Universe · entity

BOWEN HANES & CO INC

Institutional manager (13F) · CIK 1077583
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3.7B
#IssuerValueShares
1CORNING$187M1,377,592
2ATI INC$152M1,043,105
3GE VERNOVA INC$150M172,293
4APPLE INC$126M497,258
5TELEDYNE TECHNOLOGIES$112M185,332
6NVIDIA CORP COM$106M609,815
7LILLY ELI & COMPANY$105M114,646
8AMERICAN EXPRESS$97M319,754
9COSTCO WHOLESALE$95M95,494
10PARKER-HANNIFIN$90M100,295
11TEXAS INSTRUMENTS$89M459,387
12PALO ALTO NETWORKS$84M524,331
13INTUITIVE SURGICAL$83M180,975
14JPMORGAN CHASE$81M275,470
15DEERE & CO$81M143,367
16NETFLIX INC$79M820,550
17MOTOROLA SOLUTIONS$78M180,185
18WHEATON PRECIOUS METALS (CA)$77M591,030
19SOLSTICE ADVANCED MATL$77M1,008,031
20UNION PACIFIC$76M313,033
21EATON CORP (IL)$73M204,380
22MICROSOFT$73M196,513
23CHARLES SCHWAB CORP$70M740,788
24MASTEC INC COM$69M215,465
25HOME DEPOT$69M208,569
26WELLTOWER$68M345,956
27VIAVI SOLUTIONS$67M2,000,000
28ALPHABET INC CLASS C$66M229,640
29ROLLS ROYCE HOLDINGS ADR (GB)$65M4,230,215
30ELANCO ANIMAL HEALTH$63M2,647,270
31VISA$63M209,327
32CARPENTER TECHNOLOGY COM$63M160,000
33CAMECO (CA)$62M571,975
34VERTEX PHARMACEUTICALS$60M135,399
35ASML HOLDING (NE)$59M44,980
36HAWKINS INC COM$58M380,520
37BOEING$57M285,670
38BLACKSTONE INC$54M473,338
39PROCTER & GAMBLE$53M367,943
40FABRINET SHS (CI)$51M98,715
41ITT INC$51M265,710
42UNITED THERAPEUTICS$50M85,000
43TE CONNECTIVITY (SZ)$46M220,000
44MITSUBISHI ELEC CORP (JP)$43M670,000
45OSHKOSH CORP$41M277,380
46ARISTA NETWORKS INC COM SHS$40M325,000
47EQUINIX$39M40,000
48SUNOCO LP$39M600,000
49ENTERPRISE PRODUCTS PARTNERS L$39M1,018,000
50PROLOGIS$38M289,130
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.