NEVILLE RODIE & SHAW INC 13F Holdings

Holdings from the most recent 13F from NEVILLE RODIE & SHAW INC

Filed: 2020-04-01 (Q1 2020) | Holdings: 371 | Value: $1.0B | Filing Link

PREMIUM

Author Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Filing Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Holding Returns
StockPut/Call
Change
Holding Pct
Value
Current Return
3M Return
1Y Return
AAPL - APPLE INC
6.11%
$62.3M
+351.71%
+51.91%
+111.16%
TMO - THERMO FISHER SCIENTIFIC INC
3.37%
$34.4M
+113.42%
+34.59%
+71.45%
XOM - EXXON MOBIL CORP
3.27%
$33.3M
+284.61%
+15.99%
+57.90%
JNJ - JOHNSON & JOHNSON
3.21%
$32.7M
+72.38%
+9.93%
+29.99%
MSFT - MICROSOFT CORP
3.20%
$32.7M
+261.48%
+36.20%
+65.68%
PYPL - PAYPAL HLDGS INC
2.42%
$24.7M
-23.41%
+94.52%
+175.54%
GOOGL - ALPHABET CLASS A
2.21%
$22.6M
+375.84%
+33.63%
+101.72%
V - VISA INC
2.15%
$21.9M
+136.80%
+28.50%
+44.50%
JPM - J P MORGAN CHASE & CO
2.06%
$21.0M
+321.80%
+13.20%
+91.91%
MRK - MERCK & COMPANY
2.06%
$21.0M
+43.61%
+4.51%
+4.61%
NEE - NEXTERA ENERGY INC
2.02%
$20.6M
+79.97%
+15.24%
+45.80%
ZTS - ZOETIS INC CL A
1.96%
$20.0M
+37.32%
+23.94%
+43.22%
DIS - DISNEY (WALT) CO
1.64%
$16.7M
+20.53%
+19.09%
+100.11%
DHR - DANAHER CORP
1.54%
$15.7M
+101.48%
+40.72%
+77.88%
GOOG - ALPHABET CLASS C
1.48%
$15.1M
+377.65%
+33.37%
+102.64%
NSC - NORFOLK SOUTHERN CORP
1.44%
$14.7M
+127.64%
+27.08%
+102.65%
INTC - INTEL CORP
1.30%
$13.2M
-15.81%
+15.94%
+33.11%
BP - BP P L C
1.25%
$12.8M
+78.18%
-7.45%
+0.37%
BA - BOEING CO
1.24%
$12.6M
+72.24%
+40.70%
+101.82%
BRK.B - BERKSHIRE HATHAWAY CL B NEW
1.20%
$12.2M
+181.20%
+2.19%
+50.09%
MCD - MCDONALDS CORP
1.15%
$11.7M
+123.91%
+19.19%
+51.31%
HD - HOME DEPOT
1.13%
$11.5M
+152.21%
+42.89%
+84.46%
PG - PROCTER & GAMBLE CO
1.11%
$11.3M
+63.46%
+13.00%
+29.85%
RTX - UNITED TECHNOLOGIES CORP
1.10%
$11.2M
+286.49%
+17.92%
+51.80%
J - JACOBS ENGINEERING GROUP
1.06%
$10.8M
+158.41%
+9.92%
+71.29%
LRCX - LAM RESEARCH CORP
1.04%
$10.6M
+635.92%
+48.00%
+204.82%
UNP - UNION PACIFIC CORP
1.04%
$10.6M
+80.80%
+25.70%
+68.52%
UNH - UNITEDHEALTH GROUP INC
1.02%
$10.4M
+68.03%
+27.30%
+59.79%
BXMT - BLACKSTONE MTG TR INC CL A
1.01%
$10.3M
+99.13%
+47.36%
+113.81%
BX - BLACKSTONE GROUP INC COM CL A
0.90%
$9.2M
+361.50%
+38.10%
+92.66%
ORCL - ORACLE CORP
0.89%
$9.1M
+538.72%
+16.66%
+56.53%
PWR - QUANTA SERVICES INC
0.88%
$9.0M
+1352.69%
+26.73%
+200.47%
CVX - CHEVRON CORP
0.88%
$9.0M
+176.97%
+24.89%
+54.28%
META - FACEBOOK INC CL A
0.87%
$8.8M
+366.95%
+46.71%
+94.16%
HON - HONEYWELL INTERNATIONAL
0.84%
$8.6M
+88.31%
+13.60%
+74.31%
BMY - BRISTOL-MYERS SQUIBB CO
0.84%
$8.6M
-1.43%
+8.66%
+18.77%
AXP - AMERICAN EXPRESS CO
0.81%
$8.3M
+397.88%
+22.97%
+92.44%
XLY - CONS DISC SELECT SECTOR SPDR
0.81%
$8.2M
+166.77%
+39.36%
+87.49%
PEP - PEPSICO INC
0.80%
$8.1M
+52.71%
+14.22%
+25.85%
IBB - ISHARES NASDQ BIOTECH INDEX FN
0.73%
$7.4M
+52.92%
+34.74%
+48.27%
N/A - FIDELITY CONTRAFUND
0.72%
$7.4M
CRM - SALESFORCE.COM INC
0.72%
$7.4M
+92.16%
+43.67%
+64.38%
CVS - CVS HEALTH CORP
0.69%
$7.0M
+73.92%
+14.92%
+36.38%
COST - COSTCO WHOLESALE CORP
0.69%
$7.0M
+257.26%
+7.76%
+31.29%
VZ - VERIZON COMMUNICATIONS
0.68%
$6.9M
+1.01%
+3.40%
+14.75%
EMR - EMERSON ELECTRIC CO
0.65%
$6.6M
+229.48%
+36.69%
+107.16%
AGN - ALLERGAN PLC SHS
0.62%
$6.3M
ADP - AUTOMATIC DATA PROCESSING
0.62%
$6.3M
+146.82%
+18.56%
+54.68%
NKE - NIKE INC
0.60%
$6.1M
-6.03%
+24.91%
+72.54%
ABBV - ABBVIE INC
0.59%
$6.0M
+296.41%
+37.89%
+53.63%