Cohen Klingenstein LLC Q1 2020 Filing

Filed April 15, 2020

Portfolio Value

$1.4T

Holdings

231

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (231 positions)

#StockSharesValue% PortfolioType
1
IWOiShares Russell 2000G
646,625$102.3B7.57%
2
DISWalt Disney Co
942,468$91.0B6.73%
3
AMZNAmazoncom
36,131$70.4B5.21%
4
NDQInvesco QQQ Trust
350,912$66.8B4.94%
5
PEPPepsiCo Inc
476,006$57.2B4.23%
6
SPYStandard Poors DR
186,088$48.0B3.55%
7
UNPUnion Pacific Corp
245,715$34.7B2.56%
8
Berkshire Hathaway B
177,728$32.5B2.40%
9
AAPLApple Inc
126,156$32.1B2.37%
10
LLYEli Lilly
202,600$28.1B2.08%
11
CMCSAComcast Corp Cl A
793,716$27.3B2.02%
12
JNJJohnson Johnson
198,302$26.0B1.92%
13
AMTAmerican Tower
103,734$22.6B1.67%
14
MSFTMicrosoft Corp
127,682$20.1B1.49%
15
PGProcter Gamble
182,060$20.0B1.48%
16
AXPAmerican Express
229,040$19.6B1.45%
17
GOOGLAlphabet Class A
16,404$19.1B1.41%
18
GOOGAlphabet Class C
16,083$18.7B1.38%
19
METAFacebook Inc
97,572$16.3B1.20%
20
MRKMerck Co
204,926$15.8B1.17%
21
PYPLPayPal Holdings
147,117$14.1B1.04%
22
HONHoneywell Intl
104,022$13.9B1.03%
23
CLColgate-Palmolive
205,200$13.6B1.01%
24
KSUEURKansas City So Ind
104,100$13.2B0.98%
25
ADBEAdobe Systems Inc
38,658$12.3B0.91%
26
ITWIllinois Tool Works
84,200$12.0B0.89%
27
MDTMedtronic PLC
124,827$11.3B0.83%
28
YUMYum! Brands Inc
163,670$11.2B0.83%
29
RTN1USDRaytheon Co
80,799$10.6B0.78%
30
JPMJPMorgan Chase
114,279$10.3B0.76%
31
TMOThermo Fisher Scien
36,251$10.3B0.76%
32
AVGOBroadcom Limited
43,070$10.2B0.76%
33
GSKGlaxoSmithKline ADR
268,730$10.2B0.75%
34
CCICrown Castle Intl
69,737$10.1B0.74%
35
RDS/ARoyal Dutch Shell ADR
279,759$9.8B0.72%
36
HIGHartford Finl Ser
246,500$8.7B0.64%
37
MMM3M Co
58,200$7.9B0.59%
38
UTXZUnited Technologies
83,608$7.9B0.58%
39
TATT Inc
260,657$7.6B0.56%
40
SAPSAP AG ADR
64,755$7.2B0.53%
41
YUMCYum China Hldgs
166,100$7.1B0.52%
42
FDXFederal Express
56,714$6.9B0.51%
43
AMGNAmgen Inc
33,020$6.7B0.50%
44
VVisa Inc
40,800$6.6B0.49%
45
BACBank of Amer Corp
305,820$6.5B0.48%
46
NSCNorfolk Southern Corp
44,050$6.4B0.48%
47
PANWPalo Alto Networks
38,937$6.4B0.47%
48
VMCVulcan Materials Co
59,058$6.4B0.47%
49
INTCIntel Corp
115,400$6.2B0.46%
50
CABOCable ONE
3,790$6.2B0.46%
51
UNHUnitedHealth Group
24,500$6.1B0.45%
52
PFEPfizer Inc
185,999$6.1B0.45%
53
CSCOCisco Systems Inc
153,665$6.0B0.45%
54
Laboratory Corp
46,106$5.8B0.43%
55
CRMSalesforcecom
39,713$5.7B0.42%
56
UPSUnited Parcel Service
59,754$5.6B0.41%
57
MAMastercard Inc
23,000$5.6B0.41%
58
HDHome Depot Inc
29,724$5.5B0.41%
59
BMYBristol-Myers Squibb
95,116$5.3B0.39%
60
GLGlobal Life Inc
72,009$5.2B0.38%
61
BACVerizon
90,871$4.9B0.36%
62
HESHess Corp
145,600$4.8B0.36%
63
INTUIntuit Inc
20,600$4.7B0.35%
64
ALAir Lease
213,139$4.7B0.35%
65
NFLXNetflix Inc
12,500$4.7B0.35%
66
DYHTarget Corp
49,875$4.6B0.34%
67
WMTWal Mart Stores
40,300$4.6B0.34%
68
CCitigroup Inc
107,451$4.5B0.33%
69
KOCoca-Cola Co
101,200$4.5B0.33%
70
IBMIntl Bus Machines
37,725$4.2B0.31%
71
NVDANvidia Corp
15,515$4.1B0.30%
72
ABTAbbott Labs
51,173$4.0B0.30%
73
A4SAmeriprise Financial
38,655$4.0B0.29%
74
ABBVAbbvie Inc
50,500$3.8B0.28%
75
CVSCVS Corp
63,939$3.8B0.28%
76
XOMExxon Mobil Corp
99,400$3.8B0.28%
77
MCDMcDonalds Corp
21,400$3.5B0.26%
78
ORCLOracle Corp
72,700$3.5B0.26%
79
ACNAccenture PLC
20,500$3.3B0.25%
80
GILDGilead Sciences Inc
44,184$3.3B0.24%
81
CVXChevron-Texaco Corp
44,876$3.3B0.24%
82
4I1Philip Morris Intl
43,805$3.2B0.24%
83
ADIAnalog Devices Inc
35,600$3.2B0.24%
84
VWOVanguard Emg Mkts ETF
94,959$3.2B0.24%
85
ALSAllstate Corp
32,960$3.0B0.22%
86
PLDPrologis Inc
37,026$3.0B0.22%
87
COSTCostco Wholesale
10,300$2.9B0.22%
88
NEENextera Energy Inc
11,600$2.8B0.21%
89
COPConocoPhilips
90,379$2.8B0.21%
90
BRK-BBerkshire Hath Cl A
10$2.7B0.20%
91
NKENIKE Inc Cl B
32,500$2.7B0.20%
92
QCOMQualcomm Inc
39,400$2.7B0.20%
93
WFCWells Fargo Co
90,900$2.6B0.19%
94
DHRDanaher Corp
18,543$2.6B0.19%
95
SCHFSchwab Intl Equity
95,065$2.5B0.18%
96
SBUXStarbucks
36,122$2.4B0.18%
97
LINLinde PLC
13,000$2.2B0.17%
98
TXNTexas Instruments
21,900$2.2B0.16%
99
GEGeneral Electric Co
270,881$2.2B0.16%
100
BKNGBooking Holdings Inc
1,570$2.1B0.16%
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