COMPTON CAPITAL MANAGEMENT INC /RI - Q2 2015 holdings

$182 Million is the total value of COMPTON CAPITAL MANAGEMENT INC /RI's 141 reported holdings in Q2 2015. The portfolio turnover from Q1 2015 to Q2 2015 was 1.6% .

 Value Shares↓ Weighting
AAPL SellAPPLE INC$14,476,000
-0.6%
115,419
-1.3%
7.95%
-1.8%
GILD SellGILEAD SCIENCES INC$8,170,000
+39.0%
69,785
-0.4%
4.49%
+37.3%
XOM SellEXXON MOBIL CORP$6,084,000
-2.5%
73,119
-0.4%
3.34%
-3.7%
JPM SellJP MORGAN CHASE & CO$6,036,000
+10.8%
89,079
-1.0%
3.32%
+9.3%
CSCO SellCISCO SYSTEMS INC$5,878,000
-0.6%
214,074
-0.3%
3.23%
-1.8%
GE SellGENERAL ELECTRIC CO$5,587,000
+6.6%
210,289
-0.4%
3.07%
+5.3%
NKE SellNIKE INC-B$4,340,000
+6.2%
40,174
-1.4%
2.38%
+4.9%
VZ SellVERIZON COMMUNICATIONS INC$3,681,000
-5.6%
78,972
-1.5%
2.02%
-6.8%
CELG SellCELGENE CORP$3,555,000
-0.9%
30,720
-1.3%
1.95%
-2.2%
BX SellBLACKSTONE GROUP LP$3,241,000
+4.6%
79,300
-0.4%
1.78%
+3.3%
CVS SellCVS HEALTH CORP$3,112,000
+0.4%
29,668
-1.2%
1.71%
-0.9%
LOW SellLOWES COS INC$2,878,000
-11.4%
42,980
-1.5%
1.58%
-12.5%
WFC SellWELLS FARGO & CO$2,787,000
+3.1%
49,562
-0.3%
1.53%
+1.7%
T SellAT&T INC$2,289,000
+7.7%
64,448
-1.0%
1.26%
+6.3%
MMM Sell3M CO$2,285,000
-6.8%
14,809
-0.3%
1.26%
-8.0%
VAR SellVARIAN MEDICAL SYSTEMS INC$2,218,000
-10.6%
26,305
-0.2%
1.22%
-11.7%
BMY SellBRISTOL MYERS SQUIBB CO$2,208,000
+2.7%
33,184
-0.4%
1.21%
+1.4%
BRKB SellBERKSHIRE HATHAWAY INC$2,082,000
-8.4%
15,299
-2.9%
1.14%
-9.6%
EMC SellEMC CORP MASS$1,938,000
+2.5%
73,449
-0.7%
1.06%
+1.2%
GOOGL SellGOOGLE INC-Acl a$1,748,000
+0.9%
3,236
-11.5%
0.96%
-0.4%
IBM SellIBM CORP$1,681,000
-0.4%
10,337
-1.7%
0.92%
-1.6%
PFE SellPFIZER INC$1,624,000
-4.0%
48,445
-0.4%
0.89%
-5.2%
ABT SellABBOTT LABORATORIES$1,577,000
+4.6%
32,126
-1.2%
0.87%
+3.2%
BAC SellBANK OF AMERICA CORP$1,428,000
+10.0%
83,923
-0.5%
0.78%
+8.7%
DIS SellDISNEY (THE WALT) COMPANY DEL$1,424,000
+8.4%
12,478
-0.4%
0.78%
+7.0%
INTC SellINTEL CORP$1,422,000
-4.0%
46,762
-1.3%
0.78%
-5.2%
ETN SellEATON CORP PLC$1,352,000
-2.6%
20,033
-2.0%
0.74%
-3.8%
AIG SellAMERICAN INTL GROUP$1,186,000
+12.3%
19,178
-0.5%
0.65%
+10.9%
MCD SellMCDONALDS CORP$1,150,000
-5.2%
12,094
-2.8%
0.63%
-6.4%
SLB SellSCHLUMBERGER LTD$1,095,000
-3.6%
12,709
-6.6%
0.60%
-4.7%
SDY SellSPDR S&P DIVIDEND ETFs&p divid etf$944,000
-5.6%
12,391
-3.1%
0.52%
-6.7%
DAL SellDELTA AIR LINES INC$945,000
-10.0%
23,000
-1.5%
0.52%
-11.1%
AMGN SellAMGEN INC$940,000
-4.3%
6,120
-0.4%
0.52%
-5.5%
HD SellHOME DEPOT INC$934,000
-2.8%
8,407
-0.6%
0.51%
-4.1%
HON SellHONEYWELL INTERNATIONAL INC$886,000
-2.7%
8,688
-0.6%
0.49%
-3.9%
HAL SellHALLIBURTON CO$812,000
-3.9%
18,850
-2.1%
0.45%
-5.1%
TGT SellTARGET CORP$759,000
-3.6%
9,292
-3.1%
0.42%
-4.8%
EMR SellEMERSON ELECTRIC CO$702,000
-4.7%
12,661
-2.7%
0.39%
-5.9%
V SellVISA INC-CLASS A SHARES$697,000
+0.7%
10,380
-1.9%
0.38%
-0.5%
VOD SellVODAFONE GROUP PLCspnsr adr no par$628,000
+6.4%
17,234
-4.6%
0.34%
+5.2%
ORCL SellORACLE CORP$627,000
-9.1%
15,550
-2.8%
0.34%
-10.4%
C SellCITIGROUP INC$594,000
+4.4%
10,754
-2.7%
0.33%
+2.8%
PNC SellPNC FINANCIAL SERVICES GROUP$517,000
+0.8%
5,400
-1.8%
0.28%
-0.4%
FDX SellFEDEX CORP$517,000
-9.6%
3,035
-12.3%
0.28%
-10.7%
MRO SellMARATHON OIL CORP$449,000
-0.9%
16,905
-2.6%
0.25%
-2.0%
IR SellINGERSOLL-RAND CO PLC$446,000
-3.0%
6,610
-2.2%
0.24%
-4.3%
RTN SellRAYTHEON CO$415,000
-13.4%
4,334
-1.1%
0.23%
-14.6%
DWX SellSPDR S&P INTL DVD ETFs&p intl etf$396,000
-5.0%
9,550
-4.0%
0.22%
-6.0%
DGX SellQUEST DIAGNOSTICS INC$392,000
-7.3%
5,400
-1.8%
0.22%
-8.5%
APC SellANADARKO PETROLEUM CORP$376,000
-7.6%
4,820
-2.0%
0.21%
-8.4%
GLD SellSPDR GOLD TRUST$337,000
-4.5%
2,998
-3.6%
0.18%
-5.6%
RF SellREGIONS FINL CORP$325,000
+8.0%
31,400
-1.6%
0.18%
+7.2%
CMI SellCUMMINS INC$318,000
-7.3%
2,425
-2.0%
0.18%
-8.4%
FCX SellFREEPORT-MCMORAN INC$318,000
-3.0%
17,072
-1.4%
0.18%
-4.4%
SEE SellSEALED AIR CORP$309,000
+9.2%
6,020
-3.2%
0.17%
+8.3%
IEV SellISHARES EUROPE ETFeurope etf$309,000
-5.5%
7,076
-4.1%
0.17%
-6.6%
ANTM SellANTHEM INC$293,000
+2.1%
1,785
-4.0%
0.16%
+0.6%
APA SellAPACHE CORP$281,000
-6.0%
4,875
-1.5%
0.15%
-7.2%
FLR SellFLUOR CORP$252,000
-12.8%
4,750
-5.9%
0.14%
-14.3%
XLU SellUTILITIES SELECT SECTOR SPDRsbi int-utils$243,000
-9.7%
5,850
-3.3%
0.13%
-10.7%
CYH ExitCOMMUNITY HEALTH SYSTEMS$0-4,850
-100.0%
-0.14%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2015-08-14
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INC41Q2 202348.1%
CISCO SYSTEMS INC41Q2 202310.0%
JP MORGAN CHASE & CO41Q2 20234.7%
MICROSOFT CORP41Q2 20234.8%
ABBOTT LABORATORIES41Q2 20235.2%
NIKE INC-B40Q1 20233.4%
GILEAD SCIENCES INC40Q1 20234.5%
LOWES COS INC40Q1 20234.0%
THERMO FISHER SCIENTIFIC INC40Q1 20233.0%
VERIZON COMMUNICATIONS INC40Q1 20232.3%

View COMPTON CAPITAL MANAGEMENT INC /RI's complete holdings history.

Latest filings
TypeFiled
13F-HR2023-08-09
13F-HR2023-05-09
13F-HR2023-02-14
13F-HR2022-11-08
13F-HR/A2022-08-11
13F-HR2022-08-04
13F-HR2022-05-13
13F-HR2022-02-07
13F-HR2021-11-10
13F-HR2021-08-11

View COMPTON CAPITAL MANAGEMENT INC /RI's complete filings history.

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