SECURITY ASSET MANAGEMENT - Q3 2017 holdings

$127 Million is the total value of SECURITY ASSET MANAGEMENT's 77 reported holdings in Q3 2017. The portfolio turnover from Q2 2017 to Q3 2017 was 0.0% .

 Value Shares↓ Weighting
JPM  JP Morgan Chase$8,042,000
+4.5%
84,2000.0%6.34%
+0.4%
AMT  American Tower Corp$4,811,000
+3.3%
35,2000.0%3.79%
-0.7%
CME  CME Group$3,641,000
+8.3%
26,8340.0%2.87%
+4.1%
BLK  Blackrock Inc.$3,430,000
+5.9%
7,6710.0%2.70%
+1.8%
JNJ  Johnson & Johnson Com$3,087,000
-1.7%
23,7450.0%2.43%
-5.5%
GOOG  Alphabet Cl Ccap stk cl c$2,898,000
+5.5%
3,0220.0%2.28%
+1.5%
WFC  Wells Fargo & Co New$2,537,000
-0.5%
46,0020.0%2.00%
-4.3%
AME  Ametek Inc$2,400,000
+9.0%
36,3350.0%1.89%
+4.8%
ILMN  Illumina Inc$2,378,000
+14.8%
11,9390.0%1.88%
+10.4%
ALGN  Align Technology, Inc.$2,372,000
+24.1%
12,7350.0%1.87%
+19.3%
CXO  Concho Resources Inc$1,975,000
+8.4%
14,9920.0%1.56%
+4.2%
RDSA  Royal Dutch Shell Class Aspons adr a$1,782,000
+13.9%
29,4180.0%1.40%
+9.5%
PM  Philip Morris International$1,707,000
-5.5%
15,3730.0%1.35%
-9.1%
PG  Procter & Gamble Co$1,474,000
+4.4%
16,1980.0%1.16%
+0.3%
ABBV  Abbvie Inc$1,460,000
+22.6%
16,4300.0%1.15%
+17.8%
MMM  3m Co$1,407,000
+0.9%
6,7010.0%1.11%
-3.1%
HD  Home Depot Inc$1,315,000
+6.7%
8,0370.0%1.04%
+2.6%
ABT  Abbott Labs$1,181,000
+9.8%
22,1330.0%0.93%
+5.6%
BRKB  Berkshire Hathaway Class B Newcl b new$946,000
+8.2%
5,1590.0%0.75%
+4.0%
T  At&t Corp Com New$545,000
+3.8%
13,9050.0%0.43%
-0.2%
UL  Unilever Plcspon adr new$511,000
+7.1%
8,8140.0%0.40%
+3.1%
BMY  Bristol Myers Squibb Co$462,000
+14.4%
7,2450.0%0.36%
+10.0%
LGND  Ligand Pharmaceuticals$408,000
+12.1%
3,0000.0%0.32%
+7.7%
TROW  Price T Rowe Group Inc.$395,000
+22.3%
4,3560.0%0.31%
+17.4%
NKE  Nike Inccl b$379,000
-12.1%
7,3030.0%0.30%
-15.3%
MDT  Medtronic Inc$375,000
-12.4%
4,8220.0%0.30%
-15.7%
GPC  Genuine Parts Co$369,000
+3.4%
3,8540.0%0.29%
-0.7%
UTX  United Technologies Corp$360,000
-5.0%
3,1000.0%0.28%
-8.7%
CMCSA  Comcast Corp New Cl Acl a$347,000
-1.1%
9,0060.0%0.27%
-4.9%
PNC  Pnc Financial Services Group I$340,000
+7.9%
2,5250.0%0.27%
+3.9%
PEP  Pepsico Inc$316,000
-3.7%
2,8370.0%0.25%
-7.4%
EMR  Emerson Electric Co$307,000
+5.1%
4,8920.0%0.24%
+1.3%
DIS  Disney Walt Co Holding Co$301,000
-7.4%
3,0570.0%0.24%
-11.2%
BX  Blackstone Group LP$279,0000.0%8,3710.0%0.22%
-3.9%
GIS  General Mills$278,000
-6.4%
5,3630.0%0.22%
-10.2%
BRKA  Berkshire Hathaway Class Acl a$275,000
+7.8%
10.0%0.22%
+3.8%
IBM  Intl Business Mach$218,000
-5.6%
1,5000.0%0.17%
-9.0%
KO  Coca Cola Co$216,0000.0%4,8100.0%0.17%
-4.0%
CSCO  Cisco Systems Inc$202,000
+7.4%
5,9990.0%0.16%
+3.2%
NVS  Novartis Ag Spon Adrsponsored adr$190,000
+2.7%
2,2160.0%0.15%
-1.3%
CL  Colgate Palmolive$146,000
-1.4%
2,0000.0%0.12%
-5.0%
GS  Goldman Sachs Group Inc$137,000
+7.0%
5780.0%0.11%
+2.9%
MS  Morgan Stanley$64,000
+8.5%
1,3200.0%0.05%
+4.2%
Original filings

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

  • View 13F-HR filed 2017-11-06
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
JPMORGAN CHASE & CO34Q1 20236.7%
APPLE INC34Q1 202310.9%
MASTERCARD INCORPORATED34Q1 20235.0%
DANAHER CORPORATION34Q1 20235.0%
AMERICAN TOWER CORP NEW34Q1 20234.2%
ROPER TECHNOLOGIES INC34Q1 20233.8%
BLACKROCK INC34Q1 20233.3%
CME GROUP INC34Q1 20233.3%
ECOLAB INC34Q1 20233.0%
Johnson & Johnson Com34Q1 20233.2%

View SECURITY ASSET MANAGEMENT's complete holdings history.

Latest filings
TypeFiled
13F-HR2023-05-12
13F-HR2023-02-14
13F-HR2022-11-02
13F-HR2022-08-02
13F-HR2022-05-02
13F-HR2022-02-02
13F-HR2021-10-26
13F-HR2021-07-27
13F-HR2021-04-29
13F-HR2021-02-01

View SECURITY ASSET MANAGEMENT's complete filings history.

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