Universe · entity

Notis-McConarty Edward

Institutional manager (13F) · CIK 1592616
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $213M
#IssuerValueShares
1ALPHABET INC CL A$18M46,112
2NVIDIA CORP$14M70,846
3APPLE$12M42,571
4ANALOG DEVICES$10M24,996
5MICROSOFT$9M22,356
6AMAZON.COM$8M31,990
7MASTERCARD$8M16,242
8ADVANCED MICRO DEVICES$8M21,722
9RTX CORPORATION$7M41,681
10JOHNSON AND JOHNSON$7M30,506
11ROCKWELL AUTOMATION$6M15,741
12TJX COS$6M40,761
13AUTOMATIC DATA PROCESSING$6M28,508
14PROCTER & GAMBLE$6M40,096
15APPLIED MATERIAL$6M14,319
16ABBOTT LABS$6M61,130
17SCHNEIDER ELEC SA ADR$5M84,694
18APTARGROUP$5M37,034
19DANAHER CORP$4M23,741
20ELI LILLY & CO$4M4,437
21XYLEM INC$4M33,238
22EXXON MOBIL$4M23,760
23VERTEX PHARMACEUTICALS$4M8,258
24HOME DEPOT$3M10,284
25AMERICAN EXPRESS$3M10,239
26BROADCOM INC$3M7,624
27ABBVIE$3M14,937
28UBER TECHNOLOGIES INC$3M42,020
29CHARLES SCHWAB$3M34,145
30CANADIAN NATL RAILWAY$3M27,467
31JPMORGAN CHASE$3M9,628
32CHEVRON$2M12,556
33NEXTERA ENERGY$2M21,863
34LOWES COMPANIES$1M6,140
35AMGEN INC$1M3,986
36ORACLE$1M7,200
37COSTCO WHOLESALE$1M1,143
38CANADIAN PACIFIC KANSAS CITY L$1M13,140
39TRANE TECHNOLOGIES PLC$1M2,300
40MERCK$1M10,150
41WASTE CONNECTIONS INC NEW$1M6,688
42EMERSON ELECTRIC$1M7,337
43STRYKER CORP$979k3,106
44CISCO SYS INC$835k9,127
45INTEL$775k8,200
46UNION PACIFIC$720k2,670
47GILEAD SCIENCES$667k5,100
48ECOLAB INC$633k2,430
49ISHARES RUSSELL 1000$629k1,600
50NESTLE SA ADR$578k5,700
All filings on EDGAR ↗

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