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Stock Style
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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
Style
Market Cap
Large
Value
Mid
Blend
Small
Growth
57
9
8
4
7
0
50
12
13
REYNDERS MCVEIGH CAPITAL MANAGEMENT LLC

Time Period2018-12-31

Total Holdings206

Total Value ($x1000)753,901
Activities
New23

Increased60

Unchanged35

Decreased88

Sold Out18

Top 10 Stock Holdingstotal 34.41%
MA4.53

AAPL3.87

JNJ3.8

DIS3.53

NVS3.38

 
DHR3.24

PYPL3.17

ILMN3.06

GOOGL2.93

ABT2.9

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
MA
4.53%
CL A
AAPL
3.87%
COM
JNJ
3.8%
COM
DIS
3.53%
COM DISNEY
NVS
3.38%
SPONSORED ADR
DHR
3.24%
COM
PYPL
3.17%
COM
ILMN
3.06%
COM
GOOGL
2.93%
CAP STK CL A
ABT
2.9%
COM
ADI
2.9%
COM
CNI
2.86%
COM
ROK
2.86%
COM
SYK
2.72%
COM
NKE
2.62%
CL B
ATR
2.53%
COM
XYL
2.35%
COM
ADP
2.04%
COM
XLNX
1.95%
COM
FISV
1.73%
COM
MSFT
1.49%
COM
PG
1.48%
COM
MKTX
1.39%
COM
CVS
1.37%
COM
WM
1.36%
COM
IPGP
1.34%
COM
GOOG
1.26%
CAP STK CL C
NYT
1.26%
CL A
UL
1.24%
SPON ADR NEW
TDOC
1.13%
COM
NVDA
0.93%
COM
SBUX
0.8%
COM
AMZN
0.76%
COM
MMM
0.7%
COM
BIIB
0.69%
COM
FB
0.66%
CL A
MRK
0.66%
COM
INTC
0.57%
COM
HD
0.52%
COM
VEEV
0.5%
CL A COM
CSCO
0.48%
COM
MCD
0.47%
COM
ABBV
0.46%
COM
V
0.44%
COM CL A
UTX
0.43%
COM
XOM
0.43%
COM
VZ
0.42%
COM
SJM
0.42%
COM NEW
TMO
0.42%
COM
BRK.B
0.41%
CL B NEW
PEP
0.41%
COM
FTV
0.41%
COM
UNP
0.39%
COM
TJX
0.38%
COM
CLX
0.37%
COM
CHD
0.34%
COM
AMAL
0.34%
CLASS A
NXPI
0.33%
COM
VFC
0.32%
COM
PFE
0.32%
COM
NEE
0.31%
COM
ZUO
0.29%
CL A
ORA
0.29%
COM
SPY
0.28%
TR UNIT
CB
0.26%
COM
ORCL
0.25%
COM
CVX
0.25%
COM
IBM
0.25%
COM
AMGN
0.25%
COM
NVO
0.24%
ADR
TWTR
0.22%
COM
HON
0.21%
COM
ISRG
0.2%
COM NEW
FIS
0.2%
COM
JPM
0.2%
COM
SODA
0.2%
USD SHS
BBT
0.19%
COM
BMY
0.18%
COM
COST
0.18%
COM
DXCM
0.17%
COM
DWDP
0.17%
COM
VAR
0.17%
COM
NSC
0.17%
COM
AFL
0.16%
COM
T
0.16%
COM
GILD
0.16%
COM
CSX
0.15%
COM
EFX
0.15%
COM
ECL
0.15%
COM
ZTS
0.14%
CL A
EMR
0.14%
COM
BA
0.14%
COM
KO
0.14%
COM
IONS
0.13%
COM
VIG
0.13%
DIV APP ETF
LLY
0.13%
COM
USB
0.12%
COM NEW
SHW
0.11%
COM
OMC
0.11%
COM
DTE
0.11%
COM
DE
0.11%
COM
JBT
0.11%
COM
SDY
0.1%
S&P DIVID ETF
TSLA
0.1%
COM
TMUS
0.1%
COM
BSX
0.09%
COM
NOBL
0.09%
S&P 500 ARISTO
BDX
0.09%
COM
WBA
0.09%
COM
GIS
0.09%
COM
ACN
0.09%
SHS CLASS A
KMB
0.09%
COM
EFA
0.09%
MSCI EAFE ETF
RCL
0.08%
COM
FIZZ
0.08%
COM
CL
0.08%
COM
TYL
0.08%
COM
IJH
0.08%
CORE S&P MCP ETF
IVW
0.08%
S&P 500 GRWT ETF
HCN
0.08%
COM
SPGI
0.07%
COM
NTAP
0.07%
COM
MDT
0.07%
SHS
MTD
0.07%
COM
C
0.07%
COM NEW
BLUE
0.07%
COM
REGN
0.07%
COM
ALV
0.07%
COM
GLW
0.06%
COM
SYY
0.06%
COM
QCOM
0.06%
COM
PANW
0.06%
COM
IWF
0.06%
RUS 1000 GRW ETF
TDS
0.06%
COM NEW
NXST
0.06%
CL A
VUG
0.05%
GROWTH ETF
EPD
0.05%
COM
CI
0.05%
COM
SGEN
0.05%
COM
IVE
0.05%
S&P 500 VAL ETF
SLB
0.05%
COM
CMCSA
0.05%
CL A
ADBE
0.05%
COM
APD
0.05%
COM
MDY
0.05%
UTSER1 S&PDCRP
UNH
0.05%
COM
KSU
0.05%
COM NEW
ITW
0.05%
COM
CTSH
0.05%
CL A
AXP
0.05%
COM
GLNG
0.05%
SHS
VNQ
0.05%
REIT ETF
MSG
0.04%
CL A
ROP
0.04%
COM
CR
0.04%
COM
WMT
0.04%
COM
MEOH
0.04%
COM
TGT
0.04%
COM
AGN
0.04%
SHS
PSX
0.04%
COM
BAX
0.04%
COM
AVGO
0.04%
COM
VTI
0.04%
TOTAL STK MKT
MDLZ
0.04%
CL A
SWK
0.04%
COM
AABA
0.04%
COM
BRK.A
0.04%
CL A
EMPIRE S...
0.04%
CL A
VTV
0.04%
VALUE ETF
PRU
0.04%
COM
CELG
0.04%
COM
DRI
0.04%
COM
MET
0.04%
COM
CAT
0.04%
COM
DEO
0.04%
SPON ADR NEW
INTU
0.04%
COM
ROL
0.04%
COM
IFF
0.04%
COM
COP
0.04%
COM
AMAT
0.04%
COM
TROW
0.04%
COM
VB
0.04%
SMALL CP ETF
PRGO
0.03%
SHS
GE
0.03%
COM
IDXX
0.03%
COM
MCO
0.03%
COM
FDS
0.03%
COM
CSL
0.03%
COM
VBR
0.03%
SM CP VAL ETF
DSGX
0.03%
COM
DVY
0.03%
SELECT DIVID ETF
CRM
0.03%
COM
NULG
0.03%
ESG LARGE CAP
DUK
0.03%
COM NEW
WEC
0.03%
COM
DIA
0.03%
UT SER 1
DELL
0.03%
CL C
AVY
0.03%
COM
MTCH
0.03%
COM
PODD
0.03%
COM
DXC
0.03%
COM
PLXS
0.03%
COM
SEAS
0.03%
COM
HAS
0.03%
COM
UPS
0.03%
CL B
WHERE FO...
0.02%
COM
COL
0.14%
COM
KRE
0.09%
S&P REGL BKG
VNE
0.06%
COM
XLF
0.05%
SBI INT-FINL
TNC
0.04%
COM
CI
0.03%
COM
ESRX
0.03%
COM
ETN
0.03%
SHS
DVMT
0.03%
COM CL V
APC
0.03%
COM
BP
0.03%
SPONSORED ADR
CHTR
0.03%
CL A
SSTI
0.03%
COM
PX
0.02%
COM
AET
0.02%
COM
JW/B
0.02%
CL B
PSEC
0.02%
COM
FLEX
0.02%
ORD