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Reynders McVeigh Capital Management, LLC 13F holdings

Filed 2026-09-15 · Reynders McVeigh Capital Management, LLC · 196 positions · $2.3B

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TickerCompanySharesValue% of portfolio
NVDANVIDIA Corp.926.0K$185.3M8.2%
AAPLApple Inc.466.7K$135.0M6.0%
ROKRockwell Automation, Inc.197.4K$97.7M4.3%
ADIAnalog Devices Inc.240.8K$95.7M4.2%
APHAmphenol Corporation505.7K$89.2M3.9%
GOOGLAlphabet Inc.241.9K$86.5M3.8%
MSFTMicrosoft Corp.219.8K$82.0M3.6%
AMATApplied Materials Inc.106.0K$76.6M3.4%
MAMasterCard Incorporated141.8K$72.8M3.2%
CARRCarrier Global Corporation918.2K$67.4M3.0%
ULSUL Solutions Inc.608.1K$61.9M2.7%
GOOGAlphabet Inc.159.4K$56.3M2.5%
XYLXylem, Inc.404.4K$47.8M2.1%
TJXThe TJX Companies Inc.298.6K$45.2M2.0%
IBMInternational Business Machines Corp.150.9K$42.4M1.9%
SYKStryker Corporation134.3K$42.3M1.9%
AVGOBroadcom Inc111.7K$42.2M1.9%
DHRDanaher Corporation212.4K$40.5M1.8%
ARMArm Holdings PLC114.0K$40.4M1.8%
AMZNAmazon.com, Inc.167.0K$39.8M1.8%
CCICrown Holdings Inc355.5K$39.7M1.8%
ABTAbbott Laboratories415.2K$37.7M1.7%
NETCloudflare Inc142.7K$35.0M1.5%
TMUST-Mobile US Inc204.8K$34.3M1.5%
HDHome Depot Inc.97.2K$34.3M1.5%
VLTOVeralto Corp.342.4K$30.4M1.3%
VRTXVertex Pharmaceuticals Incorporated54.5K$27.1M1.2%
—Sharkninja Inc.172.6K$26.3M1.2%
ULUnilever PLC413.5K$24.9M1.1%
WMWaste Management, Inc.109.9K$24.5M1.1%
ATRAptargroup Inc.186.7K$23.4M1.0%
ASMLASML Holding N.V.11.1K$22.1M1.0%
NYTThe New York Times Company315.1K$22.0M1.0%
VRTVertiv Holdings Co65.6K$21.9M1.0%
ABNBAirbnb Inc149.2K$21.4M0.9%
TSLATesla Inc49.2K$20.7M0.9%
RKTRocket Companies Inc1.3M$20.1M0.9%
JNJJohnson & Johnson76.5K$19.4M0.9%
AMDAdvanced Micro Devices Inc.33.2K$19.3M0.9%
NXPWNextpower Inc.157.9K$18.8M0.8%
PGThe Procter & Gamble Co.127.8K$18.7M0.8%
TILEInterface, Inc.489.7K$17.6M0.8%
ADPAutomatic Data Processing, Inc.57.7K$12.9M0.6%
SOFISofi Technologies Inc699.5K$12.5M0.6%
BRBroadridge Financial Solutions Inc.87.4K$12.0M0.5%
NVSNovartis AG71.6K$11.2M0.5%
SXTSensient Technologies Corp86.5K$10.7M0.5%
CRMSalesforce Inc.67.2K$10.5M0.5%
COSTCostco Wholesale Corporation10.7K$10.0M0.4%
ABBVAbbVie Inc.29.2K$7.3M0.3%
LLYEli Lilly & Co.5.9K$7.1M0.3%
UBERUber Technologies Inc94.3K$6.8M0.3%
—Alcon AG91.8K$6.2M0.3%
BRK-BBerkshire Hathaway Inc.11.9K$6.0M0.3%
VVisa Inc16.7K$5.7M0.3%
CNICanadian National Railway Company45.7K$5.4M0.2%
GRALGRAIL Inc71.3K$4.9M0.2%
TMOThermo Fisher Scientific Inc9.1K$4.6M0.2%
SPYSpdr S&P 500 Etf Trust TR UNIT5.2K$3.9M0.2%
DSGXDescartes Systems Group Inc.54.0K$3.7M0.2%
Top Fund Holdings
13F
Top Fund Holdings

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13F data from SEC EDGAR. Quotes are delayed and not for trading. Not investment advice.

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13F data from SEC EDGAR. Quotes are delayed and not for trading. Not investment advice.
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