Reynders McVeigh Capital Management, LLC Q2 2026 Filing
Filed September 15, 2026
Portfolio Value
$2.3B
Holdings
196
Report Date
Q2 2026
Filing Type
13F-HR
All Holdings (196 positions)
| Stock | Value |
|---|---|
NVDANVIDIA Corp. | $185.3M |
AAPLApple Inc. | $135.0M |
ROKRockwell Automation, Inc. | $97.7M |
ADIAnalog Devices Inc. | $95.7M |
APHAmphenol Corporation | $89.2M |
GOOGLAlphabet Inc. | $86.5M |
MSFTMicrosoft Corp. | $82.0M |
AMATApplied Materials Inc. | $76.6M |
MAMasterCard Incorporated | $72.8M |
CARRCarrier Global Corporation | $67.4M |
ULSUL Solutions Inc. | $61.9M |
GOOGAlphabet Inc. | $56.3M |
XYLXylem, Inc. | $47.8M |
TJXThe TJX Companies Inc. | $45.2M |
IBMInternational Business Machines Corp. | $42.4M |
SYKStryker Corporation | $42.3M |
AVGOBroadcom Inc | $42.2M |
DHRDanaher Corporation | $40.5M |
ARMArm Holdings PLC | $40.4M |
AMZNAmazon.com, Inc. | $39.8M |
CCKCrown Holdings Inc | $39.7M |
ABTAbbott Laboratories | $37.7M |
NETCloudflare Inc | $35.0M |
TMUST-Mobile US Inc | $34.3M |
HDHome Depot Inc. | $34.3M |
VLTOVeralto Corp. | $30.4M |
VRTXVertex Pharmaceuticals Incorporated | $27.1M |
SNSharkninja Inc. | $26.3M |
ULUnilever PLC | $24.9M |
WMWaste Management, Inc. | $24.5M |
ATRAptargroup Inc. | $23.4M |
ASMLASML Holding N.V. | $22.1M |
NYTThe New York Times Company | $22.0M |
VRTVertiv Holdings Co | $21.9M |
ABNBAirbnb Inc | $21.4M |
TSLATesla Inc | $20.7M |
RKTRocket Companies Inc | $20.1M |
JNJJohnson & Johnson | $19.4M |
AMDAdvanced Micro Devices Inc. | $19.3M |
NXTNextpower Inc. | $18.8M |
PGThe Procter & Gamble Co. | $18.7M |
TILEInterface, Inc. | $17.6M |
ADPAutomatic Data Processing, Inc. | $12.9M |
SOFISofi Technologies Inc | $12.5M |
BRBroadridge Financial Solutions Inc. | $12.0M |
NVSNNovartis AG | $11.2M |
SSFSensient Technologies Corp | $10.7M |
CRMSalesforce Inc. | $10.5M |
COSTCostco Wholesale Corporation | $10.0M |
ABBVAbbVie Inc. | $7.3M |
LLYEli Lilly & Co. | $7.1M |
UBERUber Technologies Inc | $6.8M |
ALCAlcon AG | $6.2M |
BRK/BBerkshire Hathaway Inc. | $6.0M |
VVisa Inc | $5.7M |
CNRCanadian National Railway Company | $5.4M |
GRALGRAIL Inc | $4.9M |
TMOThermo Fisher Scientific Inc | $4.6M |
SPYSpdr S&P 500 Etf Trust TR UNIT | $3.9M |
DSGDescartes Systems Group Inc. | $3.7M |
UNPUnion Pacific Corporation | $3.6M |
VUGVanguard Index Funds GROWTH ETF | $3.5M |
ORCLOracle Corp. | $3.3M |
AMGNAmgen Inc. | $3.2M |
CATCaterpillar Inc | $3.1M |
MRKMerck & Co., Inc | $2.9M |
MCDMcDonald's Corp. | $2.4M |
VIGVanguard Specialized Funds DIV APP ETF | $2.1M |
TSMTaiwan Semiconductor Manufacturing Co., Ltd. | $1.9M |
PEPPepsico Inc | $1.8M |
NEENextEra Energy Inc | $1.8M |
CSCOCisco Systems, Inc. | $1.8M |
IJHiShares Trust CORE S&P MCP ETF | $1.8M |
CRSPCRISPR Therapeutics AG | $1.7M |
NXPINXP Semiconductors NV | $1.7M |
INTCIntel Corporation | $1.5M |
JPMJPMorgan Chase & Co. | $1.4M |
WMTWalmart Inc | $1.4M |
EFXEquifax Inc. | $1.4M |
CSXCSX Corporation | $1.4M |
IWPiShares Trust RUS MD CP GR ETF | $1.4M |
BDXBecton, Dickinson and Company | $1.3M |
DEDeere & Company | $1.3M |
GQ9Spdr Gold Trust GOLD SHS | $1.3M |
CHDChurch & Dwight Co Inc. | $1.3M |
AXPAmerican Express Company | $1.3M |
IVWiShares Trust S&P 500 GRWT ETF | $1.2M |
RTXRTX Corp. | $1.2M |
MLB1Mercadolibre Inc | $1.2M |
VTIVanguard Index Funds TOTAL STK MKT | $1.1M |
SPGIS&P Global Inc | $1.1M |
EMREmerson Electric Co. | $1.1M |
XOMExxon Mobil Corp. | $1.1M |
ISRGIntuitive Surgical Inc. | $1.1M |
DISWalt Disney Company | $1.1M |
MTDMettler-Toledo International Inc | $1.1M |
BMYBristol-Myers Squibb Company | $1.0M |
TYLTyler Technologies Inc. | $981K |
DELLDell Technologies Inc | $977K |
TTTrane Technologies PLC | $969K |
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