Holdings Channel
EntityShares/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
EntityShares/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
EntityShares/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
EntityShares/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

All Stocks Held By Reynders McVeigh Capital Management LLC
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.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Apple Inc 494,489 -25,887 $95,204
     AAPL494,489-25,887$95,204
NVIDIA Corp 154,176 -16,561 $76,351
     NVDA154,176-16,561$76,351
Microsoft Corp 184,538 -6,049 $69,394
     MSFT184,538-6,049$69,394
MasterCard Inc Cl A 144,635 -5,445 $61,688
     MA144,635-5,445$61,688
Rockwell Automation Inc 191,793 -3,020 $59,548
     ROK191,793-3,020$59,548
Analog Devices Inc 271,142 -23,038 $53,838
     ADI271,142-23,038$53,838
Carrier Global Corporation Com 936,445 -15,931 $53,799
     CARR936,445-15,931$53,799
Danaher Corp 217,218 -1,452 $50,251
     DHR217,218-1,452$50,251
Novo Nordisk AS ADR 449,106 -40,118 $46,460
     NVO449,106-40,118$46,460
Canadian National Railway Co 362,934 -16,669 $45,595
     CNI362,934-16,669$45,595
Abbott Laboratories 385,965 -1,492 $42,483
     ABT385,965-1,492$42,483
Xylem Inc 334,108 +19,714 $38,209
     XYL334,108+19,714$38,209
Alphabet Inc Cap Stock Cl A 269,737 -14,397 $37,680
     GOOGL269,737-14,397$37,680
Nike Inc Cl B 340,610 -5,457 $36,980
     NKE340,610-5,457$36,980
T Mobile US Inc 228,290 -3,636 $36,602
     TMUS228,290-3,636$36,602
AptarGroup Inc 290,051 -3,709 $35,856
     ATR290,051-3,709$35,856
Stryker Corp 107,521 -3,066 $32,198
     SYK107,521-3,066$32,198
Automatic Data Processing Inc 135,693 -6,510 $31,612
     ADP135,693-6,510$31,612
TJX Cos Inc 310,703 +5,532 $29,147
     TJX310,703+5,532$29,147
New York Times Co Cl A 592,453 -8,745 $29,024
     NYT592,453-8,745$29,024
Becton Dickinson & Co 113,262 +4,211 $27,617
     BDX113,262+4,211$27,617
Amphenol Corp Cl A 272,386 +16,377 $27,002
     APH272,386+16,377$27,002
Alphabet Inc Cap Stock Cl C 185,806 -7,213 $26,186
     GOOG185,806-7,213$26,186
Tesla Motors Inc 101,938 -2,959 $25,330
     TSLA101,938-2,959$25,330
Amazon.com Inc 160,565 -1,161 $24,396
     AMZN160,565-1,161$24,396
Waste Management Inc 128,196 -1,621 $22,960
     WM128,196-1,621$22,960
Procter & Gamble Co 155,102 +6,279 $22,729
     PG155,102+6,279$22,729
Crown Holdings Inc 239,041 +82,192 $22,013
     CCK239,041+82,192$22,013
CVS Health Corporation 258,436 -16,199 $20,406
     CVS258,436-16,199$20,406
Home Depot Inc 51,646 +899 $17,898
     HD51,646+899$17,898
Medtronic PLC 214,097 -7,788 $17,637
     MDT214,097-7,788$17,637
Aptiv PLC 179,744 +8,098 $16,127
     APTV179,744+8,098$16,127
Veralto Corp 193,547 +193,547 $15,921
     VLTO193,547+193,547$15,921
Intl Business Machines 94,929 +12,002 $15,526
     IBM94,929+12,002$15,526
Johnson & Johnson 96,027 -3,309 $15,051
     JNJ96,027-3,309$15,051
Teradyne Inc 138,075 +2,648 $14,984
     TER138,075+2,648$14,984
Novartis AG Sp ADR 125,105 -1,419 $12,632
     NVS125,105-1,419$12,632
Unilever PLC Sp ADR 243,814 -117,794 $11,820
     UL243,814-117,794$11,820
Advanced Micro Devices Inc 77,357 -1,787 $11,403
     AMD77,357-1,787$11,403
Alcon Inc 118,791 +111,826 $9,280
     ALC118,791+111,826$9,280
ASML Holding NV NY Registry 11,180 +2,475 $8,462
     ASML11,180+2,475$8,462
Cloudflare Inc Cl A Com 96,555 +47,597 $8,039
     NET96,555+47,597$8,039
Vertiv Holdings Co Cl A 164,004 +164,004 $7,877
     VRT164,004+164,004$7,877
Costco Wholesale Corp 11,215 -302 $7,403
     COST11,215-302$7,403
Illumina Inc 51,340 -29,366 $7,149
     ILMN51,340-29,366$7,149
Perrigo Co PLC 219,867 +41,782 $7,075
     PRGO219,867+41,782$7,075
Vertex Pharmaceuticals Inc 16,141 +2,070 $6,568
     VRTX16,141+2,070$6,568
Starbucks Corp 67,032 -45,739 $6,436
     SBUX67,032-45,739$6,436
Abbvie Inc 40,897 -733 $6,338
     ABBV40,897-733$6,338
Enphase Energy Inc 47,093 -557 $6,223
     ENPH47,093-557$6,223
Eli Lilly & Co 10,307 -100 $6,008
     LLY10,307-100$6,008
MarketAxess Holdings Inc 20,041 -4,538 $5,869
     MKTX20,041-4,538$5,869
Crispr Therapeutics 92,048 +15,870 $5,762
     CRSP92,048+15,870$5,762
Thermo Fisher Scientific Inc 10,449 -735 $5,546
     TMO10,449-735$5,546
Visa Inc Cl A 19,505 -364 $5,078
     V19,505-364$5,078
Veeva Systems Inc Cl A 25,738 -12,198 $4,955
     VEEV25,738-12,198$4,955
Fiserv Inc 36,522 +36,522 $4,852
     FI36,522+36,522$4,852
Merck & Co Inc 43,685 -569 $4,763
     MRK43,685-569$4,763
PepsiCo Inc 27,367 +616 $4,648
     PEP27,367+616$4,648
Uber Technologies Inc 72,502 +8,458 $4,464
     UBER72,502+8,458$4,464
Berkshire Hathaway Inc Cl B      $3,939
     BRK.B11,045-900$3,939
McDonalds Corp 12,740 +71 $3,778
     MCD12,740+71$3,778
Union Pacific Corp 15,182 -145 $3,729
     UNP15,182-145$3,729
Descartes Systems Group Inc U 42,634 -155 $3,584
     DSGX42,634-155$3,584
SPDR S&P 500 Index ETF (SPY) 7,184 +315 $3,414
     SPY7,184+315$3,414
Interface Inc 265,458 -77,825 $3,350
     TILE265,458-77,825$3,350
Church & Dwight Inc 35,234 -105 $3,332
     CHD35,234-105$3,332
Oracle Corp 26,264 -50 $2,769
     ORCL26,264-50$2,769
Amgen Inc 9,074 -59 $2,613
     AMGN9,074-59$2,613
Vanguard Index Funds Growth ET (VUG) 8,276 -415 $2,573
     VUG8,276-415$2,573
Equifax Inc 9,012 UNCH $2,229
     EFX9,012UNCH$2,229
Vanguard Specialized Portfolio (VIG) 12,474 +60 $2,126
     VIG12,474+60$2,126
McCormick & Co Inc Non Vtg 30,418 +30,418 $2,081
     MKC30,418+30,418$2,081
Tyler Technologies Inc 4,933 +250 $2,063
     TYL4,933+250$2,063
Honeywell Intl Inc 9,700 -320 $2,034
     HON9,700-320$2,034
NXP Semiconductors NV 8,380 -290 $1,925
     NXPI8,380-290$1,925
Applied Materials Inc 9,438 -408 $1,530
     AMAT9,438-408$1,530
S&P Global Inc 3,435 -16 $1,513
     SPGI3,435-16$1,513
Sofi Technologies Inc 147,808 +123,234 $1,471
     SOFI147,808+123,234$1,471
Ormat Technologies Inc 19,161 -3,960 $1,452
     ORA19,161-3,960$1,452
DexCom Inc 11,595 -7,598 $1,439
     DXCM11,595-7,598$1,439
iShares Tr S&P Mid Cap 400 (IJH) 5,062 -451 $1,403
     IJH5,062-451$1,403
Moderna Inc 13,963 +3,588 $1,389
     MRNA13,963+3,588$1,389
NextEra Energy Inc 22,565 -7,992 $1,371
     NEE22,565-7,992$1,371
CSX Corp 38,060 -2,000 $1,320
     CSX38,060-2,000$1,320
Broadcom Inc 1,116 -25 $1,246
     AVGO1,116-25$1,246
Walt Disney Co 13,796 -23,674 $1,246
     DIS13,796-23,674$1,246
Cisco Systems Inc 24,607 -4,217 $1,243
     CSCO24,607-4,217$1,243
iShares Tr Russell Mid Cap Gro (IWP) 11,738 -300 $1,226
     IWP11,738-300$1,226
Bristol Myers Squibb Co 23,094 -2,039 $1,185
     BMY23,094-2,039$1,185
Deere & Co 2,946 -553 $1,178
     DE2,946-553$1,178
Zoetis Inc Cl A 5,944 -1,010 $1,173
     ZTS5,944-1,010$1,173
Sysco Corp 15,634 -19,109 $1,143
     SYY15,634-19,109$1,143
MercadoLibre Inc 701 -76 $1,102
     MELI701-76$1,102
Mettler Toledo International 841 +115 $1,020
     MTD841+115$1,020
Intuitive Surgical Inc 2,901 -2,157 $979
     ISRG2,901-2,157$979
Idexx Laboratories Inc 1,660 UNCH $921
     IDXX1,660UNCH$921
Intel Corp 18,009 -2,719 $905
     INTC18,009-2,719$905
Norfolk Southern Corp 3,821 UNCH $903
     NSC3,821UNCH$903
Booking Holdings Inc 246 UNCH $873
     BKNG246UNCH$873
JPMorgan Chase & Co 5,054 -960 $860
     JPM5,054-960$860
Raytheon Technologies Corp 10,076 -1,446 $848
     RTX10,076-1,446$848
General Mills Inc 12,470 -288 $812
     GIS12,470-288$812
Vanguard Index Funds Stock Mkt (VTI) 3,280 +590 $778
     VTI3,280+590$778
Wal Mart Stores Inc 4,877 -372 $769
     WMT4,877-372$769
Colgate Palmolive Co 9,627 -831 $767
     CL9,627-831$767
Fidelity Natl Information Serv 12,593 -26 $756
     FIS12,593-26$756
Accenture Ltd Bermuda Cl A 2,122 -186 $745
     ACN2,122-186$745
Emerson Electric Co 7,609 -1,587 $741
     EMR7,609-1,587$741
Revvity Inc Com 6,719 +6,719 $734
     RVTY6,719+6,719$734
Intuit 1,152 -5 $720
     INTU1,152-5$720
Moodys Corp 1,821 -28 $711
     MCO1,821-28$711
Palo Alto Networks Inc 2,403 -694 $709
     PANW2,403-694$709
Kimberly Clark Corp 5,754 -105 $699
     KMB5,754-105$699
Target Corp 4,900 -94 $698
     TGT4,900-94$698
Air Prods & Chems Inc 2,500 -92 $684
     APD2,500-92$684
Exxon Mobil Corp 6,734 -1,972 $673
     XOM6,734-1,972$673
DuPont de Nemours Inc 8,703 UNCH $669
     DD8,703UNCH$669
iShares S&P 500 Growth (IVW) 8,895 UNCH $668
     IVW8,895UNCH$668
SPDR Series Trust S&P Div ETF (SDY) 5,291 -575 $661
     SDY5,291-575$661
Illinois Tool Works Inc 2,421 -3 $634
     ITW2,421-3$634
Caterpillar Inc 2,134 -78 $631
     CAT2,134-78$631
Pfizer Inc 21,751 -7,209 $626
     PFE21,751-7,209$626
Linde Plc 1,492 -150 $613
     LIN1,492-150$613
Adobe Inc 993 -72 $593
     ADBE993-72$593
iShares Tr Russell 1000 Growth (IWF) 1,952 -366 $592
     IWF1,952-366$592
Paychex Inc 4,942 -468 $589
     PAYX4,942-468$589
Coca Cola Co 9,800 -349 $578
     KO9,800-349$578
iShares Tr S&P 500 Index (IVV) 1,197 -700 $572
     IVV1,197-700$572
American Express Co 3,015 UNCH $565
     AXP3,015UNCH$565
Roper Industries Inc 955 -12 $521
     ROP955-12$521
Enterprise Products Partners L 19,596 UNCH $516
     EPD19,596UNCH$516
Darden Restaurants Inc 3,000 UNCH $493
     DRI3,000UNCH$493
Vanguard Mid Cap Growth Index (VOT) 2,241 +29 $492
     VOT2,241+29$492
Ecolab Inc 2,441 -130 $484
     ECL2,441-130$484
Meta Platforms Inc 1,361 -39 $482
     META1,361-39$482
Taiwan Semiconductor Mfg Ltd S 4,528 -50 $471
     TSM4,528-50$471
Trane Technologies PLC SHS 1,854 UNCH $452
     TT1,854UNCH$452
Insulet Corp 2,013 -14 $437
     PODD2,013-14$437
WisdomTree Trust Large Cap Div 6,500 UNCH $431
     DLN6,500UNCH$431
Fortune Brands Innovations Inc 5,497 -1,070 $419
     FBIN5,497-1,070$419
NetApp Inc 4,750 UNCH $419
     NTAP4,750UNCH$419
Edwards Lifesciences Corp 5,452 +625 $416
     EW5,452+625$416
iShares Tr S&P 500 Value (IVE) 2,393 UNCH $416
     IVE2,393UNCH$416
iShares Tr S&P Mid Cap Value (IJJ) 3,600 UNCH $411
     IJJ3,600UNCH$411
Texas Instruments Inc 2,409 -285 $411
     TXN2,409-285$411
Marsh & McLennan Cos Inc 2,100 -200 $398
     MMC2,100-200$398
Bank of America Corporation 11,758 -7,573 $396
     BAC11,758-7,573$396
iShares Russell 1000 (IWB) 1,501 +128 $394
     IWB1,501+128$394
Mondelez Intl Inc Cl A 5,440 -33 $394
     MDLZ5,440-33$394
DTE Energy Co 3,541 -325 $390
     DTE3,541-325$390
Sherwin Williams Co 1,214 -65 $379
     SHW1,214-65$379
UnitedHealth Group Inc 720 -188 $379
     UNH720-188$379
Extra Space Storage Inc 2,347 UNCH $376
     EXR2,347UNCH$376
Carlisle Cos Inc 1,197 -200 $374
     CSL1,197-200$374
United Parcel Service Inc Cl B 2,371 -454 $373
     UPS2,371-454$373
Clorox Co 2,607 -720 $372
     CLX2,607-720$372
Gallagher Arthur J & Co 1,650 UNCH $371
     AJG1,650UNCH$371
ProLogis Inc 2,766 -150 $369
     PLD2,766-150$369
Envista Holdings Corporation 15,265 -7,048 $367
     NVST15,265-7,048$367
iShares Russell 3000 (IWV) 1,301 -150 $356
     IWV1,301-150$356
3M Co 3,228 -875 $353
     MMM3,228-875$353
Vanguard Admiral Funds Inc 500 (VOOG) 1,292 -150 $350
     VOOG1,292-150$350
Duke Energy Corp 3,558 UNCH $345
     DUK3,558UNCH$345
Boeing Co 1,269 -5 $331
     BA1,269-5$331
Powershares Exchange Traded Fd (RSP) 2,063 UNCH $326
     RSP2,063UNCH$326
Wec Energy Group Inc 3,744 -340 $315
     WEC3,744-340$315
Cognizant Technology Solutions 3,973 -100 $300
     CTSH3,973-100$300
Corteva Inc 6,227 UNCH $298
     CTVA6,227UNCH$298
Lowes Cos Inc 1,327 -584 $295
     LOW1,327-584$295
Constellation Brands Inc Cl A 1,214 UNCH $294
     STZ1,214UNCH$294
Vanguard Index Funds Value ETF (VTV) 1,937 -75 $290
     VTV1,937-75$290
EastGroup Property Inc 1,500 UNCH $275
     EGP1,500UNCH$275
Nucor Corp 1,575 UNCH $274
     NUE1,575UNCH$274
Verizon Communications Inc 6,740 -1,150 $254
     VZ6,740-1,150$254
Regeneron Pharmaceuticals 286 UNCH $251
     REGN286UNCH$251
RPM Intl Inc 2,250 UNCH $251
     RPM2,250UNCH$251
Vanguard S&P 500 ETF (VOO) 570 +570 $249
     VOO570+570$249
International Flavors & Fragra 3,018 -49,877 $244
     IFF3,018-49,877$244
Chubb Limited Com 1,062 -155 $240
     CB1,062-155$240
FedEx Corp 886 -118 $224
     FDX886-118$224
Vanguard Tax Mgd FTSE Dev Mkt (VEA) 4,672 UNCH $224
     VEA4,672UNCH$224
Public Storage 725 +725 $221
     PSA725+725$221
Berkshire Hathaway Inc Cl B      $214
     CL B NEW600UNCH$214
Plexus Corp 1,980 +1,980 $214
     PLXS1,980+1,980$214
Dow Inc 3,888 UNCH $213
     DOW3,888UNCH$213
Salesforce.com Inc 805 +805 $212
     CRM805+805$212
Otis Worldwide Corp 2,373 -673 $212
     OTIS2,373-673$212
Te Connectivity Ltd Reg 1,493 +1,493 $210
     TEL1,493+1,493$210
Marathon Petroleum Corp 1,370 UNCH $203
     MPC1,370UNCH$203
Sunopta Inc 29,500 -12,975 $161
     STKL29,500-12,975$161
Empire State Realty Trust Inc 16,397 UNCH $159
     ESRT16,397UNCH$159
Definitive Healthcare Corp Cla 12,970 +12,970 $129
     DH12,970+12,970$129
Ericsson ADR B 11,504 UNCH $72
     ERIC11,504UNCH$72
Oatly Group Ab Sp Ads 14,100 -10,500 $17
     OTLY14,100-10,500$17
Bread Financial Holdings Inc $0 (exited)
     BFH0-9,462$0
Chevron Corp $0 (exited)
     CVX0-1,373$0
Fiserv Inc $0 (exited)
     FISV0-37,411$0
Kenvue Inc $0 (exited)
     KVUE0-12,232$0
Revvity Inc Com $0 (exited)
     PKI0-7,165$0
Paypal Holdings Inc $0 (exited)
     PYPL0-3,779$0
Seagen Inc $0 (exited)
     SGEN0-2,988$0
Price T Rowe Group Inc $0 (exited)
     TROW0-2,045$0
Vanguard Index Funds Small Cap $0 (exited)
     VB0-1,225$0
VMware Inc Cl A 0 -1,249 $0 (exited)
     VMW0-1,249$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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