BAHL & GAYNOR INC Q2 2016 Filing

Filed August 10, 2016

Portfolio Value

$7.7T

Holdings

403

Report Date

Q2 2016

Filing Type

13F-HR

All Holdings (403 positions)

#StockSharesValue% PortfolioType
1
MSFTMicrosoft Corporation
5,102,478$261.1B3.39%
2
JNJJohnson & Johnson
1,966,975$238.6B3.09%
3
PGProcter & Gamble Co.
2,808,969$237.8B3.08%
4
NEENextEra Energy, Inc.
1,695,663$221.1B2.87%
5
HDHome Depot Inc.
1,611,308$205.7B2.67%
6
MMM3M Company
1,105,294$193.6B2.51%
7
PEPPepsiCo, Inc.
1,807,662$191.5B2.48%
8
JPMJPMorgan Chase & Co
2,924,838$181.8B2.36%
9
PAYXPaychex, Inc.
3,047,621$181.3B2.35%
10
CSCOCisco Systems Inc.
6,287,864$180.4B2.34%
11
WECWEC Energy Group Inc
2,679,183$174.9B2.27%
12
KOCoca-Cola Company
3,525,057$159.8B2.07%
13
ABBVAbbVie Inc.
2,569,894$159.1B2.06%
14
BLKCHFBlackRock Inc.
459,594$157.4B2.04%
15
MRKMerck & Co. Inc.
2,478,002$142.8B1.85%
16
SESpectra Energy Corp
3,849,781$141.0B1.83%
17
8CWCrown Castle International
1,364,596$138.4B1.79%
18
BBTUSDBB&T Corp
3,864,629$137.6B1.78%
19
GEGeneral Electric Co
4,302,888$135.5B1.76%
20
PFEPfizer Inc.
3,653,323$128.6B1.67%
21
FASTFastenal Company
2,846,707$126.4B1.64%
22
OXYOccidental Petroleum Corp
1,647,169$124.5B1.61%
23
VENVentas Inc.
1,624,831$118.3B1.53%
24
MOAltria Group Inc
1,696,224$117.0B1.52%
25
MDTMedtronic PLC
1,311,513$113.8B1.48%
26
DYHTarget Corporation
1,615,494$112.8B1.46%
27
KMBKimberly-Clark Corp.
817,021$112.3B1.46%
28
TROWT Rowe Price Group Inc
1,443,567$105.3B1.37%
29
XOMExxon Mobil Corporation
1,092,391$102.4B1.33%
30
LMTLockheed Martin Corp.
412,321$102.3B1.33%
31
PNCPNC Financial Services
1,244,020$101.3B1.31%
32
4I1Philip Morris Intl
972,866$99.0B1.28%
33
ORealty Income Corp
1,334,616$92.6B1.20%
34
ADPAutomatic Data Processing Inc.
976,048$89.7B1.16%
35
SYKStryker Corp
701,882$84.1B1.09%
36
TXNTexas Instruments, Inc.
1,272,043$79.7B1.03%
37
LYBLyondellBasell Industries cl A
1,011,675$75.3B0.98%
38
USBU.S. Bancorp
1,829,201$73.8B0.96%
39
HASHasbro Inc.
865,252$72.7B0.94%
40
QCOMQualcomm Inc.
1,219,550$65.3B0.85%
41
ABTAbbott Laboratories
1,632,362$64.2B0.83%
42
KRKroger Co.
1,650,681$60.7B0.79%
43
AMGNAmgen Inc.
396,147$60.3B0.78%
44
MXIMMaxim Integrated Products
1,685,360$60.1B0.78%
45
ACNAccenture Ltd
509,578$57.7B0.75%
46
SJMJM Smucker Co.
375,848$57.3B0.74%
47
ITWIllinois Tool Works Inc.
510,521$53.2B0.69%
48
BRBroadridge Fncl Solutions
803,449$52.4B0.68%
49
UTXZUnited Technologies Corp
489,655$50.2B0.65%
50
DISWalt Disney Company
495,609$48.5B0.63%
51
AAPLApple Inc.
503,162$48.1B0.62%
52
CHDChurch & Dwight Co Inc
446,730$46.0B0.60%
53
CINFCincinnati Financial Corp
574,334$43.0B0.56%
54
BDXBecton Dickinson & Co.
242,301$41.1B0.53%
55
HONHoneywell Intl Inc
345,694$40.2B0.52%
56
NVSNNovartis AG
481,161$39.7B0.51%
57
INTCIntel Corporation
1,193,632$39.2B0.51%
58
MKTXMarketAxess Corporation
265,851$38.7B0.50%
59
AVGOBroadcom Ltd.
248,411$38.6B0.50%
60
TJXTJX Companies Inc.
489,237$37.8B0.49%
61
Johnson Controls, Inc.
804,659$35.6B0.46%
62
PSAPublic Storage, Inc.
138,222$35.3B0.46%
63
ELEstee Lauder Cos Inc
384,797$35.0B0.45%
64
NKENike Inc cl B
633,214$35.0B0.45%
65
EMREmerson Electric Co.
664,639$34.7B0.45%
66
CVXChevron Corp
329,481$34.5B0.45%
67
ECLEcolab Inc
280,916$33.3B0.43%
68
PXGBXPraxair, Inc.
288,622$32.4B0.42%
69
MCDMcDonald's Corp.
249,428$30.0B0.39%
70
MRSHMarsh & McLennan Company Inc
436,220$29.9B0.39%
71
UNHUnitedHealth Group, Inc.
205,656$29.0B0.38%
72
CITCintas Corporation
295,031$29.0B0.38%
73
WFCWells Fargo & Co
591,975$28.0B0.36%
74
GWWW.W. Grainger Inc.
110,938$25.2B0.33%
75
AITApplied Industrial Tech
521,341$23.5B0.31%
76
LOWLowes Companies Inc.
283,340$22.4B0.29%
77
GPCGenuine Parts Company
205,059$20.8B0.27%
78
SLBSchlumberger Ltd.
251,255$19.9B0.26%
79
MCXMcCormick & Co, Inc.
185,301$19.8B0.26%
80
VGTVanguard Info Tech ETF
171,978$18.4B0.24%
81
RPMRPM International, Inc.
368,458$18.4B0.24%
82
WBAWalgreen Company
201,659$16.8B0.22%
83
EFXEquifax Inc
112,524$14.4B0.19%
84
WSOWatsco Inc.
97,018$13.6B0.18%
85
CPTCamden Property Trust
149,160$13.2B0.17%
86
CDWCDW Corp.
299,405$12.0B0.16%
87
ROPRoper Technologies, Inc.
70,133$12.0B0.16%
88
GISGeneral Mills Inc.
157,715$11.2B0.15%
89
RMEResmed Inc
172,991$10.9B0.14%
90
XRAYDentsply Sirona Inc.
172,649$10.7B0.14%
91
TFXTeleflex Inc.
57,655$10.2B0.13%
92
VIRTVirtu Financial Inc. Cl A
563,628$10.1B0.13%
93
BACVerizon Communications, Inc.
180,311$10.1B0.13%
94
BMYBristol-Myers Squibb Co.
134,200$9.9B0.13%
95
BRK/BBerkshire Hathaway cl B
63,726$9.2B0.12%
96
NSRGYNestle S.A. ADR
109,238$8.4B0.11%
97
EVREvercore Partners Inc - Cl A
174,421$7.7B0.10%
98
HCSGHealthcare Services Group
181,499$7.5B0.10%
99
TAT&T Inc.
173,337$7.5B0.10%
100
GNTXGentex Corporation
481,077$7.4B0.10%
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