Palisades Hudson Asset Management, L.P. - Q4 2016 holdings

$163 Million is the total value of Palisades Hudson Asset Management, L.P.'s 106 reported holdings in Q4 2016. The portfolio turnover from Q3 2016 to Q4 2016 was 0.0% .

 Value Shares↓ Weighting
CL  Colgate Palmolive Co$6,826,000
-11.7%
104,3140.0%4.18%
-29.3%
AAPL  Apple Inc$1,881,000
+2.5%
16,2400.0%1.15%
-17.9%
XOM  Exxon Mobil Corp$1,151,000
+3.4%
12,7550.0%0.70%
-17.2%
MSFT  Microsoft Corp$1,057,000
+8.0%
17,0000.0%0.65%
-13.5%
AMZN  Amazon Com Inc$1,052,000
-10.5%
1,4040.0%0.64%
-28.3%
GOOG  Alphabet Inccap stk cl c$837,000
-0.7%
1,0840.0%0.51%
-20.3%
BA  Boeing Co$779,000
+18.2%
5,0030.0%0.48%
-5.4%
GE  General Electric Co$766,000
+6.7%
24,2430.0%0.47%
-14.6%
GS  Goldman Sachs Group Inc$702,000
+48.4%
2,9330.0%0.43%
+18.8%
PFE  Pfizer Inc$672,000
-4.0%
20,6790.0%0.41%
-23.0%
GOOGL  Alphabet Inccap stk cl a$659,000
-1.3%
8310.0%0.40%
-20.9%
T  AT&T Inc$596,000
+4.7%
14,0080.0%0.36%
-16.1%
CHRW  C H Robinson Worldwide Inc$552,000
+4.0%
7,5320.0%0.34%
-16.7%
FB  Facebook Inccl a$514,000
-10.3%
4,4660.0%0.32%
-28.1%
BIIB  Biogen Idec Inc$505,000
-9.5%
1,7810.0%0.31%
-27.6%
CVX  Chevron Corp New$466,000
+14.5%
3,9590.0%0.28%
-8.4%
HD  Home Depot Inc$462,000
+4.3%
3,4450.0%0.28%
-16.5%
WFC  Wells Fargo & Co New$454,000
+24.4%
8,2320.0%0.28%
-0.4%
MO  Altria Group Inc$445,000
+7.0%
6,5820.0%0.27%
-14.2%
MAR  Marriott Intl Inc Newcl a$441,000
+22.8%
5,3290.0%0.27%
-1.5%
BAC  Bank Of America Corporation$440,000
+41.0%
19,9140.0%0.27%
+12.6%
JNPR  Juniper Networks Inc$439,000
+17.7%
15,5230.0%0.27%
-5.6%
KO  Coca Cola Co$400,000
-2.0%
9,6460.0%0.24%
-21.5%
ADBE  Adobe Sys Inc$384,000
-5.2%
3,7280.0%0.24%
-24.2%
YUM  Yum Brands Inc$376,000
-30.2%
5,9350.0%0.23%
-44.2%
ABBV  AbbVie Inc$371,000
-0.8%
5,9260.0%0.23%
-20.6%
MSTR  Microstrategy Inccl a new$359,000
+17.7%
1,8210.0%0.22%
-5.6%
COST  Costco Whsl Corp New$354,000
+4.7%
2,2130.0%0.22%
-15.9%
PRU  Prudential Finl Inc$355,000
+27.7%
3,4100.0%0.22%
+1.9%
PM  Philip Morris Intl Inc$346,000
-5.7%
3,7780.0%0.21%
-24.6%
DIS  Disney Walt Co$344,000
+12.4%
3,2980.0%0.21%
-9.8%
ORCL  Oracle Corp$328,000
-2.1%
8,5210.0%0.20%
-21.5%
INTU  Intuit$327,000
+4.1%
2,8550.0%0.20%
-16.7%
INTC  Intel Corp$320,000
-3.9%
8,8250.0%0.20%
-23.1%
BP  BP PLCsponsored adr$310,000
+6.2%
8,2990.0%0.19%
-14.8%
UNH  Unitedhealth Group Inc$306,000
+14.2%
1,9120.0%0.19%
-8.8%
BMY  Bristol Myers Squibb Co$301,000
+8.3%
5,1480.0%0.18%
-13.6%
BR  Broadridge Finl Solutions In$297,000
-2.0%
4,4760.0%0.18%
-21.6%
AMGN  Amgen Inc$285,000
-12.3%
1,9450.0%0.18%
-29.4%
AXP  American Express Co$286,000
+15.8%
3,8550.0%0.18%
-7.4%
MMM  3M Co$281,000
+1.4%
1,5710.0%0.17%
-18.9%
DE  Deere & Co$278,000
+20.9%
2,6950.0%0.17%
-3.4%
V  Visa Inc$272,000
-5.6%
3,4880.0%0.17%
-24.1%
KMB  Kimberly Clark Corp$272,000
-9.6%
2,3850.0%0.17%
-27.4%
GILD  Gilead Sciences Inc$271,000
-9.7%
3,7900.0%0.17%
-27.5%
HON  Honeywell Intl Inc$271,000
-0.7%
2,3400.0%0.17%
-20.6%
PLD  Prologis Inc$264,000
-1.5%
5,0030.0%0.16%
-21.0%
PYPL  PayPal Hldgs Inc$259,000
-3.4%
6,5520.0%0.16%
-22.4%
NKE  Nike Inccl b$260,000
-3.7%
5,1200.0%0.16%
-22.8%
DUK  Duke Energy Corp New$252,000
-3.1%
3,2470.0%0.15%
-22.6%
CMCSA  Comcast Corp Newcl a$246,000
+4.2%
3,5620.0%0.15%
-16.1%
ABT  Abbott Labs$236,000
-9.2%
6,1440.0%0.14%
-27.1%
MCD  McDonalds Corp$223,000
+5.7%
1,8300.0%0.14%
-14.9%
CSCO  Cisco Sys Inc$224,000
-4.7%
7,4060.0%0.14%
-23.9%
MCO  Moodys Corp$206,000
-13.1%
2,1890.0%0.13%
-30.4%
F  Ford Mtr Co Del$143,000
+0.7%
11,7510.0%0.09%
-19.3%
Other managers

Other managers that, in addition to the filing manager(s), that filed the EDGAR filing(s):

Original filings

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

  • View 13F-HR filed 2017-02-13
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
SPDR S&P 500 ETF Tr42Q3 202323.5%
iShares Tr42Q3 202323.3%
iShares Tr42Q3 202315.3%
iShares Tr42Q3 20239.8%
iShares Inc42Q3 20233.8%
iShares Tr42Q3 20232.5%
Microsoft Corp42Q3 20231.8%
iShares Inc42Q3 20231.6%
iShares Tr42Q3 20230.8%
iShares Tr42Q3 20231.9%

View Palisades Hudson Asset Management, L.P.'s complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-07
13F-HR2024-02-12
13F-HR2023-11-02
13F-HR2023-08-15
13F-HR2023-04-26
13F-HR2023-02-08
13F-HR2022-10-28
13F-HR2022-08-10
13F-HR2022-04-27
13F-HR2022-02-03

View Palisades Hudson Asset Management, L.P.'s complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported number of holdings is incorrect (106 != 105)

Export Palisades Hudson Asset Management, L.P.'s holdings