PARSONS CAPITAL MANAGEMENT INC/RI Q1 2018 Filing

Filed May 7, 2018

Portfolio Value

$855.3M

Holdings

352

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (352 positions)

StockValue
MMM3M CO
$62.2M
AAPLAPPLE INC
$56.7M
BRK/BBERKSHIRE HATHAWAY INC DEL
$30.1M
XOMEXXON MOBIL CORP
$24.5M
AMZNAMAZON COM INC
$18.4M
JNJJOHNSON & JOHNSON
$16.9M
JPMJPMORGAN CHASE & CO
$15.9M
MSFTMICROSOFT CORP
$15.1M
INTCINTEL CORP
$11.9M
CVXCHEVRON CORP NEW
$10.9M
CMCSACOMCAST CORP NEW
$9.9M
PGPROCTER AND GAMBLE CO
$9.8M
MINTPIMCO ETF TR
$9.5M
HONHONEYWELL INTL INC
$9.3M
AMTAMERICAN TOWER CORP NEW
$8.9M
HDHOME DEPOT INC
$8.6M
PFEPFIZER INC
$8.2M
VOOVANGUARD INDEX FDS
$8.1M
BLKCHFBLACKROCK INC
$8.1M
GOOGLALPHABET INC
$7.7M
BABOEING CO
$7.6M
ABBVABBVIE INC
$7.6M
IVVISHARES TR
$7.5M
TMOTHERMO FISHER SCIENTIFIC INC
$7.3M
ORCLORACLE CORP
$7.2M
ABTABBOTT LABS
$6.8M
PEPPEPSICO INC
$6.0M
VEAVANGUARD TAX MANAGED INTL FD
$6.0M
DHRDANAHER CORP DEL
$5.7M
COPCONOCOPHILLIPS
$5.6M
BACVERIZON COMMUNICATIONS INC
$5.6M
CATCATERPILLAR INC DEL
$5.5M
VCSHVANGUARD SCOTTSDALE FDS
$5.5M
UTXZUNITED TECHNOLOGIES CORP
$5.5M
MRKMERCK & CO INC
$5.4M
IBMINTERNATIONAL BUSINESS MACHS
$5.1M
CSCOCISCO SYS INC
$5.0M
NEENEXTERA ENERGY INC
$5.0M
VWOVANGUARD INTL EQUITY INDEX F
$4.9M
SLBSCHLUMBERGER LTD
$4.8M
MAMASTERCARD INCORPORATED
$4.6M
CVSCVS HEALTH CORP
$4.6M
VCITVANGUARD SCOTTSDALE FDS
$4.5M
TAT&T INC
$4.5M
SPRING BK PHARMACEUTICALS IN
$4.3M
ROPROPER TECHNOLOGIES INC
$4.3M
DNKNDUNKIN BRANDS GROUP INC
$4.3M
NKENIKE INC
$4.2M
DOWDUPONT INC
$4.0M
VEUVANGUARD INTL EQUITY INDEX F
$4.0M
ACNACCENTURE PLC IRELAND
$4.0M
CELGCELGENE CORP
$3.9M
NXPINXP SEMICONDUCTORS N V
$3.9M
AMGNAMGEN INC
$3.8M
MDLZMONDELEZ INTL INC
$3.8M
CSXCSX CORP
$3.8M
BMYBRISTOL MYERS SQUIBB CO
$3.8M
BRBROADRIDGE FINL SOLUTIONS IN
$3.7M
IJRISHARES TR
$3.7M
TRVCCITIGROUP INC
$3.6M
VVISA INC
$3.6M
ADPAUTOMATIC DATA PROCESSING IN
$3.5M
USBUS BANCORP DEL
$3.5M
PSXPHILLIPS 66
$3.5M
VOVANGUARD INDEX FDS
$3.4M
IJHISHARES TR
$3.4M
MCDMCDONALDS CORP
$3.3M
MDXGMIMEDX GROUP INC
$3.3M
INTUINTUIT
$3.3M
FTVFORTIVE CORP
$3.2M
BKNGBOOKING HLDGS INC
$3.2M
DISDISNEY WALT CO
$3.2M
MTDMETTLER TOLEDO INTERNATIONAL
$3.2M
PGRPROGRESSIVE CORP OHIO
$3.1M
GNTXGENTEX CORP
$3.0M
XNTKSPDR SERIES TRUST
$3.0M
EEMISHARES TR
$2.9M
GOOGALPHABET INC
$2.9M
PFFISHARES TR
$2.8M
HALHALLIBURTON CO
$2.8M
LOWLOWES COS INC
$2.8M
AWCAMERICAN WTR WKS CO INC NEW
$2.8M
FLIRFLIR SYS INC
$2.7M
CRMSALESFORCE COM INC
$2.7M
MDTMEDTRONIC PLC
$2.6M
EMREMERSON ELEC CO
$2.6M
PYPLPAYPAL HLDGS INC
$2.6M
LLYLILLY ELI & CO
$2.6M
AFLAFLAC INC
$2.6M
GEGENERAL ELECTRIC CO
$2.6M
XETYXEATON VANCE TX MGD DIV EQ IN
$2.6M
TMKTORCHMARK CORP
$2.5M
BKBANK NEW YORK MELLON CORP
$2.4M
EWBCEAST WEST BANCORP INC
$2.3M
BAXBAXTER INTL INC
$2.3M
TDTORONTO DOMINION BK ONT
$2.3M
JHMMJOHN HANCOCK EXCHANGE TRADED
$2.3M
XLKSELECT SECTOR SPDR TR
$2.3M
PAYXPAYCHEX INC
$2.2M
CNRCANADIAN NATL RY CO
$2.2M
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