Brookmont Capital Management holdings history

113 is the total number of securities Brookmont Capital Management has owned. The longest Brookmont Capital Management has owned a single stock is 42 quarters.

Brookmont Capital Management historical holdings. Includes current and past holdings.
Period Weighting Quarter
TickerNameLongestShortestMin.Avg.Max.FirstLatest↓ Count
HD HOME DEPOT INC42423.86%19.33%36.01%Q2 2013Q3 202342
JPM JPMORGAN CHASE & CO42422.16%3.21%4.82%Q2 2013Q3 202342
MCD MCDONALDS CORP42422.40%3.09%4.16%Q2 2013Q3 202342
CVX CHEVRON CORP NEW42421.56%2.93%4.22%Q2 2013Q3 202342
UPS UNITED PARCEL SERVICE INC42422.14%2.86%3.70%Q2 2013Q3 202342
ABT ABBOTT LABS42422.22%2.73%3.57%Q2 2013Q3 202342
MCHP MICROCHIP TECHNOLOGY INC.42421.62%2.73%4.60%Q2 2013Q3 202342
WFC WELLS FARGO CO NEW42421.18%2.63%3.76%Q2 2013Q3 202342
JNJ JOHNSON & JOHNSON42421.33%2.51%3.99%Q2 2013Q3 202342
AJG GALLAGHER ARTHUR J & CO42421.94%2.43%3.15%Q2 2013Q3 202342
PEP PEPSICO INC42421.44%2.30%3.69%Q2 2013Q3 202342
PG PROCTER & GAMBLE CO42421.37%2.26%2.83%Q2 2013Q3 202342
DEO DIAGEO PLC42421.00%1.97%3.54%Q2 2013Q3 202342
PNC PNC FINL SVCS GROUP INC42420.90%1.68%2.66%Q2 2013Q3 202342
USB US BANCORP DEL42420.61%1.64%2.56%Q2 2013Q3 202342
IVV ISHARES TR42420.16%0.55%0.93%Q2 2013Q3 202342
EFA ISHARES TR42420.14%0.38%0.63%Q2 2013Q3 202342
IJH ISHARES TR42420.12%0.36%0.62%Q2 2013Q3 202342
IJR ISHARES TR42420.11%0.34%0.59%Q2 2013Q3 202342
AGG ISHARES TR3380.10%0.27%0.46%Q2 2013Q3 202341
XOM EXXON MOBIL CORP29120.12%0.23%0.41%Q2 2013Q3 202341
COP CONOCOPHILLIPS37370.98%2.00%2.55%Q3 2014Q3 202337
NVO NOVO-NORDISK A S36360.25%2.11%3.58%Q4 2014Q3 202336
ADI ANALOG DEVICES INC36360.31%2.05%3.03%Q4 2014Q3 202336
HON HONEYWELL INTL INC36360.30%1.67%2.60%Q4 2014Q3 202336
ACN ACCENTURE PLC IRELAND36360.31%1.64%2.72%Q4 2014Q3 202336
AMGN AMGEN INC36360.15%1.53%2.42%Q4 2014Q3 202336
RDSB ROYAL DUTCH SHELL PLC35351.26%2.83%3.93%Q2 2013Q4 202135
IWF ISHARES TR35350.12%0.43%0.69%Q1 2015Q3 202335
SON SONOCO PRODS CO34340.69%1.38%2.60%Q2 2013Q3 202134
SYK STRYKER CORPORATION3040.14%0.35%0.65%Q4 2014Q3 202334
SBUX STARBUCKS CORP3030.12%0.43%0.88%Q4 2014Q2 202333
NVS NOVARTIS AG32321.39%2.87%4.04%Q2 2013Q1 202132
PAYX PAYCHEX INC31310.97%2.71%3.75%Q2 2013Q4 202031
SO SOUTHERN CO31310.52%1.12%2.40%Q2 2013Q4 202031
UN UNILEVER N V30301.70%2.75%3.76%Q2 2013Q3 202030
VIG VANGUARD SPECIALIZED P...2640.07%0.35%0.61%Q1 2015Q3 202330
MSFT MICROSOFT CORP27270.19%2.57%3.36%Q1 2017Q3 202327
GILD GILEAD SCIENCES INC27270.95%1.56%2.46%Q1 2017Q3 202327
CBS CBS CORP NEW26261.06%2.06%2.73%Q2 2013Q3 201926
MDY SPDR S&P MIDCAP 400 ET...2010.06%0.10%0.20%Q3 2013Q2 202326
SRE SEMPRA ENERGY2230.14%0.32%0.88%Q4 2014Q3 202325
TSN TYSON FOODS INC23230.08%0.55%0.95%Q2 2017Q4 202223
UNP UNION PACIFIC CORP2210.16%0.28%0.62%Q4 2014Q3 202023
BIV VANGUARD BD INDEX FDS1010.08%0.14%0.18%Q2 2016Q3 202322
LYB LYONDELLBASELL INDUSTR...21210.85%1.43%2.72%Q4 2014Q4 201921
DIS DISNEY WALT CO2010.08%0.48%0.95%Q2 2017Q1 202321
CVS CVS HEALTH CORP21210.17%0.38%0.80%Q4 2014Q4 201921
BSV VANGUARD BD INDEX FDS1010.05%0.11%0.19%Q2 2013Q3 202321
RTN RAYTHEON CO20200.32%1.47%2.70%Q2 2015Q1 202020
GE GENERAL ELECTRIC CO18181.12%3.30%3.80%Q2 2013Q3 201718
DD DUPONT DE NEMOURS INC18180.46%1.76%2.43%Q2 2019Q3 202318
LHX L3HARRIS TECHNOLOGIES INC17171.61%2.22%2.79%Q3 2019Q3 202317
VZ VERIZON COMMUNICATIONS...17170.82%1.35%2.48%Q2 2013Q2 201717
SPY SPDR S&P 500 ETF TR810.11%0.15%0.16%Q3 2017Q3 202217
VWO VANGUARD INTL EQUITY I...930.12%0.14%0.18%Q1 2018Q3 202317
SLB SCHLUMBERGER LTD16160.25%2.37%3.71%Q4 2014Q3 201816
LOW LOWES COS INC1210.08%0.23%0.36%Q2 2017Q1 202216
UNH UNITEDHEALTH GROUP INC1220.09%0.22%0.32%Q2 2017Q1 202216
PKG PACKAGING CORP AMER1410.65%2.19%3.75%Q2 2013Q1 201715
CMCSA COMCAST CORP NEW15150.80%2.09%2.94%Q1 2020Q3 202315
AAPL APPLE INC1140.11%0.17%0.25%Q3 2017Q1 202215
BAC BK OF AMERICA CORP14140.70%1.60%2.05%Q2 2020Q3 202314
RTX RTX CORPORATION14140.73%0.96%1.33%Q2 2020Q3 202314
KHC KRAFT HEINZ CO13131.13%1.67%3.01%Q4 2016Q4 201913
VIAC VIACOMCBS INC13130.55%1.04%1.71%Q4 2019Q4 202213
ATVI ACTIVISION BLIZZARD INC1110.12%0.22%0.32%Q3 2017Q3 202313
VNQ VANGUARD INDEX FDS910.08%0.17%0.22%Q2 2016Q3 202313
CCI CROWN CASTLE INTL CORP...12120.82%1.36%1.62%Q4 2020Q3 202312
SCI SERVICE CORP INTL1110.11%0.23%0.33%Q3 2017Q4 202112
VYM VANGUARD WHITEHALL FDS...840.09%0.20%0.26%Q4 2016Q4 201912
CTAS CINTAS CORP1020.11%0.18%0.27%Q3 2017Q1 202212
ITC ITC HLDGS CORP11111.16%2.20%2.68%Q2 2013Q4 201511
IYR ISHARES TR920.21%1.98%2.49%Q2 2013Q4 201911
WOR WORTHINGTON INDS INC11110.91%1.94%2.68%Q2 2013Q4 201511
EVRG EVERGY INC11110.62%0.74%0.86%Q1 2021Q3 202311
COST COSTCO WHSL CORP NEW11110.11%0.21%0.31%Q3 2017Q1 202011
TUP TUPPERWARE BRANDS CORP10101.21%2.09%2.57%Q2 2013Q3 201510
HUBB HUBBELL INC10100.88%2.06%2.58%Q2 2013Q3 201510
HRS HARRIS CORP DEL10100.21%1.69%2.65%Q4 2016Q1 201910
EL LAUDER ESTEE COS INC10100.16%0.29%0.38%Q4 2017Q1 202010
CAH CARDINAL HEALTH INC10100.09%0.28%0.51%Q4 2014Q1 201710
EMN EASTMAN CHEM CO990.85%1.20%1.58%Q3 2021Q3 20239
VTI VANGUARD INDEX FDS990.29%0.46%1.29%Q1 2020Q1 20229
STZ CONSTELLATION BRANDS INC990.16%0.18%0.24%Q4 2017Q4 20199
FRC FIRST REP BK SAN FRANC...810.12%0.16%0.20%Q3 2017Q4 20199
EBF ENNIS INC880.16%1.78%2.59%Q2 2013Q1 20158
NFG NATIONAL FUEL GAS CO N J880.83%1.49%2.64%Q2 2013Q1 20158
ROP ROPER TECHNOLOGIES INC880.19%0.28%0.37%Q2 2018Q1 20208
PH PARKER HANNIFIN CORP620.07%0.09%0.12%Q3 2014Q3 20168
DWDP DOWDUPONT INC770.68%1.44%1.78%Q3 2017Q1 20197
AVGO BROADCOM INC610.11%0.21%0.28%Q3 2018Q4 20217
NVDA NVIDIA CORPORATION430.15%0.19%0.24%Q2 2021Q3 20237
K KELLOGG CO661.25%3.21%3.76%Q2 2013Q3 20146
SHELL PLC662.19%2.46%2.81%Q2 2022Q3 20236
GSK GLAXOSMITHKLINE PLC662.15%2.34%2.44%Q2 2013Q3 20146
T AT&T INC661.24%1.76%2.88%Q2 2013Q3 20146
QCOM QUALCOMM INC660.28%0.50%0.65%Q4 2014Q1 20166
BAX BAXTER INTL INC660.17%0.19%0.20%Q3 2018Q4 20196
BLMN BLOOMIN BRANDS INC660.10%0.16%0.19%Q3 2017Q4 20186
WDC WESTERN DIGITAL CORP550.26%1.95%3.75%Q2 2015Q2 20165
HUBB HUBBELL INC410.61%0.87%0.98%Q4 2015Q1 20175
CFG CITIZENS FINL GROUP INC550.14%0.15%0.18%Q2 2018Q2 20195
DOW DOW INC440.42%0.45%0.47%Q2 2019Q1 20204
SU SUNCOR ENERGY INC NEW332.02%2.11%2.29%Q4 2014Q2 20153
TD TORONTO DOMINION BK ONT331.19%1.20%1.21%Q4 2014Q2 20153
UL UNILEVER PLC330.78%0.84%0.93%Q4 2020Q2 20213
FFWM FIRST FNDTN INC330.11%0.12%0.12%Q3 2021Q1 20223
IWD ISHARES TR220.07%0.24%0.41%Q4 2014Q1 20152
AOS SMITH A O220.10%0.13%0.16%Q4 2017Q1 20182
NKE NIKE INC220.12%0.12%0.13%Q3 2019Q4 20192
BWXT BWX TECHNOLOGIES INC110.14%0.14%0.14%Q3 2023Q3 20231
AVGO BROADCOM LTD110.11%0.11%0.11%Q3 2017Q3 20171

The securities at the top of the list , including HOME DEPOT INC, JPMORGAN CHASE & CO, and MCDONALDS CORP, are the highest-conviction holdings of Brookmont Capital Management.

The conviction is calculated by counting the number of quarters a security has been reported by Brookmont Capital Management. The higher the number, the higher the conviction and longer the holding period.

This page lists all the securities that Brookmont Capital Management owns currently or has owned in the past.