Sign in:
Email
 Password  save:
  
 Company Reports 
 
   
My Recent Searches
  Help
 
   
 
 
 
     
Company Main View
  Name: REYNDERS MCVEIGH CAPITAL MANAGEMENT, LLC
  City: BOSTON
  State: MA
  Zip: 02109
   
Achive data
  View Filing Period:
  
 
Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $1,578,996,000
  Total Value Change : $123,767,000
  Securities Held Change : 0
   
All Securities Held : 195
  New Positions : 7
  Closed Positions : 9
  Increased Positions : 32
  Unchanged Positions : 30
  Decreased Positions : 126

                  Consumer Discretionary Consumer Staples Financials Health Care Industrials Information Technology Basic Materials Conglomerates Energy Utilities
 Download  
 
    Free Registration Required For Full Results

   
Holdings Found : 32     View All Holdings Currently Viewing:  Increased Positions     Page 1 of 1
     Menu
Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (XYL)1 Year Chart         XYL Xylem Inc. 12 - $137.21 $38,209,000 334,108 2.42% 9,590,000 19,714 0.185    Diversified Machinery
   (TJX)1 Year Chart         TJX TJX Companies Inc 19 - $95.11 $29,147,000 310,703 1.85% 2,023,000 5,532 0.026    Discount, Variety Stores
   (BDX)1 Year Chart         BDX Becton Dickinson & Co 21 - $234.68 $27,617,000 113,262 1.75% -576,000 4,211 0.039    Medical Instruments &...
   (APH)1 Year Chart         APH Amphenol Corp 22 - $122.64 $27,002,000 272,386 1.71% 5,500,000 16,377 0.046    Diversified Electronics
   (PG)1 Year Chart         PG Procter & Gamble Co 27 - $164.46 $22,729,000 155,102 1.44% 1,022,000 6,279 0.006    Cleaning Products
   (CCK)1 Year Chart         CCK Crown Holdings Inc 28 - $82.45 $22,013,000 239,041 1.39% 8,135,000 82,192 0.177    Packaging & Containers
   (HD)1 Year Chart         HD Home Depot Inc 30 - $342.85 $17,898,000 51,646 1.13% 2,564,000 899 0.005    Home Improvement Stores
   (APTV)1 Year Chart         APTV Aptiv PLC 32 - $74.95 $16,127,000 179,744 1.02% -796,000 8,098 0.067    Auto Parts
   (IBM)1 Year Chart         IBM International Business Mach... 34 - $165.71 $15,526,000 94,929 0.98% 3,891,000 12,002 0.011    Diversified Computer ...
   (TER)1 Year Chart         TER Teradyne Inc 36 - $120.44 $14,984,000 138,075 0.95% 1,379,000 2,648 0.083    Semiconductor Equipme...
   (ALC)1 Year Chart         ALC Alcon Inc 40 - $79.57 $9,280,000 118,791 0.59% 8,743,000 111,826 0.024    Medical Instruments &...
   (ASML)1 Year Chart         ASML ASML Holding N.V. (ADR) 41 - $0.00 $8,462,000 11,180 0.54% 3,338,000 2,475 0.003    Semiconductor Equipme...
   (NET)1 Year Chart         NET Cloudflare, Inc. 42 - $0.00 $8,039,000 96,555 0.51% 4,953,000 47,597 0.034    N/A
   (PRGO)1 Year Chart         PRGO Perrigo Co 46 - $32.79 $7,075,000 219,867 0.45% 1,385,000 41,782 0.161    Drug Related Products
   (VRTX)1 Year Chart         VRTX Vertex Pharmaceuticals Inc 47 - $401.08 $6,568,000 16,141 0.42% 1,675,000 2,070 0.006    Drug Manufacturers - ...
   (CRSP)1 Year Chart         CRSP Crispr Therapeutics Ag 53 - $55.89 $5,762,000 92,048 0.36% 2,304,000 15,870 0.13    N/A
   (PEP)1 Year Chart         PEP Pepsico Inc 59 - $176.15 $4,648,000 27,367 0.29% 115,000 616 0.002    Beverage Soft Drinks...
   (UBER)1 Year Chart         UBER Uber Technologies, Inc 60 - $69.23 $4,464,000 72,502 0.28% 1,519,000 8,458 0.004    N/A
   (BRK.B)1 Year Chart         BRK.B Berkshire Hathaway B 61 - $400.87 $3,939,000 11,045 0.25% 3,729,000 10,445 0.001    Property & Casualty I...
   (MCD)1 Year Chart         MCD McDonalds Corp 62 - $270.32 $3,778,000 12,740 0.24% 440,000 71 0.002    Restaurants
   (SPY)1 Year Chart         SPY Standard & Poors Depository... 65 - $511.29 $3,414,000 7,184 0.22% 478,000 315 0    Closed - End Fund - E...
   (VIG)1 Year Chart         VIG Vanguard Dividend Appreciat... 72 - $176.94 $2,126,000 12,474 0.13% 197,000 60 0.003    Closed - End Fund - Debt
   (TYL)1 Year Chart         TYL Tyler Technologies Inc 74 - $469.00 $2,063,000 4,933 0.13% 255,000 250 0.012    Information Technolog...
   (SOFI)1 Year Chart         SOFI SoFi Technologies, Inc 79 - $6.96 $1,471,000 147,808 0.09% 1,275,000 123,234 0.019    N/A
   (MRNA)1 Year Chart         MRNA Moderna, Inc. 83 - $0.00 $1,389,000 13,963 0.09% 317,000 3,588 0.004    N/A
   (MTD)1 Year Chart         MTD Mettler Toledo Internationa... 95 - $1,251.95 $1,020,000 841 0.06% 216,000 115 0.004    Scientific & Technica...
   (VTI)1 Year Chart         VTI Vanguard Total Stock Market... 104 - $253.53 $778,000 3,280 0.05% 207,000 590 0    Closed - End Fund - E...
   (VOT)1 Year Chart         VOT Van Kampen Municipal Opport... 134 - $227.32 $492,000 2,241 0.03% 61,000 29 0.005    Closed - End Fund - Debt
   (EW)1 Year Chart         EW Edwards Lifesciences Corp 143 - $28.88 $416,000 5,452 0.03% 82,000 625 0.003    Medical Appliances & ...
   (IWB)1 Year Chart         IWB ishares trust Russell 1000 150 - $281.14 $394,000 1,501 0.02% 71,000 128 0    Closed - End Fund - E...
   (PSA)1 Year Chart         PSA Public Storage Inc 183 - $265.76 $221,000 725 0.01% 221,000 725 0    REIT - Industrial
   (TEL)1 Year Chart         TEL Te Connectivity Ltd 189 - $144.94 $210,000 1,493 0.01% 210,000 1,493 0.001    Diversified Electronics

      32 Records Found
  1    
Page 1 of 1
Free Registration Required For Full Results