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Latest Reynders McVeigh Capital Management, LLC Stock Portfolio

$1.74Billion

Equity Portfolio Value
Last Reported on: 07 May, 2024

About Reynders McVeigh Capital Management, LLC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Reynders McVeigh Capital Management, LLC reported an equity portfolio of $1.7 Billions as of 31 Mar, 2024.

The top stock holdings of Reynders McVeigh Capital Management, LLC are NVDA, AAPL, MSFT. The fund has invested 7.4% of it's portfolio in NVIDIA CORP. and 4.8% of portfolio in APPLE INC.

The fund managers got completely rid off ENVISTA HOLDINGS CORPORATION (NVST), 3M CO (MMM) and REGENERON PHARMACEUTICALS (REGN) stocks. They significantly reduced their stock positions in PALO ALTO NETWORKS INC (PANW), SUNOPTA INC (STKL) and UNILEVER PLC (UL). Reynders McVeigh Capital Management, LLC opened new stock positions in RELX PLC (RELX), SPDR GOLD TRUST GOLD SHS (GLD) and THE KROGER CO. (KR). The fund showed a lot of confidence in some stocks as they added substantially to MCCORMICK & COMPANY, INCORPORATED (MKC), ISHARE TRUST CORE S&P MCP ETF (AGG) and WALMART INC (WMT).

New Buys

Ticker$ Bought
RELX PLC1,144,000
SPDR GOLD TRUST GOLD SHS725,000
THE KROGER CO.332,000
NETFLIX, INC.246,000
DELL TECHNOLOGIES INC243,000
VANGUARD INDEX FUNDS SMALL CP ETF237,000
GE AEROSPACE227,000
BOSTON SCIENTIFIC CORPORATION213,000

New stocks bought by Reynders McVeigh Capital Management, LLC

Additions

Ticker% Inc.
MCCORMICK & COMPANY, INCORPORATED522
ISHARE TRUST CORE S&P MCP ETF401
WALMART INC171
VERTEX PHARMACEUTICALS INCORPORATED89.59
ALCON AG69.89
VERTIV HOLDINGS CO49.94
CLOUDFLARE INC33.35
VERALTO CORP.29.62

Additions to existing portfolio by Reynders McVeigh Capital Management, LLC

Reductions

Ticker% Reduced
PALO ALTO NETWORKS INC-69.62
SUNOPTA INC-64.07
UNILEVER PLC-51.77
MARKETAXESS HOLDINGS INC.-48.31
STARBUCKS CORPORATION-46.38
VEEVA SYSTEMS INC-42.91
ISHARE TRUST RUS 1000 ETF-41.91
SYSCO CORPORATION-41.69

Reynders McVeigh Capital Management, LLC reduced stake in above stock

Sold off

Ticker$ Sold
ENVISTA HOLDINGS CORPORATION-367,000
OATLY GROUP AB SP ADS-17,000
DEFINITIVE HEALTHCARE CORP CLA-129,000
3M CO-353,000
PLEXUS CORP-214,000
VANGUARD S&P 500 ETF-249,000
REGENERON PHARMACEUTICALS-251,000

Reynders McVeigh Capital Management, LLC got rid off the above stocks

Current Stock Holdings of Reynders McVeigh Capital Management, LLC

Last Reported on: 07 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC.4.85490,96784,191,000REDUCED-0.71
ABBVABBVIE INC.0.3937,4516,820,000REDUCED-8.43
ABTABBOTT LABORATORIES2.59396,17845,030,000ADDED2.65
ACNACCENTURE PLC0.042,168752,000ADDED2.17
ADBEADOBE INC0.03961485,000REDUCED-3.22
ADIANALOG DEVICES INC.2.97260,69351,563,000REDUCED-3.85
ADPAUTOMATIC DATA PROCESSING, INC.1.91132,94933,203,000REDUCED-2.02
AGGISHARE TRUST CORE S&P MCP ETF0.0925,4001,543,000ADDED401
AGGISHARE TRUST RUS MD CP GR ETF0.0711,3501,296,000REDUCED-3.31
AGGISHARE TRUST S&P 500 GRWT ETF0.048,895752,000UNCHANGED0.00
AGGISHARE TRUST RUS 1000 GRW ETF0.041,781601,000REDUCED-8.76
AGGISHARE TRUST CORE S&P500 ETF0.03962506,000REDUCED-19.63
AGGISHARE TRUST S&P 500 VAL ETF0.032,283427,000REDUCED-4.6
AGGISHARE TRUST S&P MC 400VL ETF0.033,600426,000UNCHANGED0.00
AGGISHARE TRUST RUSSELL 3000 ETF0.021,221367,000REDUCED-6.15
AGGISHARE TRUST RUS 1000 ETF0.01872252,000REDUCED-41.91
AGZDWISDOMTREE TRUST US LARGECAP DIVD0.036,500470,000UNCHANGED0.00
AJGGALLAGHER AJ &CO0.021,538385,000REDUCED-6.79
ALCALCON AG0.97201,81216,809,000ADDED69.89
AMATAPPLIED MATERIALS INC.0.108,5321,760,000REDUCED-9.6
AMDADVANCED MICRO DEVICES, INC.0.7875,34713,600,000REDUCED-2.6
AMGNAMGEN INC.0.158,9642,549,000REDUCED-1.21
AMZNAMAZON.COM, INC.1.66159,88028,840,000REDUCED-0.43
ANETARISTA NETWORKS INC0.01725211,000NEW
APDAIR PRODUCTS & CHEMICALS, INC.0.042,518611,000ADDED0.72
APHAMPHENOL CORPORATION1.94292,07533,691,000ADDED7.23
APTVAPTIV PLC0.94204,24616,269,000ADDED13.63
ASMLASML HOLDING N.V.0.6311,32610,992,000ADDED1.31
ATRAPTARGROUP INC.2.46296,39142,648,000ADDED2.19
AVGOBROADCOM INC0.081,0241,358,000REDUCED-8.24
AXPAMERICAN EXPRESS COMPANY0.043,019688,000ADDED0.13
BATHE BOEING COMPANY0.011,213235,000REDUCED-4.41
BACBANK OF AMERICA CORP.0.027,255276,000REDUCED-38.3
BDXBECTON, DICKINSON AND COMPANY1.69118,47029,313,000ADDED4.6
BEAMBEAM THERAPEUTICS INC.0.016,055201,000NEW
BILSPDR SERIES TRUST S&P DIVID ETF0.044,969653,000REDUCED-6.09
BKNGBOOKING HOLDINGS INC0.05222806,000REDUCED-9.76
BMYBRISTOL-MYERS SQUIBB COMPANY0.0619,8451,077,000REDUCED-14.07
BSXBOSTON SCIENTIFIC CORPORATION0.013,101213,000NEW
CARRCARRIER GLOBAL CORPORATION3.17947,09755,055,000ADDED1.14
CATCATERPILLAR INC0.042,127780,000REDUCED-0.33
CBCHUBB LIMITED0.021,050273,000REDUCED-1.13
CCKCROWN HOLDINGS INC1.26276,47221,914,000ADDED15.66
CHDCHURCH & DWIGHT CO INC.0.2135,3593,689,000ADDED0.35
CLCOLGATE-PALMOLIVE CO.0.059,457852,000REDUCED-1.77
CLXTHE CLOROX COMPANY0.022,482381,000REDUCED-4.79
CNICANADIAN NATIONAL RAILWAY COMPANY2.70355,73246,854,000REDUCED-1.98
COSTCOSTCO WHOLESALE CORPORATION0.4711,0488,094,000REDUCED-1.49
CRMSALESFORCE INC.0.02905273,000ADDED12.42
CRSPCRISPR THERAPEUTICS AG0.3896,9796,611,000ADDED5.36
CSCOCISCO SYSTEMS, INC.0.0723,1801,157,000REDUCED-5.8
CSDINVESCO EXCHANGE TRADED FD TR S&P500 EQL WGT0.021,750297,000REDUCED-15.17
CSLCARLISLE COMPANIES INCORPORATED0.021,064417,000REDUCED-11.11
CSXCSX CORPORATION0.0836,6411,359,000REDUCED-3.73
CTSHCOGNIZANT TECHNOLOGY SOLUTIONS CORP.0.023,973292,000UNCHANGED0.00
CTVACORTEVA INC0.026,227360,000UNCHANGED0.00
CVSCVS HEALTH CORP1.01220,40617,580,000REDUCED-14.72
DDDUPONT DE NEMOURS INC0.048,681666,000REDUCED-0.25
DEDEERE & COMPANY0.052,169891,000REDUCED-26.37
DELLDELL TECHNOLOGIES INC0.012,128243,000NEW
DHDEFINITIVE HEALTHCARE CORP CLA0.000.000.00SOLD OFF-100
DHRDANAHER CORPORATION3.16219,53554,823,000ADDED1.07
DISWALT DISNEY COMPANY0.0913,0061,592,000REDUCED-5.73
DOWDOW INC0.013,888226,000UNCHANGED0.00
DRIDARDEN RESTAURANTS, INC.0.033,000502,000UNCHANGED0.00
DSGXDESCARTES SYSTEMS GROUP INC.0.2343,5343,985,000ADDED2.11
DTEDTE ENERGY CO.0.023,191358,000REDUCED-9.88
DUKDUKE ENERGY CORP0.023,718360,000ADDED4.5
DXCMDEXCOM INC0.078,4951,179,000REDUCED-26.74
ECLECOLAB INC.0.032,559591,000ADDED4.83
EFXEQUIFAX INC.0.138,6122,304,000REDUCED-4.44
EGPEASTGROUP PROPERTIES, INC.0.011,450261,000REDUCED-3.33
EMREMERSON ELECTRIC CO.0.057,534855,000REDUCED-0.99
ENPHENPHASE ENERGY INC0.3549,6796,011,000ADDED5.49
EPDENTERPRISE PRODUCTS PARTNERS L.P.0.0319,596572,000UNCHANGED0.00
ERICTELEFONAKTIEBOLAGET LM ERICSSON (PUBL)0.0011,50464,000UNCHANGED0.00
ESRTEMPIRE STATE REALTY TRUST INC CL A0.0116,397167,000UNCHANGED0.00
EWEDWARDS LIFESCIENCES CORPORATION0.034,582438,000REDUCED-15.96
EXREXTRA SPACE STORAGE INC.0.022,347346,000UNCHANGED0.00
FBHSFORTUNE BRANDS INNOVATIONS INC0.023,787321,000REDUCED-31.11
FDXFEDEX CORPORATION0.01851247,000REDUCED-3.95
FISFIDELITY NATIONAL INFORMATION SERVICES INC0.0410,424774,000REDUCED-17.22
GEGE AEROSPACE0.011,289227,000NEW
GISGENERAL MILLS, INC.0.0512,730891,000ADDED2.09
GLDSPDR GOLD TRUST GOLD SHS0.043,523725,000NEW
GOOGALPHABET INC.2.24258,30338,986,000REDUCED-4.24
GOOGALPHABET INC.1.60183,03627,869,000REDUCED-1.49
HDHOME DEPOT INC1.1552,22720,035,000ADDED1.12
HONHONEYWELL INTERNATIONAL INC.0.119,2461,898,000REDUCED-4.68
IBMINTERNATIONAL BUSINESS MACHINES CORPORATION1.13102,61019,595,000ADDED8.09
IDXXIDEXX LABORATORIES INC.0.051,650891,000REDUCED-0.6
IFFINTERNATIONAL FLAVORS & FRAGRANCES INC.0.012,335201,000REDUCED-22.63
ILMNILLUMINA INC0.4151,2397,037,000REDUCED-0.2
INTCINTEL CORPORATION0.0415,102668,000REDUCED-16.14
INTUINTUIT INC0.041,149747,000REDUCED-0.26
ISRGINTUITIVE SURGICAL INC.0.072,9611,182,000ADDED2.07
ITWILLINOIS TOOL WORKS INC.0.042,379639,000REDUCED-1.73
IVOGVANGUARD ADMIRAL FUNDS INC. 500 GRTH IDX F0.021,086331,000REDUCED-15.94
JNJJOHNSON & JOHNSON0.8694,19014,900,000REDUCED-1.91
JPMJPMORGAN CHASE & CO.0.065,2721,056,000ADDED4.31
KMBKIMBERLY-CLARK CORPORATION0.045,704738,000REDUCED-0.87
KOTHE COCA-COLA COMPANY0.039,702594,000REDUCED-1.00
KRTHE KROGER CO.0.025,801332,000NEW
LINLINDE PLC0.041,639762,000ADDED9.85
LLYELI LILLY & CO.0.419,1407,111,000REDUCED-11.32
LOWLOWES COMPANIES, INC.0.021,417361,000ADDED6.78
MAMASTERCARD INCORPORATED3.95142,37268,562,000REDUCED-1.56
MCDMCDONALD'S CORPORATION0.2012,6243,560,000REDUCED-0.91
MCOMOODYS CORP.0.041,831720,000ADDED0.55
MDLZMONDELEZ INTERNATIONAL, INC.0.025,761404,000ADDED5.9
MDTMEDTRONIC PLC1.13224,50019,566,000ADDED4.86
MELIMERCADOLIBRE INC0.067411,121,000ADDED5.71
METAMETA PLATFORMS INC0.041,296630,000REDUCED-4.78
MKCMCCORMICK & COMPANY, INCORPORATED0.84189,41214,549,000ADDED522
MKTXMARKETAXESS HOLDINGS INC.0.1310,3602,272,000REDUCED-48.31
MMCMARSH & MCLENNAN COMPANIES, INC.0.032,270468,000ADDED8.1
MMM3M CO0.000.000.00SOLD OFF-100
MPCMARATHON PETROLEUM COMPANY0.021,370277,000UNCHANGED0.00
MRKMERCK & CO., INC0.2127,9903,694,000REDUCED-35.93
MRNAMODERNA INC0.0813,0521,391,000REDUCED-6.52
MSFTMICROSOFT CORPORATION4.43182,99676,990,000REDUCED-0.84
MTDMETTLER-TOLEDO INTERNATIONAL INC0.067561,007,000REDUCED-10.11
NEENEXTERA ENERGY INC0.0821,3841,367,000REDUCED-5.23
NETCLOUDFLARE INC0.72128,75412,468,000ADDED33.35
NFLXNETFLIX, INC.0.01405246,000NEW
NKENIKE, INC.1.79330,46231,057,000REDUCED-2.98
NSCNORFOLK SOUTHERN CORPORATION0.063,822974,000ADDED0.03
NTAPNETAPP INC.0.034,750499,000UNCHANGED0.00
NUENUCOR CORPORATION0.021,575312,000UNCHANGED0.00
NVDANVIDIA CORP.7.36141,557127,905,000REDUCED-8.18
NVONOVO NORDISK A/S3.32448,67357,610,000REDUCED-0.1
NVSNOVARTIS AG0.68121,22011,726,000REDUCED-3.11
NVSTENVISTA HOLDINGS CORPORATION0.000.000.00SOLD OFF-100
NXPINXP SEMICONDUCTORS NV0.128,3312,065,000REDUCED-0.58
NYTTHE NEW YORK TIMES COMPANY1.47590,09625,504,000REDUCED-0.4
ORAORMAT TECHNOLOGIES INC.0.0614,686973,000REDUCED-23.35
ORCLORACLE CORP.0.1925,9033,254,000REDUCED-1.37
OTISOTIS WORLDWIDE CORP.0.012,112210,000REDUCED-11.00
OTLYOATLY GROUP AB SP ADS0.000.000.00SOLD OFF-100
PANWPALO ALTO NETWORKS INC0.01730208,000REDUCED-69.62
PAYXPAYCHEX INC0.034,443546,000REDUCED-10.1
PEPPEPSICO INC0.2727,0974,743,000REDUCED-0.99
PFEPFIZER INC.0.0321,381594,000REDUCED-1.7
PGTHE PROCTER & GAMBLE COMPANY1.44153,91524,973,000REDUCED-0.77
PLDPROLOGIS INC.0.022,297300,000REDUCED-16.96
PLXSPLEXUS CORP0.000.000.00SOLD OFF-100
PODDINSULET CORPORATION0.022,013346,000UNCHANGED0.00
PRGOPERRIGO COMPANY PLC0.44239,3907,706,000ADDED8.88
PSAPUBLIC STORAGE0.01793231,000ADDED9.38
QCOMQUALCOMM INC.0.011,218207,000NEW
REGNREGENERON PHARMACEUTICALS0.000.000.00SOLD OFF-100
RELXRELX PLC0.0726,4151,144,000NEW
ROKROCKWELL AUTOMATION, INC.3.30196,47157,238,000ADDED2.44
ROPROPER TECHNOLOGIES INC0.03824463,000REDUCED-13.72
RPMRPM INTERNATIONAL INC.0.012,250268,000UNCHANGED0.00
RTXRTX CORP.0.058,445824,000REDUCED-16.19
SBUXSTARBUCKS CORPORATION0.1935,9403,285,000REDUCED-46.38
SHWTHE SHERWIN-WILLIAMS COMPANY0.021,090379,000REDUCED-10.21
SOFISOFI TECHNOLOGIES INC0.08183,7431,342,000ADDED24.31
SPGIS&P GLOBAL INC0.083,4301,460,000REDUCED-0.15
SPYSPDR S&P 500 ETF TRUST TR UNIT0.206,6443,475,000REDUCED-7.52
STKLSUNOPTA INC0.0010,60073,000REDUCED-64.07
STZCONSTELLATION BRANDS, INC.0.021,193324,000REDUCED-1.73
SYKSTRYKER CORPORATION2.20106,83238,232,000REDUCED-0.64
SYYSYSCO CORPORATION0.049,116741,000REDUCED-41.69
TELTE CONNECTIVITY LTD0.011,472214,000REDUCED-1.41
TERTERADYNE INC.0.91139,41615,731,000ADDED0.97
TGTTARGET CORPORATION0.054,786849,000REDUCED-2.33
TILEINTERFACE, INC.0.26268,2404,512,000ADDED1.05
TJXTHE TJX COMPANIES INC.1.87319,48532,403,000ADDED2.83
TMOTHERMO FISHER SCIENTIFIC INC0.3410,2785,974,000REDUCED-1.64
TMUST-MOBILE US INC2.14227,23337,089,000REDUCED-0.46
TSLATESLA INC1.08107,02518,814,000ADDED4.99
TSMTAIWAN SEMICONDUCTOR MANUFACTURING CO., LTD.0.044,465608,000REDUCED-1.39
TTTRANE TECHNOLOGIES PLC0.031,825548,000REDUCED-1.56
TXNTEXAS INSTRUMENTS INCORPORATED0.032,561447,000ADDED6.31
TYLTYLER TECHNOLOGIES INC.0.124,8282,052,000REDUCED-2.13
UBERUBER TECHNOLOGIES INC0.3681,2926,259,000ADDED12.12
ULUNILEVER PLC0.34117,5865,902,000REDUCED-51.77
UNHUNITEDHEALTH GROUP INC.0.02760376,000ADDED5.56
UNPUNION PACIFIC CORPORATION0.2014,1923,491,000REDUCED-6.52
UPSUNITED PARCEL SERVICE, INC.0.022,707403,000ADDED14.17
VVISA INC0.2817,3674,847,000REDUCED-10.96
VEAVANGUARD TAX MANAGED FUNDS VANGUARD FTSE DEVELOPED MKTS ETF0.014,519227,000REDUCED-3.27
VEEVVEEVA SYSTEMS INC0.2014,6943,405,000REDUCED-42.91
VIGVANGUARD SPECIALIZED FUNDS DIV APP ETF0.1312,2232,232,000REDUCED-2.01
VOOVANGUARD INDEX FUNDS GROWTH ETF0.168,2382,836,000REDUCED-0.46
VOOVANGUARD INDEX FUNDS TOTAL STK MKT0.053,043791,000REDUCED-7.23
VOOVANGUARD INDEX FUNDS MCAP GR IDXVIP0.032,241529,000UNCHANGED0.00
VOOVANGUARD INDEX FUNDS VALUE ETF0.021,876306,000REDUCED-3.15
VOOVANGUARD INDEX FUNDS SMALL CP ETF0.011,036237,000NEW
VOOVANGUARD S&P 500 ETF0.000.000.00SOLD OFF-100
VRTVERTIV HOLDINGS CO1.16245,91220,084,000ADDED49.94
VRTXVERTEX PHARMACEUTICALS INCORPORATED0.7430,60112,792,000ADDED89.59
VZVERIZON COMMUNICATIONS INC.0.026,800286,000ADDED0.89
WECWEC ENERGY GROUP INC.0.023,744308,000UNCHANGED0.00
WMWASTE MANAGEMENT, INC.1.60130,25827,765,000ADDED1.61
WMTWALMART INC0.0513,260798,000ADDED171
XOMEXXON MOBIL CORP.0.046,570764,000REDUCED-2.44
XYLXYLEM, INC.2.52339,25443,846,000ADDED1.54
ZTSZOETIS INC.0.066,0731,028,000ADDED2.17
VERALTO CORP.1.28250,87222,243,000ADDED29.62
FISERV INC.0.3437,4125,980,000ADDED2.44
BERKSHIRE HATHAWAY INC.0.2711,1064,671,000ADDED0.55
REVVITY INC0.046,669701,000REDUCED-0.74
BERKSHIRE HATHAWAY INC0.01600253,000UNCHANGED0.00