BRAUN STACEY ASSOCIATES INC Q2 2018 Filing

Filed August 1, 2018

Portfolio Value

$1.5T

Holdings

118

Report Date

Q2 2018

Filing Type

13F-HR

All Holdings (118 positions)

StockValue
AAPLAPPLE INC
$55.4B
MSFTMICROSOFT
$41.1B
AMZNAMAZON COM INC COM
$34.8B
JPMJPMORGAN CHASE & CO
$27.0B
TTDTHE TRADE DESK INC COM CL A
$24.2B
MAMASTERCARD INC CL A
$23.2B
EOGEOG RES INC COM
$21.9B
BACBANK AMER CORP
$21.7B
HDHOME DEPOT INC
$20.8B
BURLBURLINGTON STORES INC COM
$20.4B
CVXCHEVRON CORP
$20.2B
CMECME GROUP INC COM
$19.8B
FANGDIAMONDBACK ENERGY INC COM
$19.8B
TRHCEURTABULA RASA HEALTHCARE INC COM
$19.2B
UNHUNITEDHEALTH GROUP INC
$19.1B
XPOXPO LOGISTICS INC COM
$18.9B
METAFACEBOOK INC CL A
$18.8B
DISWALT DISNEY CO
$18.7B
WEXWEX INC COM
$18.4B
ZBRAZEBRA TECHNOLOGIES CORP CL A
$18.3B
BABOEING CO
$17.3B
PVHPVH CORPORATION
$17.1B
BRK/BBERKSHIRE HATHAWAY INC DEL CL
$17.1B
ZTSZOETIS INC CL A
$17.0B
CMACOMERICA INC COM
$16.9B
MRKMERCK & COMPANY
$16.9B
XOMEXXON MOBIL CORP
$16.9B
TRVCCITIGROUP INC
$16.5B
INTCINTEL CORP
$16.4B
GOOGLALPHABET CLASS A
$16.4B
BLKCHFBLACKROCK INC COM
$16.3B
NOWSERVICENOW INC COM
$16.2B
PINNACLE FOODS INC DEL COM
$16.1B
STZCONSTELLATION BRANDS INC
$15.9B
CSXCSX CORP
$15.8B
SHOPSHOPIFY INC CL A
$15.5B
ELVANTHEM INC COM
$15.4B
GSGOLDMAN SACHS GROUP INC COM
$15.2B
CATCATERPILLAR INC
$14.9B
NEENEXTERA ENERGY INC COM
$14.8B
CSCOCISCO SYS INC
$14.8B
JNJJOHNSON & JOHNSON
$14.7B
ETRAE TRADE FINANCIAL CORP COM NEW
$14.6B
EAELECTRONIC ARTS INC COM
$14.5B
NBIXNEUROCRINE BIOSCIENCES INC COM
$14.3B
GOOGALPHABET CLASS C
$14.3B
TMUST MOBILE US INC COM
$14.2B
BCOBRINKS CO COM
$14.1B
TMOTHERMO FISHER SCIENTIFIC INC
$13.9B
RCLROYAL CARIBBEAN CRUISES LTD CO
$13.9B
MUMICRON TECHNOLOGY INC COM
$13.7B
MGMMGM MIRAGE COM
$13.5B
CADEEURCADENCE BANCORPORATION CL A
$13.5B
WMWASTE MGMT INC DEL COM
$13.3B
ALXNALEXION PHARMACEUTICALS INC CO
$13.3B
STLDSTEEL DYNAMICS INC COM
$13.2B
DHRDANAHER CORP SHS BEN INT
$13.2B
IQVIQVIA HOLDINGS INC
$13.2B
ALSALLSTATE CORP
$13.1B
DOWDUPONT INC
$13.0B
PFEPFIZER INC
$12.4B
LMTLOCKHEED MARTIN CORP COM
$12.3B
COSTCOSTCO WHSL CORP NEW
$12.3B
ABBVABBVIE INC COM
$12.0B
TRVTRAVELERS COMPANIES INC
$12.0B
CITCINTAS CORP COM
$11.9B
ELLAUDER ESTEE COS INC CL A
$11.9B
HONHONEYWELL INTL INC COM
$11.8B
DEDEERE & CO COM
$11.6B
MNSTMONSTER BEVERAGE CORP NEW COM
$11.4B
HALHALLIBURTON CO COM
$11.1B
FISFIDELITY NATL INFORMATION SVCO
$11.0B
AMATAPPLIED MATLS INC COM
$10.8B
WYWEYERHAEUSER CO
$10.8B
AMTAMERICAN TOWER REIT COM
$10.3B
PEPPEPSICO INC
$10.3B
LDOSLEIDOS HLDGS INC COM
$10.2B
OMCLOMNICELL INC COM
$9.9B
HSTHOST MARRIOTT CORP NEW COM
$9.8B
BABAALIBABA GROUP HLDG LTD SPONSOR
$9.8B
BACVERIZON COMMUNICATIONS
$9.7B
SUPNSUPERNUS PHARMACEUTICALS INCCO
$9.6B
PKGPACKAGING CORP AMER COM
$9.6B
KBHKB HOME COM
$8.5B
CMCSACOMCAST CORP NEW COM CL A
$8.3B
MOALTRIA GROUP INC
$8.3B
CHGGCHEGG INC COM
$8.1B
GU9GUESS INC COM
$8.0B
PGPROCTER & GAMBLE COMPANY
$7.4B
EDCONSOLIDATED EDISON INC
$7.2B
IACIEURIAC INTERACTIVECORP
$7.1B
EWEDWARDS LIFESCIENCES CORP COM
$6.6B
ROPROPER INDS INC NEW COM
$6.3B
SPYSPDR TR UNIT SER 1
$6.2B
DUKDUKE ENERGY CORPORATION COM NE
$5.8B
KHCKRAFT HEINZ COMPANY
$5.6B
BSXBOSTON SCIENTIFIC CORP COM
$5.5B
TA T & T INC
$5.0B
VOOVANGUARD INDEX FDS S&P 500 ETF
$4.6B
AWCAMERICAN WTR WKS CO INC NEW CO
$4.3B
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