Princeton Portfolio Strategies Group LLC - Q2 2019 holdings

$394 Million is the total value of Princeton Portfolio Strategies Group LLC's 146 reported holdings in Q2 2019. The portfolio turnover from Q1 2019 to Q2 2019 was 10.6% .

 Value Shares↓ Weighting
UNP SellUNION PAC CORP$13,011,000
+0.8%
76,936
-0.3%
3.30%
-4.2%
MSFT SellMICROSOFT CORP$12,739,000
+13.3%
95,093
-0.2%
3.23%
+7.7%
AAPL SellAPPLE INC$12,087,000
+4.0%
61,071
-0.2%
3.07%
-1.2%
DG SellDOLLAR GENERAL CORP NEW$11,596,000
+12.0%
85,797
-1.1%
2.94%
+6.4%
DHR SellDANAHER CORP DEL$11,551,000
+7.9%
80,821
-0.4%
2.93%
+2.4%
JNJ SellJOHNSON & JOHNSON$10,715,000
-1.5%
76,933
-1.1%
2.72%
-6.4%
TMO SellTHERMO FISHER SCIENTIFIC INC$10,430,000
+6.8%
35,516
-0.4%
2.65%
+1.5%
AMT SellAMERICAN TOWER CORP NEW$9,542,000
+2.5%
46,670
-1.2%
2.42%
-2.7%
ECL SellECOLAB INC$8,630,000
+10.4%
43,707
-1.3%
2.19%
+4.9%
V SellVISA INC$7,617,000
+10.6%
43,891
-0.5%
1.93%
+5.1%
MRK SellMERCK & CO INC$7,518,000
-0.6%
89,660
-1.4%
1.91%
-5.5%
ZTS SellZOETIS INCcl a$7,500,000
+10.5%
66,082
-2.0%
1.90%
+5.0%
FTDR SellFRONT DOOR INC$6,466,000
+18.9%
148,474
-6.0%
1.64%
+12.9%
PEP SellPEPSICO INC$5,366,000
+4.9%
40,920
-1.9%
1.36%
-0.3%
TXN SellTEXAS INSTRS INC$4,683,000
+4.5%
40,810
-3.4%
1.19%
-0.7%
KO SellCOCA COLA CO$4,563,000
+8.4%
89,615
-0.2%
1.16%
+3.0%
SPGI SellS&P GLOBAL INC$4,408,000
+6.6%
19,349
-1.5%
1.12%
+1.3%
AXP SellAMERICAN EXPRESS CO$3,812,000
+11.7%
30,880
-1.1%
0.97%
+6.1%
MINT SellPIMCO ETF TRenhan shrt ma ac$3,697,000
-27.5%
36,331
-27.6%
0.94%
-31.1%
VZ SellVERIZON COMMUNICATIONS INC$3,599,000
-4.2%
62,996
-0.8%
0.91%
-9.0%
CVX SellCHEVRON CORP NEW$3,596,000
+0.8%
28,897
-0.2%
0.91%
-4.3%
XOM SellEXXON MOBIL CORP$3,484,000
-14.8%
45,467
-10.2%
0.88%
-19.0%
HON SellHONEYWELL INTL INC$2,741,000
+9.0%
15,700
-0.8%
0.70%
+3.4%
PFE SellPFIZER INC$2,529,000
+1.9%
58,375
-0.2%
0.64%
-3.2%
ET SellENERGY TRANSFER EQUITY L P$2,506,000
-22.1%
178,011
-15.0%
0.64%
-26.0%
COG SellCABOT OIL & GAS CORP$2,466,000
-22.4%
107,385
-11.8%
0.63%
-26.2%
NSC SellNORFOLK SOUTHERN CORP$2,260,000
+5.8%
11,337
-0.9%
0.57%
+0.4%
IBM SellINTERNATIONAL BUSINESS MACHS$2,231,000
-8.8%
16,180
-6.6%
0.57%
-13.3%
QCOM SellQUALCOMM INC$2,221,000
+19.8%
29,192
-10.2%
0.56%
+13.7%
PNC SellPNC FINL SVCS GROUP INC$2,212,000
+10.0%
16,112
-1.7%
0.56%
+4.5%
EPD SellENTERPRISE PRODS PARTNERS L$2,105,000
-3.1%
72,923
-2.3%
0.53%
-7.9%
DISCA SellDISCOVERY INC$2,089,000
+10.5%
68,040
-2.8%
0.53%
+5.0%
PG SellPROCTER AND GAMBLE CO$2,065,000
+3.1%
18,831
-2.2%
0.52%
-2.1%
INTC SellINTEL CORP$1,663,000
-11.2%
34,742
-0.4%
0.42%
-15.6%
IEMG SellISHARES INCcore msci emkt$1,589,000
-3.3%
30,892
-2.8%
0.40%
-8.2%
BAC SellBANK AMER CORP$1,465,000
+4.9%
50,530
-0.2%
0.37%
-0.3%
EMR SellEMERSON ELEC CO$1,446,000
-5.0%
21,667
-2.5%
0.37%
-9.6%
ALGN SellALIGN TECHNOLOGY INC$1,418,000
-7.3%
5,182
-3.7%
0.36%
-12.0%
BA SellBOEING CO$1,398,000
-7.7%
3,840
-3.3%
0.36%
-12.1%
IEF SellISHARES TRbarclays 7 10 yr$1,378,000
-34.9%
12,521
-36.9%
0.35%
-38.1%
USB SellUS BANCORP DEL$1,381,000
+7.1%
26,350
-1.6%
0.35%
+1.7%
HD SellHOME DEPOT INC$1,367,000
+6.7%
6,575
-1.5%
0.35%
+1.5%
RSG SellREPUBLIC SVCS INC$1,227,000
+5.6%
14,159
-2.1%
0.31%
+0.3%
SBUX SellSTARBUCKS CORP$1,085,000
+11.4%
12,947
-1.1%
0.28%
+5.8%
SLB SellSCHLUMBERGER LTD$1,078,000
-41.7%
27,118
-36.1%
0.27%
-44.6%
ABBV SellABBVIE INC$1,064,000
-10.2%
14,631
-0.5%
0.27%
-14.6%
ORCL SellORACLE CORP$982,000
+2.2%
17,240
-3.6%
0.25%
-3.1%
SYK SellSTRYKER CORP$908,000
+1.7%
4,419
-2.2%
0.23%
-3.4%
GPN SellGLOBAL PMTS INC$864,000
+12.9%
5,395
-3.7%
0.22%
+7.4%
C SellCITIGROUP INC$835,000
+12.4%
11,930
-0.2%
0.21%
+7.1%
SJNK SellSPDR SER TRbloomberg srt tr$810,000
-2.6%
29,750
-2.5%
0.20%
-7.7%
GOOG SellALPHABET INC CLASS Ccap stk cl c$794,000
-11.4%
735
-3.8%
0.20%
-15.9%
HSY SellHERSHEY CO$789,000
+14.0%
5,884
-2.4%
0.20%
+8.1%
EMN SellEASTMAN CHEM CO$704,000
+0.7%
9,041
-1.9%
0.18%
-4.3%
CHD SellCHURCH & DWIGHT INC$704,000
-1.0%
9,635
-3.5%
0.18%
-5.8%
GSK SellGLAXOSMITHKLINE PLCsponsored adr$618,000
-4.5%
15,443
-0.3%
0.16%
-9.2%
LOW SellLOWES COS INC$582,000
-8.6%
5,765
-0.9%
0.15%
-12.9%
WFC SellWELLS FARGO CO NEW$579,000
-72.6%
12,230
-72.0%
0.15%
-73.9%
LLY SellLILLY ELI & CO$573,000
-57.2%
5,170
-49.9%
0.14%
-59.5%
EMB SellISHARES TRjpmorgan usd emg$561,000
+1.8%
4,949
-1.1%
0.14%
-3.4%
JCI SellJOHNSON CTLS INTL PLC$444,000
+2.3%
10,754
-8.5%
0.11%
-2.6%
PM SellPHILIP MORRIS INTL INC$392,000
-12.1%
4,997
-0.9%
0.10%
-16.8%
LDUR SellPIMCO ETF TRenhncd lw dur ac$363,000
-1.1%
3,625
-1.4%
0.09%
-6.1%
WSM SellWILLIAMS SONOMA INC$353,000
-10.9%
5,435
-22.7%
0.09%
-15.1%
SPSB SellSPDR SERIES TRUSTportfolio short$345,000
-7.5%
11,200
-8.2%
0.09%
-12.0%
DHI SellD R HORTON INC$289,000
-12.7%
6,700
-16.2%
0.07%
-17.0%
AMGN SellAMGEN INC$287,000
-3.7%
1,555
-0.8%
0.07%
-8.8%
UPS SellUNITED PARCEL SERVICE INCcl b$267,000
-16.0%
2,585
-9.3%
0.07%
-20.0%
COST SellCOSTCO WHSL CORP NEW$259,000
-5.5%
980
-13.3%
0.07%
-9.6%
WBA SellWALGREENS BOOTS ALLIANCE INC$256,000
-48.0%
4,680
-39.8%
0.06%
-50.4%
AME SellAMETEK INC NEW$239,000
+7.2%
2,627
-2.2%
0.06%
+1.7%
GIS SellGENERAL MLS INC$226,000
-1.7%
4,300
-3.4%
0.06%
-6.6%
IJR SellISHARES TRcore s&p scp etf$213,000
-28.3%
2,722
-29.3%
0.05%
-31.6%
AGN SellALLERGAN PLC$204,000
-71.8%
1,220
-75.3%
0.05%
-73.1%
NVT SellNVENT ELECTRIC PLC$179,000
-16.4%
7,220
-8.8%
0.04%
-21.1%
CAMP SellCALAMP CORP$111,000
-26.5%
9,485
-20.9%
0.03%
-30.0%
NUE ExitNUCOR CORP$0-3,500
-100.0%
-0.05%
COP ExitCONOCOPHILLIPS$0-3,185
-100.0%
-0.06%
PEG ExitPUBLIC SVS ENTERPRISE GROUP$0-3,891
-100.0%
-0.06%
HAL ExitHALLIBURTON CO$0-9,295
-100.0%
-0.07%
FDX ExitFEDEX CORP$0-3,470
-100.0%
-0.17%
EFA ExitISHARES TRmsci eafe etf$0-14,432
-100.0%
-0.25%
SYMC ExitSYMANTEC CORP$0-50,805
-100.0%
-0.31%
BNDX ExitVANGUARD CHARLOTTE FDSintl bd idx etf$0-25,446
-100.0%
-0.38%
DWDP ExitDOWDUPONT INC$0-31,551
-100.0%
-0.45%
Original filings

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

  • View 13F-HR filed 2019-08-09
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
JOHNSON & JOHNSON33Q2 20214.3%
APPLE INC33Q2 20215.0%
UNION PACIFIC CORP33Q2 20214.0%
MICROSOFT CORP33Q2 20214.5%
DOLLAR GENERAL CORP NEW33Q2 20213.5%
DANAHER CORP DEL33Q2 20213.8%
AMERICAN TOWER CORP NEW33Q2 20212.8%
ECOLAB INC33Q2 20212.3%
Merck & Co Inc New33Q2 20212.2%
EXXON MOBIL CORPORATION33Q2 20213.6%

View Princeton Portfolio Strategies Group LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2021-08-02
13F-HR2021-05-12
13F-HR2021-02-10
13F-HR2020-11-12
13F-HR2020-08-06
13F-HR2020-05-12
13F-HR2020-02-12
13F-HR2019-11-12
13F-HR2019-08-09
13F-HR2019-05-10

View Princeton Portfolio Strategies Group LLC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (394187000.0 != 394182000.0)

Export Princeton Portfolio Strategies Group LLC's holdings