Reynders McVeigh Capital Management, LLC Q1 2026 Filing

Filed April 27, 2026

Portfolio Value

$2.0B

Holdings

195

Report Date

Q1 2026

Filing Type

13F-HR

All Holdings (195 positions)

StockValue
NVDANVIDIA Corp.
$167.3M
AAPLApple Inc.
$118.0M
ADIAnalog Devices Inc.
$78.0M
MSFTMicrosoft Corp.
$74.1M
ROKRockwell Automation, Inc.
$70.8M
MAMasterCard Incorporated
$69.4M
GOOGLAlphabet Inc.
$69.0M
APHAmphenol Corporation
$64.4M
ULSUL Solutions Inc.
$50.2M
CARRCarrier Global Corporation
$50.2M
TJXThe TJX Companies Inc.
$47.5M
GOOGAlphabet Inc.
$45.1M
ABTAbbott Laboratories
$43.3M
TMUST-Mobile US Inc
$43.1M
XYLXylem, Inc.
$41.5M
SYKStryker Corporation
$41.4M
DHRDanaher Corporation
$40.1M
ATRAptargroup Inc.
$39.6M
IBMInternational Business Machines Corp.
$34.8M
AMZNAmazon.com, Inc.
$34.6M
CCKCrown Holdings Inc
$34.5M
AMATApplied Materials Inc.
$33.5M
AVGOBroadcom Inc
$31.3M
HDHome Depot Inc.
$30.2M
NETCloudflare Inc
$30.0M
VLTOVeralto Corp.
$29.2M
NYTThe New York Times Company
$26.3M
WMWaste Management, Inc.
$24.8M
VRTXVertex Pharmaceuticals Incorporated
$24.4M
ALCAlcon AG
$22.3M
UBERUber Technologies Inc
$19.5M
PGThe Procter & Gamble Co.
$18.9M
TSLATesla Inc
$18.8M
ABNBAirbnb Inc
$18.7M
JNJJohnson & Johnson
$18.6M
ULUnilever PLC
$17.3M
VRTVertiv Holdings Co
$17.3M
ARMArm Holdings PLC
$17.3M
NXTNextpower Inc.
$16.6M
SNSharkninja Inc.
$16.5M
RKTRocket Companies Inc
$16.3M
MCXMcCormick & Company, Incorporated
$15.6M
ASMLASML Holding N.V.
$15.1M
ADPAutomatic Data Processing, Inc.
$14.4M
CRMSalesforce Inc.
$13.0M
NVSNNovartis AG
$11.2M
TILEInterface, Inc.
$11.0M
SOFISofi Technologies Inc
$10.8M
COSTCostco Wholesale Corporation
$10.5M
RELXRelx PLC
$8.2M
AMDAdvanced Micro Devices Inc.
$7.1M
ABBVAbbVie Inc.
$6.3M
BDXBecton, Dickinson and Company
$6.2M
GRALGRAIL Inc
$6.2M
CRSPCRISPR Therapeutics AG
$5.9M
BRK/BBerkshire Hathaway Inc.
$5.7M
LLYEli Lilly & Co.
$5.5M
VVisa Inc
$5.0M
CNRCanadian National Railway Company
$4.7M
TMOThermo Fisher Scientific Inc
$4.5M
DSGDescartes Systems Group Inc.
$4.2M
ORCLOracle Corp.
$3.6M
SPYSpdr S&P 500 Etf Trust TR UNIT
$3.5M
AMGNAmgen Inc.
$3.2M
UNPUnion Pacific Corporation
$3.2M
MCDMcDonald's Corp.
$3.0M
VUGVanguard Index Funds GROWTH ETF
$2.7M
MRKMerck & Co., Inc
$2.7M
PEPPepsico Inc
$2.4M
VIGVanguard Specialized Funds DIV APP ETF
$2.3M
CATCaterpillar Inc
$2.1M
NEENextEra Energy Inc
$1.9M
HONHoneywell International Inc.
$1.8M
IJHiShares Trust CORE S&P MCP ETF
$1.6M
EFXEquifax Inc.
$1.6M
WMTWalmart Inc
$1.5M
GQ9Spdr Gold Trust GOLD SHS
$1.5M
XOMExxon Mobil Corp.
$1.4M
TYLTyler Technologies Inc.
$1.4M
TSMTaiwan Semiconductor Manufacturing Co., Ltd.
$1.3M
ENVXEnovix Corporation
$1.3M
CSCOCisco Systems, Inc.
$1.3M
JPMJPMorgan Chase & Co.
$1.3M
ISRGIntuitive Surgical Inc.
$1.3M
NXPINXP Semiconductors NV
$1.3M
RTXRTX Corp.
$1.3M
MLB1Mercadolibre Inc
$1.2M
CHDChurch & Dwight Co Inc.
$1.2M
IWPiShares Trust RUS MD CP GR ETF
$1.2M
SPGIS&P Global Inc
$1.2M
CSXCSX Corporation
$1.2M
DEDeere & Company
$1.2M
AXPAmerican Express Company
$1.1M
DISWalt Disney Company
$1.1M
BMYBristol-Myers Squibb Company
$1.1M
EMREmerson Electric Co.
$1.0M
IVWiShares Trust S&P 500 GRWT ETF
$1.0M
MTDMettler-Toledo International Inc
$955K
IDXXIDEXX Laboratories Inc.
$932K
VTIVanguard Index Funds TOTAL STK MKT
$921K
Page 1 of 2Next