |
9,700 |
-320 |
$2,034 | HON | 9,700 | -320 | $2,034 | NXP Semiconductors NV |
8,380 |
-290 |
$1,925 | NXPI | 8,380 | -290 | $1,925 | Applied Materials Inc |
9,438 |
-408 |
$1,530 | AMAT | 9,438 | -408 | $1,530 | S&P Global Inc |
3,435 |
-16 |
$1,513 | SPGI | 3,435 | -16 | $1,513 | Sofi Technologies Inc |
147,808 |
+123,234 |
$1,471 | SOFI | 147,808 | +123,234 | $1,471 | Ormat Technologies Inc |
19,161 |
-3,960 |
$1,452 | ORA | 19,161 | -3,960 | $1,452 | DexCom Inc |
11,595 |
-7,598 |
$1,439 | DXCM | 11,595 | -7,598 | $1,439 | iShares Tr S&P Mid Cap 400 (IJH) |
5,062 |
-451 |
$1,403 | IJH | 5,062 | -451 | $1,403 | Moderna Inc |
13,963 |
+3,588 |
$1,389 | MRNA | 13,963 | +3,588 | $1,389 | NextEra Energy Inc |
22,565 |
-7,992 |
$1,371 | NEE | 22,565 | -7,992 | $1,371 | CSX Corp |
38,060 |
-2,000 |
$1,320 | CSX | 38,060 | -2,000 | $1,320 | Broadcom Inc |
1,116 |
-25 |
$1,246 | AVGO | 1,116 | -25 | $1,246 | Walt Disney Co |
13,796 |
-23,674 |
$1,246 | DIS | 13,796 | -23,674 | $1,246 | Cisco Systems Inc |
24,607 |
-4,217 |
$1,243 | CSCO | 24,607 | -4,217 | $1,243 | iShares Tr Russell Mid Cap Gro (IWP) |
11,738 |
-300 |
$1,226 | IWP | 11,738 | -300 | $1,226 | Bristol Myers Squibb Co |
23,094 |
-2,039 |
$1,185 | BMY | 23,094 | -2,039 | $1,185 | Deere & Co |
2,946 |
-553 |
$1,178 | DE | 2,946 | -553 | $1,178 | Zoetis Inc Cl A |
5,944 |
-1,010 |
$1,173 | ZTS | 5,944 | -1,010 | $1,173 | Sysco Corp |
15,634 |
-19,109 |
$1,143 | SYY | 15,634 | -19,109 | $1,143 | MercadoLibre Inc |
701 |
-76 |
$1,102 | MELI | 701 | -76 | $1,102 | Mettler Toledo International |
841 |
+115 |
$1,020 | MTD | 841 | +115 | $1,020 | Intuitive Surgical Inc |
2,901 |
-2,157 |
$979 | ISRG | 2,901 | -2,157 | $979 | Idexx Laboratories Inc |
1,660 |
UNCH |
$921 | IDXX | 1,660 | UNCH | $921 | Intel Corp |
18,009 |
-2,719 |
$905 | INTC | 18,009 | -2,719 | $905 | Norfolk Southern Corp |
3,821 |
UNCH |
$903 | NSC | 3,821 | UNCH | $903 | Booking Holdings Inc |
246 |
UNCH |
$873 | BKNG | 246 | UNCH | $873 | JPMorgan Chase & Co |
5,054 |
-960 |
$860 | JPM | 5,054 | -960 | $860 | Raytheon Technologies Corp |
10,076 |
-1,446 |
$848 | RTX | 10,076 | -1,446 | $848 | General Mills Inc |
12,470 |
-288 |
$812 | GIS | 12,470 | -288 | $812 | Vanguard Index Funds Stock Mkt (VTI) |
3,280 |
+590 |
$778 | VTI | 3,280 | +590 | $778 | Wal Mart Stores Inc |
4,877 |
-372 |
$769 | WMT | 4,877 | -372 | $769 | Colgate Palmolive Co |
9,627 |
-831 |
$767 | CL | 9,627 | -831 | $767 | Fidelity Natl Information Serv |
12,593 |
-26 |
$756 | FIS | 12,593 | -26 | $756 | Accenture Ltd Bermuda Cl A |
2,122 |
-186 |
$745 | ACN | 2,122 | -186 | $745 | Emerson Electric Co |
7,609 |
-1,587 |
$741 | EMR | 7,609 | -1,587 | $741 | Revvity Inc Com |
6,719 |
+6,719 |
$734 | RVTY | 6,719 | +6,719 | $734 | Intuit |
1,152 |
-5 |
$720 | INTU | 1,152 | -5 | $720 | Moodys Corp |
1,821 |
-28 |
$711 | MCO | 1,821 | -28 | $711 | Palo Alto Networks Inc |
2,403 |
-694 |
$709 | PANW | 2,403 | -694 | $709 | Kimberly Clark Corp |
5,754 |
-105 |
$699 | KMB | 5,754 | -105 | $699 | Target Corp |
4,900 |
-94 |
$698 | TGT | 4,900 | -94 | $698 | Air Prods & Chems Inc |
2,500 |
-92 |
$684 | APD | 2,500 | -92 | $684 | Exxon Mobil Corp |
6,734 |
-1,972 |
$673 | XOM | 6,734 | -1,972 | $673 | DuPont de Nemours Inc |
8,703 |
UNCH |
$669 | DD | 8,703 | UNCH | $669 | iShares S&P 500 Growth (IVW) |
8,895 |
UNCH |
$668 | IVW | 8,895 | UNCH | $668 | SPDR Series Trust S&P Div ETF (SDY) |
5,291 |
-575 |
$661 | SDY | 5,291 | -575 | $661 | Illinois Tool Works Inc |
2,421 |
-3 |
$634 | ITW | 2,421 | -3 | $634 | Caterpillar Inc |
2,134 |
-78 |
$631 | CAT | 2,134 | -78 | $631 | Pfizer Inc |
21,751 |
-7,209 |
$626 | PFE | 21,751 | -7,209 | $626 | Linde Plc |
1,492 |
-150 |
$613 | LIN | 1,492 | -150 | $613 | Adobe Inc |
993 |
-72 |
$593 | ADBE | 993 | -72 | $593 | iShares Tr Russell 1000 Growth (IWF) |
1,952 |
-366 |
$592 | IWF | 1,952 | -366 | $592 | Paychex Inc |
4,942 |
-468 |
$589 | PAYX | 4,942 | -468 | $589 | Coca Cola Co |
9,800 |
-349 |
$578 | KO | 9,800 | -349 | $578 | iShares Tr S&P 500 Index (IVV) |
1,197 |
-700 |
$572 | IVV | 1,197 | -700 | $572 | American Express Co |
3,015 |
UNCH |
$565 | AXP | 3,015 | UNCH | $565 | Roper Industries Inc |
955 |
-12 |
$521 | ROP | 955 | -12 | $521 | Enterprise Products Partners L |
19,596 |
UNCH |
$516 | EPD | 19,596 | UNCH | $516 | Darden Restaurants Inc |
3,000 |
UNCH |
$493 | DRI | 3,000 | UNCH | $493 | Vanguard Mid Cap Growth Index (VOT) |
2,241 |
+29 |
$492 | VOT | 2,241 | +29 | $492 | Ecolab Inc |
2,441 |
-130 |
$484 | ECL | 2,441 | -130 | $484 | Meta Platforms Inc |
1,361 |
-39 |
$482 | META | 1,361 | -39 | $482 | Taiwan Semiconductor Mfg Ltd S |
4,528 |
-50 |
$471 | TSM | 4,528 | -50 | $471 | Trane Technologies PLC SHS |
1,854 |
UNCH |
$452 | TT | 1,854 | UNCH | $452 | Insulet Corp |
2,013 |
-14 |
$437 | PODD | 2,013 | -14 | $437 | WisdomTree Trust Large Cap Div |
6,500 |
UNCH |
$431 | DLN | 6,500 | UNCH | $431 | Fortune Brands Innovations Inc |
5,497 |
-1,070 |
$419 | FBIN | 5,497 | -1,070 | $419 | NetApp Inc |
4,750 |
UNCH |
$419 | NTAP | 4,750 | UNCH | $419 | Edwards Lifesciences Corp |
5,452 |
+625 |
$416 | EW | 5,452 | +625 | $416 | iShares Tr S&P 500 Value (IVE) |
2,393 |
UNCH |
$416 | IVE | 2,393 | UNCH | $416 | iShares Tr S&P Mid Cap Value (IJJ) |
3,600 |
UNCH |
$411 | IJJ | 3,600 | UNCH | $411 | Texas Instruments Inc |
2,409 |
-285 |
$411 | TXN | 2,409 | -285 | $411 | Marsh & McLennan Cos Inc |
2,100 |
-200 |
$398 | MMC | 2,100 | -200 | $398 | Bank of America Corporation |
11,758 |
-7,573 |
$396 | BAC | 11,758 | -7,573 | $396 | iShares Russell 1000 (IWB) |
1,501 |
+128 |
$394 | IWB | 1,501 | +128 | $394 | Mondelez Intl Inc Cl A |
5,440 |
-33 |
$394 | MDLZ | 5,440 | -33 | $394 | DTE Energy Co |
3,541 |
-325 |
$390 | DTE | 3,541 | -325 | $390 | Sherwin Williams Co |
1,214 |
-65 |
$379 | SHW | 1,214 | -65 | $379 | UnitedHealth Group Inc |
720 |
-188 |
$379 | UNH | 720 | -188 | $379 | Extra Space Storage Inc |
2,347 |
UNCH |
$376 | EXR | 2,347 | UNCH | $376 | Carlisle Cos Inc |
1,197 |
-200 |
$374 | CSL | 1,197 | -200 | $374 | United Parcel Service Inc Cl B |
2,371 |
-454 |
$373 | UPS | 2,371 | -454 | $373 | Clorox Co |
2,607 |
-720 |
$372 | CLX | 2,607 | -720 | $372 | Gallagher Arthur J & Co |
1,650 |
UNCH |
$371 | AJG | 1,650 | UNCH | $371 | ProLogis Inc |
2,766 |
-150 |
$369 | PLD | 2,766 | -150 | $369 | Envista Holdings Corporation |
15,265 |
-7,048 |
$367 | NVST | 15,265 | -7,048 | $367 | iShares Russell 3000 (IWV) |
1,301 |
-150 |
$356 | IWV | 1,301 | -150 | $356 | 3M Co |
3,228 |
-875 |
$353 | MMM | 3,228 | -875 | $353 | Vanguard Admiral Funds Inc 500 (VOOG) |
1,292 |
-150 |
$350 | VOOG | 1,292 | -150 | $350 | Duke Energy Corp |
3,558 |
UNCH |
$345 | DUK | 3,558 | UNCH | $345 | Boeing Co |
1,269 |
-5 |
$331 | BA | 1,269 | -5 | $331 | Powershares Exchange Traded Fd (RSP) |
2,063 |
UNCH |
$326 | RSP | 2,063 | UNCH | $326 | Wec Energy Group Inc |
3,744 |
-340 |
$315 | WEC | 3,744 | -340 | $315 | Cognizant Technology Solutions |
3,973 |
-100 |
$300 | CTSH | 3,973 | -100 | $300 | Corteva Inc |
6,227 |
UNCH |
$298 | CTVA | 6,227 | UNCH | $298 | Lowes Cos Inc |
1,327 |
-584 |
$295 | LOW | 1,327 | -584 | $295 | Constellation Brands Inc Cl A |
1,214 |
UNCH |
$294 | STZ | 1,214 | UNCH | $294 | Vanguard Index Funds Value ETF (VTV) |
1,937 |
-75 |
$290 | VTV | 1,937 | -75 | $290 | EastGroup Property Inc |
1,500 |
UNCH |
$275 | EGP | 1,500 | UNCH | $275 | Nucor Corp |
1,575 |
UNCH |
$274 | NUE | 1,575 | UNCH | $274 | Verizon Communications Inc |
6,740 |
-1,150 |
$254 | VZ | 6,740 | -1,150 | $254 | Regeneron Pharmaceuticals |
286 |
UNCH |
$251 | REGN | 286 | UNCH | $251 | RPM Intl Inc |
2,250 |
UNCH |
$251 | RPM | 2,250 | UNCH | $251 | Vanguard S&P 500 ETF (VOO) |
570 |
+570 |
$249 | VOO | 570 | +570 | $249 | International Flavors & Fragra |
3,018 |
-49,877 |
$244 | IFF | 3,018 | -49,877 | $244 | Chubb Limited Com |
1,062 |
-155 |
$240 | CB | 1,062 | -155 | $240 | FedEx Corp |
886 |
-118 |
$224 | FDX | 886 | -118 | $224 | Vanguard Tax Mgd FTSE Dev Mkt (VEA) |
4,672 |
UNCH |
$224 | VEA | 4,672 | UNCH | $224 | Public Storage |
725 |
+725 |
$221 | PSA | 725 | +725 | $221 | Berkshire Hathaway Inc Cl B |
|
|
$214 | CL B NEW | 600 | UNCH | $214 | Plexus Corp |
1,980 |
+1,980 |
$214 | PLXS | 1,980 | +1,980 | $214 | Dow Inc |
3,888 |
UNCH |
$213 | DOW | 3,888 | UNCH | $213 | Salesforce.com Inc |
805 |
+805 |
$212 | CRM | 805 | +805 | $212 | Otis Worldwide Corp |
2,373 |
-673 |
$212 | OTIS | 2,373 | -673 | $212 | Te Connectivity Ltd Reg |
1,493 |
+1,493 |
$210 | TEL | 1,493 | +1,493 | $210 | Marathon Petroleum Corp |
1,370 |
UNCH |
$203 | MPC | 1,370 | UNCH | $203 | Sunopta Inc |
29,500 |
-12,975 |
$161 | STKL | 29,500 | -12,975 | $161 | Empire State Realty Trust Inc |
16,397 |
UNCH |
$159 | ESRT | 16,397 | UNCH | $159 | Definitive Healthcare Corp Cla |
12,970 |
+12,970 |
$129 | DH | 12,970 | +12,970 | $129 | Ericsson ADR B |
11,504 |
UNCH |
$72 | ERIC | 11,504 | UNCH | $72 | Oatly Group Ab Sp Ads |
14,100 |
-10,500 |
$17 | OTLY | 14,100 | -10,500 | $17 | Bread Financial Holdings Inc |
|
|
$0 (exited) | BFH | 0 | -9,462 | $0 | Chevron Corp |
|
|
$0 (exited) | CVX | 0 | -1,373 | $0 | Fiserv Inc |
|
|
$0 (exited) | FISV | 0 | -37,411 | $0 | Kenvue Inc |
|
|
$0 (exited) | KVUE | 0 | -12,232 | $0 | Revvity Inc Com |
|
|
$0 (exited) | PKI | 0 | -7,165 | $0 | Paypal Holdings Inc |
|
|
$0 (exited) | PYPL | 0 | -3,779 | $0 | Seagen Inc |
|
|
$0 (exited) | SGEN | 0 | -2,988 | $0 | Price T Rowe Group Inc |
|
|
$0 (exited) | TROW | 0 | -2,045 | $0 | Vanguard Index Funds Small Cap |
|
|
$0 (exited) | VB | 0 | -1,225 | $0 | VMware Inc Cl A |
0 |
-1,249 |
$0 (exited) | VMW | 0 | -1,249 | $0 |
See Summary: Reynders McVeigh Capital Management LLC Top Holdings
See Details: Top 10 Stocks Held By Reynders McVeigh Capital Management LLC
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