Ascension Asset Management LLC - Q2 2019 holdings

$113 Million is the total value of Ascension Asset Management LLC's 73 reported holdings in Q2 2019. The portfolio turnover from Q1 2019 to Q2 2019 was 0.0% .

 Value Shares↓ Weighting
JNJ  JOHNSON & JOHNSON$5,408,000
-0.4%
38,8270.0%4.77%
-2.1%
TMO  THERMO FISHER SCIENTIFIC INC$3,550,000
+7.3%
12,0880.0%3.13%
+5.5%
BA  BOEING CO$3,373,000
-4.6%
9,2650.0%2.97%
-6.2%
LMT  LOCKHEED MARTIN CORP$2,865,000
+21.1%
7,8800.0%2.52%
+19.0%
RTN  RAYTHEON CO$2,779,000
-4.5%
15,9800.0%2.45%
-6.2%
HRS  HARRIS CORP DEL$2,419,000
+18.4%
12,7900.0%2.13%
+16.4%
RMD  RESMED INC$2,070,000
+17.4%
16,9600.0%1.82%
+15.4%
UTX  UNITED TECHNOLOGIES CORP$2,016,000
+1.0%
15,4850.0%1.78%
-0.7%
AMZN  AMAZON COM INC$1,986,000
+6.3%
1,0490.0%1.75%
+4.5%
ITW  ILLINOIS TOOL WKS INC$1,860,000
+5.1%
12,3350.0%1.64%
+3.3%
UNP  UNION PACIFIC CORP$1,828,000
+1.2%
10,8100.0%1.61%
-0.6%
AMAT  APPLIED MATLS INC$1,789,000
+13.3%
39,8250.0%1.58%
+11.4%
PH  PARKER HANNIFIN CORP$1,752,000
-1.0%
10,3050.0%1.54%
-2.6%
LIN  LINDE PLC$1,649,000
+14.1%
8,2130.0%1.45%
+12.1%
PEP  PEPSICO INC$1,631,000
+7.0%
12,4390.0%1.44%
+5.1%
COST  COSTCO WHSL CORP NEW$1,575,000
+9.1%
5,9600.0%1.39%
+7.3%
V  VISA INC$1,506,000
+11.1%
8,6750.0%1.33%
+9.2%
CTSH  COGNIZANT TECHNOLOGY SOLUTIOcl a$1,413,000
-12.5%
22,2850.0%1.24%
-14.0%
AMGN  AMGEN INC$1,405,000
-3.0%
7,6250.0%1.24%
-4.7%
HD  HOME DEPOT INC$1,397,000
+8.4%
6,7150.0%1.23%
+6.5%
BRKB  BERKSHIRE HATHAWAY INC DELcl b new$1,380,000
+6.1%
6,4750.0%1.22%
+4.2%
PKI  PERKINELMER INC$1,344,0000.0%13,9500.0%1.18%
-1.7%
MMM  3M CO$1,316,000
-16.6%
7,5900.0%1.16%
-18.0%
XOM  EXXON MOBIL CORP$1,262,000
-5.2%
16,4730.0%1.11%
-6.9%
GPC  GENUINE PARTS CO$1,261,000
-7.6%
12,1750.0%1.11%
-9.2%
BDX  BECTON DICKINSON & CO$1,242,000
+0.9%
4,9300.0%1.10%
-0.8%
GOOG  ALPHABET INCcap stk cl c$1,151,000
-7.9%
1,0650.0%1.01%
-9.5%
KO  COCA COLA CO$1,113,000
+8.7%
21,8500.0%0.98%
+6.9%
UPS  UNITED PARCEL SERVICE INCcl b$1,098,000
-7.6%
10,6300.0%0.97%
-9.1%
EMR  EMERSON ELEC CO$1,088,000
-2.5%
16,3000.0%0.96%
-4.2%
CMI  CUMMINS INC$1,067,000
+8.5%
6,2270.0%0.94%
+6.6%
NVDA  NVIDIA CORP$967,000
-8.6%
5,8900.0%0.85%
-10.2%
WAB  WABTEC CORP$965,000
-2.7%
13,4510.0%0.85%
-4.5%
MRK  MERCK & CO INC$856,000
+0.8%
10,2100.0%0.75%
-0.9%
EW  EDWARDS LIFESCIENCES CORP$813,000
-3.4%
4,4000.0%0.72%
-5.2%
BAX  BAXTER INTL INC$807,000
+0.7%
9,8500.0%0.71%
-1.0%
GLW  CORNING INC$758,000
+0.4%
22,8170.0%0.67%
-1.3%
JPM  JPMORGAN CHASE & CO$587,000
+10.3%
5,2540.0%0.52%
+8.4%
IBM  INTERNATIONAL BUSINESS MACHS$496,000
-2.4%
3,6000.0%0.44%
-4.2%
MCD  MCDONALDS CORP$493,000
+9.3%
2,3750.0%0.43%
+7.4%
GIS  GENERAL MLS INC$435,000
+1.6%
8,2750.0%0.38%
-0.3%
CI  CIGNA CORP NEW$372,000
-1.8%
2,3580.0%0.33%
-3.5%
SO  SOUTHERN CO$302,000
+7.1%
5,4580.0%0.27%
+5.1%
WEC  WEC ENERGY GROUP INC$292,000
+5.4%
3,5000.0%0.26%
+3.6%
KEY  KEYCORP NEW$282,000
+12.8%
15,9040.0%0.25%
+11.2%
CVX  CHEVRON CORP NEW$205,000
+1.0%
1,6500.0%0.18%
-0.5%
GSVC  GSV CAP CORP$64,000
-15.8%
10,0000.0%0.06%
-17.6%
Original filings

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

  • View 13F-HR filed 2019-07-23
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
MICROSOFT CORP20Q2 20235.4%
APPLE INC20Q2 20235.4%
AMAZON COM INC20Q2 20232.5%
JOHNSON & JOHNSON19Q2 20235.2%
THERMO FISHER SCIENTIFIC INC19Q2 20234.0%
VANGUARD WORLD FDS19Q2 20232.9%
NORFOLK SOUTHN CORP19Q2 20232.9%
LOCKHEED MARTIN CORP19Q2 20232.9%
APPLIED MATLS INC19Q2 20233.2%
TEXAS INSTRS INC19Q2 20232.4%

View Ascension Asset Management LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-10
13F-HR2023-08-10
13F-HR2023-02-10
13F-HR2022-11-09
13F-HR2022-08-05
13F-HR2022-02-15
13F-HR2021-11-18
13F-HR2021-07-29
13F-HR2021-05-04
13F-HR2021-02-16

View Ascension Asset Management LLC's complete filings history.

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