MEYER HANDELMAN CO Q3 2023 Filing

Filed November 6, 2023

Portfolio Value

$2.5B

Holdings

191

Report Date

Q3 2023

Filing Type

13F-HR

All Holdings (191 positions)

#StockSharesValue% PortfolioType
1
MSFTMicrosoft
537,733$169.8T6839449.42%
2
AAPLApple
609,759$104.4T4205314.12%
3
PGProcter & Gamble
614,186$89.6T3608670.38%
4
HONHoneywell Intl Inc Com
433,487$80.1T3225879.26%
5
MCKMckesson Corp Com
133,528$58.1T2338960.64%
6
TTTrane Technologies PLC SHS
284,198$57.7T2322926.99%
7
KMBKimberly Clark Corp Com
459,594$55.5T2237340.57%
8
IBMIBM
350,182$49.1T1979076.52%
9
PFEPfizer
1,475,753$49.0T1971833.49%
10
XOMExxonMobil
390,975$46.0T1851797.71%
11
PEPPepsico Inc Com
256,947$43.5T1753761.74%
12
GOOGAlphabet Inc Cap STK CL C
315,865$41.6T1677616.70%
13
CVXChevron Corp.
239,789$40.4T1628731.26%
14
WMTWal-Mart
247,201$39.5T1592543.32%
15
JPMJPMorgan Chase
270,107$39.2T1577883.12%
16
MPCMarathon Pete Corp Com
252,476$38.2T1539164.10%
17
BMYBristol Myers Squibb Co Com
652,863$37.9T1526372.59%
18
AMZNAmazon Com Inc
297,312$37.8T1522430.31%
19
SYYSysco Corp Com
563,194$37.2T1498448.90%
20
HDHome Depot
122,299$37.0T1488575.86%
21
MRKMerck & Co Inc New Com
354,670$36.5T1470828.05%
22
CATCaterpillar
133,716$36.5T1470473.21%
23
ITWIllinois Tool Works Inc Com
152,366$35.1T1413552.52%
24
QCOMQualcomm Inc
314,317$34.9T1406166.13%
25
CSCOCisco Systems
619,143$33.3T1340791.73%
26
TXNTexas Instruments Inc
195,164$31.0T1250072.63%
27
MCDMcDonald's
117,208$30.9T1243798.63%
28
AMGNAmgen Inc Com
111,341$29.9T1205399.04%
29
GILDGilead Sciences Inc
392,354$29.4T1184412.19%
30
ETNEaton Corporation PLC SHS
136,218$29.1T1170296.01%
31
BACVerizon
856,876$27.8T1118685.74%
32
INTCIntel
745,523$26.5T1067607.83%
33
PPGPPG Inds Inc Com
191,214$24.8T999782.36%
34
GEGeneral Elec Co Com New
211,837$23.4T943347.39%
35
JNJJohnson & Johnson
150,090$23.4T941653.04%
36
DDDuPont De Nemours Inc Com
307,059$22.9T922600.18%
37
ABBVAbbvie Inc Com
136,235$20.3T818014.31%
38
FCXFreeport-Mcmoran Inc CL B
501,384$18.7T753136.96%
39
ADPAutomatic Data Processing Inc Com
75,851$18.2T735075.48%
40
NEENextera Energy Inc Com
313,610$18.0T723735.41%
41
ALSAllstate Corp Com
159,977$17.8T717947.73%
42
MMM3M
190,015$17.8T716584.83%
43
IRIngersoll Rand Inc Com
278,648$17.8T715225.15%
44
CAGConagra Foods Inc Com
625,751$17.2T691162.37%
45
RTXRaytheon Technologies Corp Com
237,582$17.1T688773.04%
46
TELTe Connectivity LTD Reg SHS
138,349$17.1T688429.64%
47
KOCoca-Cola
300,123$16.8T676773.40%
48
LLYEli Lilly & Co
31,063$16.7T672100.00%
49
GLWCorning Inc Com
545,442$16.6T669471.56%
50
MDTMedtronic PLC SHS
209,548$16.4T661437.83%
51
DOWDow Inc Com
315,622$16.3T655528.02%
52
GPCGenuine Parts Co
110,900$16.0T644985.09%
53
MDLZMondelez Intl Inc CL A
212,923$14.8T595241.41%
54
CLColgate Palmolive Co Com
189,496$13.5T542802.49%
55
VVisa Inc Com CL A
57,497$13.2T532724.90%
56
NUENucor Corp Com
83,742$13.1T527414.81%
57
LWLamb Weston HLDGS Inc Com
136,189$12.6T507232.43%
58
SWKStanley Black & Decker Inc Com
150,050$12.5T505183.85%
59
APDAir Prods & Chems Inc Com
43,505$12.3T496649.62%
60
BABoeing
63,006$12.1T486485.39%
61
EMREmerson Elec Co Com
124,170$12.0T483025.44%
62
GOOGLAlphabet Inc Class A
89,730$11.7T472994.06%
63
HALHalliburton Co Com
280,749$11.4T458019.91%
64
TJXTJX Cos Inc New Com
126,777$11.3T453895.23%
65
JCIJohnson CTLS Intl PLC SHS
211,079$11.2T452427.92%
66
ETREntergy Corp New Com
120,344$11.1T448412.04%
67
DHRDanaher Corp Com
43,948$10.9T439214.82%
68
DUKDuke Energy Corp New Com New
121,700$10.7T432678.78%
69
ABTAbbott Labs Com
108,533$10.5T423421.13%
70
WFCWells Fargo & Co New Com
255,492$10.4T420520.10%
71
COPConocophillips Com
86,075$10.3T415379.39%
72
METAMeta Platforms Inc-Class A
32,685$9.8T395261.71%
73
NEMNewmont MNG Corp Com
259,233$9.6T385847.60%
74
OTISOtis Worldwide Corp Com
111,142$8.9T359549.70%
75
TRVCCitigroup Inc Com New
215,726$8.9T357414.59%
76
BAXBaxter Intl Inc Com
232,088$8.8T352830.13%
77
CARRCarrier Global Corp Com
158,325$8.7T352046.21%
78
CVSCVS Health Corp Com
123,334$8.6T346875.61%
79
SBUXStarbucks Corp Com
93,517$8.5T343818.89%
80
ALLEAllegion Pub LTD Co Ord SHS
76,195$7.9T319819.75%
81
IPInternational Paper Co
214,426$7.6T306372.45%
82
CRMSalesforce
34,960$7.1T285566.76%
83
GSGoldman Sachs Group Inc
21,900$7.1T285445.67%
84
SLBSchlumberger LTD Com
119,452$7.0T280525.99%
85
GISGeneral Mills Inc Com
106,680$6.8T274983.22%
86
7HPHP Inc Com
256,094$6.6T265120.70%
87
MRO*Marathon Oil Corp Com
244,800$6.5T263782.69%
88
4I1Philip Morris Intl Inc Com
70,498$6.5T262908.77%
89
ZBHZimmer Biomet HLDGS Inc Com
57,040$6.4T257846.29%
90
KELKellogg Co Com
106,700$6.3T255779.34%
91
BXBlackstone Group Inc Com CL A
57,100$6.1T246432.99%
92
NVDANvidia Corp Com
13,360$5.8T234097.51%
93
ENBEnbridge Inc Com
168,626$5.6T225562.80%
94
DYHTarget Corp Com
50,265$5.6T223879.37%
95
AEPAmerican Electric Power Co
71,154$5.4T215597.52%
96
AXPAmerican Express
34,500$5.1T207333.70%
97
KHCKraft Heinz Co Com STK
151,338$5.1T205076.10%
98
DWDMorgan Stanley Com New
61,106$5.0T201028.44%
99
SPGIS&P Global Inc
13,426$4.9T197623.32%
100
PSXPhillips 66 Com
40,772$4.9T197331.72%
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