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  Name: Costello Asset Management INC
  City: FEASTERVILLE
  State: PA
  Zip: 19053
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $139,784,000
  Total Value Change : $19,245,000
  Securities Held Change : -6
   
All Securities Held : 174
  New Positions : 8
  Closed Positions : 14
  Increased Positions : 39
  Unchanged Positions : 83
  Decreased Positions : 44

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Holdings Found : 44     View All Holdings Currently Viewing:  Decreased Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (MSFT)1 Year Chart         MSFT Microsoft Corp 1 - $420.99 $8,735,000 20,763 6.25% 781,000 -390 0    Application Software
   (JNJ)1 Year Chart         JNJ Johnson & Johnson 2 - $154.28 $6,830,000 43,175 4.89% -232,000 -1,883 0.002    Drug Manufacturers - ...
   (PEP)1 Year Chart         PEP Pepsico Inc 4 - $183.11 $6,448,000 36,845 4.61% 118,000 -426 0.003    Beverage Soft Drinks...
   (ARTNA)1 Year Chart         ARTNA Artesian Resources Corp 5 - $40.75 $6,217,000 167,526 4.45% -1,068,000 -8,238 1.98    Water Utilities
   (BSX)1 Year Chart         BSX Boston Scientific Corp 6 - $74.55 $6,159,000 89,924 4.41% 741,000 -3,800 0.006    Medical Instruments &...
   (MRK)1 Year Chart         MRK Merck & Co Inc 10 - $131.20 $4,600,000 34,862 3.29% 669,000 -1,195 0.001    Drug Manufacturers - ...
   (DIS)1 Year Chart         DIS Walt Disney Co 13 - $103.37 $3,929,000 32,112 2.81% 698,000 -3,671 0.002    Entertainment - Diver...
   (WTRG)1 Year Chart         WTRG Essential Utilities Ord Shs 14 - $51.94 $3,908,000 105,477 2.8% -239,000 -5,545 0.043    Water Utilities
   (SYY)1 Year Chart         SYY SYSCO Corp 15 - $76.24 $3,899,000 48,027 2.79% 261,000 -1,722 0.009    Food Wholesale
   (ZBH)1 Year Chart         ZBH Zimmer Holdings Inc 16 - $121.23 $3,662,000 27,747 2.62% -1,951,000 -18,375 0.013    Medical Appliances & ...
   (PAYX)1 Year Chart         PAYX Paychex Inc 17 - $125.19 $3,504,000 28,531 2.51% 92,000 -115 0.008    Staffing & Outsourcin...
   (CEG)1 Year Chart         CEG Constellation Energy Corp 23 - $216.34 $2,658,000 14,377 1.9% 897,000 -685 0.004    N/A
   (AAPL)1 Year Chart         AAPL Apple Inc 28 - $189.84 $1,441,000 8,402 1.03% -334,000 -815 0    Personal Computers
   (JPM)1 Year Chart         JPM JP Morgan Chase & Co 29 - $202.47 $1,392,000 6,952 1% 50,000 -937 0    Domestic Money Center...
   (PPL)1 Year Chart         PPL PPL Corp 30 - $29.61 $1,310,000 47,568 0.94% -1,004,000 -37,813 0.006    Electric Utilities
   (MRVL)1 Year Chart         MRVL Marvell Technology, Inc. 31 - $73.08 $1,300,000 18,346 0.93% -82,000 -4,564 0.002    N/A
   (CAT)1 Year Chart         CAT Caterpillar Inc 33 - $350.72 $1,139,000 3,108 0.81% 80,000 -475 0.001    Farm & Construction M...
   (KMB)1 Year Chart         KMB Kimberly Clark Corp 34 - $134.67 $1,137,000 8,789 0.81% -187,000 -2,106 0.003    Paper & Paper Products
   (CMCSA)1 Year Chart         CMCSA Comcast Corp 38 - $39.37 $846,000 19,517 0.61% -180,000 -3,880 0    CATV Systems
   (GPN)1 Year Chart         GPN Global Payments Inc 39 - $127.47 $844,000 6,317 0.6% -140,000 -1,431 0.002    Business Services
   (VZ)1 Year Chart         VZ Verizon Communications Inc 41 - $40.25 $555,000 13,229 0.4% 44,000 -332 0    Telecom Services - Do...
   (NEE)1 Year Chart         NEE NextEra Energy 43 - $76.41 $520,000 8,144 0.37% -2,000 -455 0    Electric Utilities
   (CRWD)1 Year Chart         CRWD Crowdstrike Holdings, Inc. 47 - $339.06 $317,000 990 0.23% -508,000 -2,240 0.001    N/A
   (TD)1 Year Chart         TD Toronto-Dominion Bank (USA) 53 - $56.88 $246,000 4,075 0.18% -87,000 -1,075 0    Domestic Money Center...
   (PM)1 Year Chart         PM Philip Morris International... 58 - $100.66 $197,000 2,154 0.14% -27,000 -225 0    Cigarettes & Other To...
   (AOK)1 Year Chart         AOK iShares Trust 60 - $36.78 $154,000 4,171 0.11% -26,000 -815 0.02    Closed - End Fund - Debt
   (UL)1 Year Chart         UL Unilever Plc (ADR) 63 - $54.07 $129,000 2,575 0.09% -850,000 -17,615 0    Food - Major Diversified
   (ITW)1 Year Chart         ITW Illinois Tool Works Inc 69 - $249.77 $113,000 420 0.08% -21,000 -90 0    Diversified Machinery
   (DD)1 Year Chart         DD DuPont de Nemours Inc 71 - $77.57 $108,000 1,405 0.08% -5,000 -67 0    Diversified Chemicals
   (IEI)1 Year Chart         IEI iShares Barclays 3-7 Year T... 74 - $115.01 $104,000 895 0.07% -233,000 -1,980 0    Closed - End Fund - E...
   (NVDA)1 Year Chart         NVDA NVIDIA Corporation 73 - $943.59 $104,000 115 0.07% 40,000 -15 0.001    Semiconductor - Speci...
   (YORW)1 Year Chart         YORW York Water Co 82 - $38.58 $81,000 2,227 0.06% -24,000 -500 0    Water Utilities
   (CL)1 Year Chart         CL Colgate Palmolive Co 81 - $94.53 $81,000 900 0.06% -450,000 -5,767 0.017    Personal Products
   (BA)1 Year Chart         BA Boeing Co 83 - $182.96 $80,000 416 0.06% -580,000 -2,115 0    Aerospace/Defense - M...
   (CARR)1 Year Chart         CARR Carrier Global Corp 99 - $65.00 $45,000 775 0.03% -18,000 -325 0    N/A
   (HSY)1 Year Chart         HSY Hershey Foods Corp 104 - $208.17 $39,000 200 0.03% -12,000 -75 0    Confectioners
   (TZOO)1 Year Chart         TZOO Travelzoo Inc 109 - $8.22 $31,000 3,050 0.02% -37,000 -4,035 0.027    Information Technolog...
   (ED)1 Year Chart         ED Consolidated Edison Inc 110 - $96.91 $30,000 330 0.02% -5,000 -50 0    Multi Utilities
   (F)1 Year Chart         F Ford Motor Co 112 - $12.50 $27,000 2,000 0.02% 1,000 -100 0    Auto Manufacturers
   (VHT)1 Year Chart         VHT Vanguard Health Care Vipers 113 - $266.99 $27,000 101 0.02% -8,000 -40 0    Closed - End Fund - E...
   (UGI)1 Year Chart         UGI UGI Corp 124 - $25.01 $21,000 866 0.02% -21,000 -826 0    Multi Utilities
   (LUV)1 Year Chart         LUV Southwest Airlines Co 126 - $27.98 $19,000 650 0.01% -8,000 -300 0    Regional Airlines
   (IHI)1 Year Chart         IHI iShares Dow Jones US Medica... 151 - $56.75 $6,000 100 0% -17,000 -328 0    Closed - End Fund - E...
   (DGRO)1 Year Chart         DGRO iShares Core Dividend Growth 152 - $58.40 $6,000 99 0% -15,000 -291 0    N/A

      44 Records Found
  1    
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