Fund · CIK 1455969
Reynders McVeigh Capital Management, LLC
Jun 30, 2026Filed Sep 15, 2026 · SEC filing ↗
Reported value$2.3B +14%
Positions196
Opened · sold out14 · 13
Last four quarters
Bars show reported value| Quarter | Reported value | Positions | Opened | Sold out |
|---|---|---|---|---|
| Q2 2026 | $2.3B | 196 | 14 | 13 |
| Q1 2026 | $2.0B | 195 | 13 | 14 |
| Q4 2025 | $2.1B | 196 | 6 | 11 |
| Q3 2025 | $2.1B | 201 | 8 | 2 |
Holdings
Share positions at Jun 30, 2026| Stock | % of fund | Value | Shares | Since Q1 2026 |
|---|---|---|---|---|
| NVDANvidia CorpCOM | 8.2% | $185M | 925,981 | Cut −3% |
| AAPLApple IncCOM | 6.0% | $135M | 466,656 | Held |
| ROKRockwell Automation IncCOM | 4.3% | $97.7M | 197,440 | Held |
| ADIAnalog Devices IncCOM | 4.2% | $95.7M | 240,828 | Cut −2% |
| APHAmphenol Corp-Cl ACL A | 3.9% | $89.2M | 505,694 | Cut −1% |
| GOOGLAlphabet Inc-Cl ACAP STK CL A | 3.8% | $86.5M | 241,937 | Added +1% |
| MSFTMicrosoft CorpCOM | 3.6% | $82.0M | 219,809 | Added +10% |
| AMATApplied Materials IncCOM | 3.4% | $76.6M | 105,987 | Added +8% |
| MAMastercard Inc - ACL A | 3.2% | $72.8M | 141,828 | Added +2% |
| CARRCarrier Global CorpCOM | 3.0% | $67.4M | 918,219 | Added +3% |
| ULSUl Solutions Inc - Class ACLASS A COM SHS | 2.7% | $61.9M | 608,136 | Added +4% |
| GOOGAlphabet Inc-Cl CCAP STK CL C | 2.5% | $56.3M | 159,384 | Added +1% |
| XYLXylem IncCOM | 2.1% | $47.8M | 404,420 | Added +16% |
| TJXTjx Companies IncCOM | 2.0% | $45.2M | 298,592 | Held |
| IBMIntl Business Machines CorpCOM | 1.9% | $42.4M | 150,929 | Added +5% |
| SYKStryker CorpCOM | 1.9% | $42.3M | 134,256 | Added +7% |
| AVGOBroadcom IncCOM | 1.9% | $42.2M | 111,710 | Added +10% |
| DHRDanaher CorpCOM | 1.8% | $40.5M | 212,366 | Added +1% |
| ARMArm Holdings Plc-AdrCOM | 1.8% | $40.4M | 114,025 | Held |
| AMZNAmazon.Com IncCOM | 1.8% | $39.8M | 166,954 | Added +1% |
| CCKCrown Holdings IncCOM | 1.8% | $39.7M | 355,461 | Added +3% |
| ABTAbbott LaboratoriesCOM | 1.7% | $37.7M | 415,235 | Cut −2% |
| NETCloudflare Inc - Class ACL A COM | 1.5% | $35.0M | 142,669 | Cut −2% |
| TMUST-Mobile US IncCOM | 1.5% | $34.3M | 204,751 | Held |
| HDHome Depot IncCOM | 1.5% | $34.3M | 97,211 | Added +6% |
| VLTOVeralto CorpCOM SHS | 1.3% | $30.4M | 342,376 | Added +4% |
| VRTXVertex Pharmaceuticals IncCOM | 1.2% | $27.1M | 54,499 | Held |
| SNSharkninja IncCOM SHS | 1.2% | $26.3M | 172,607 | Added +11% |
| ULUnilever Plc-Sponsored ADRSPON ADR NEW | 1.1% | $24.9M | 413,512 | Added +36% |
| WMWaste Management IncCOM | 1.1% | $24.5M | 109,866 | Added +2% |
| ATRAptargroup IncCOM | 1.0% | $23.4M | 186,679 | Cut −41% |
| ASMLAsml Holding Nv-Ny Reg ShsN Y REGISTRY SHS | 1.0% | $22.1M | 11,096 | Cut −3% |
| NYTNew York Times Co-ACL A | 1.0% | $22.0M | 315,063 | Held |
| VRTVertiv Holdings Co-ACOM CL A | 1.0% | $21.9M | 65,559 | Cut −5% |
| ABNBAirbnb Inc-Class ACOM CL A | 0.9% | $21.4M | 149,240 | Added +1% |
| TSLATesla IncCOM | 0.9% | $20.7M | 49,233 | Cut −3% |
| RKTRocket Cos Inc-Class ACOM | 0.9% | $20.1M | 1,274,670 | Added +12% |
| JNJJohnson & JohnsonCOM | 0.9% | $19.4M | 76,513 | Added +1% |
| AMDAdvanced Micro DevicesCOM | 0.9% | $19.3M | 33,203 | Cut −5% |
| NXTNextpower IncCLASS A COM | 0.8% | $18.8M | 157,897 | Added +15% |
| PGProcter & Gamble Co/TheCOM | 0.8% | $18.7M | 127,833 | Cut −2% |
| TILEInterface IncCOM | 0.8% | $17.6M | 489,736 | Added +11% |
| ADPAutomatic Data ProcessingCOM | 0.6% | $12.9M | 57,695 | Cut −18% |
| SOFISofi Technologies IncCOM | 0.6% | $12.5M | 699,538 | Added +3% |
| BRBroadridge Financial SolutioCOM | 0.5% | $12.0M | 87,447 | New |
| NVSNovartis Ag-Sponsored ADRSPONSORED ADR | 0.5% | $11.2M | 71,575 | Cut −2% |
| SXTSensient Technologies CorpCOM | 0.5% | $10.7M | 86,526 | New |
| CRMSalesforce IncCOM | 0.5% | $10.5M | 67,163 | Cut −4% |
| COSTCostco Wholesale CorpCOM | 0.4% | $10.0M | 10,721 | Added +2% |
| ABBVAbbvie IncCOM | 0.3% | $7.3M | 29,167 | Held |
| LLYEli Lilly & CoCOM | 0.3% | $7.1M | 5,915 | Cut −1% |
| UBERUber Technologies IncCOM | 0.3% | $6.8M | 94,291 | Cut −65% |
| ALCAlcon IncORD SHS | 0.3% | $6.2M | 91,765 | Cut −69% |
| BRK-BBerkshire Hathaway Inc-Cl BCL B NEW | 0.3% | $6.0M | 11,890 | Added +1% |
| VVisa Inc-Class A SharesCOM CL A | 0.3% | $5.7M | 16,677 | Added +2% |
| CNICanadian Natl Railway CoCOM | 0.2% | $5.4M | 45,658 | Cut −1% |
| GRALGrail IncCOM | 0.2% | $4.9M | 71,304 | Cut −40% |
| TMOThermo Fisher Scientific IncCOM | 0.2% | $4.6M | 9,082 | Held |
| SPYSs SPDR S&P 500 ETF Trust-UsTR UNIT | 0.2% | $3.9M | 5,157 | Cut −5% |
| DSGXDescartes Systems Grp/TheCOM | 0.2% | $3.7M | 54,027 | Cut −8% |
| UNPUnion Pacific CorpCOM | 0.2% | $3.6M | 13,190 | Added +2% |
| VUGVanguard Mrngstar Gr Etf-SuiGROWTH ETF | 0.2% | $3.5M | 40,913 | Added +10% |
| ORCLOracle CorpCOM | 0.1% | $3.3M | 22,362 | Cut −8% |
| AMGNAmgen IncCOM | 0.1% | $3.2M | 8,882 | Cut −3% |
| CATCaterpillar IncCOM | 0.1% | $3.1M | 2,930 | Cut −1% |
| BRK-ABerkshire Hathaway Inc-Cl ACL A | 0.1% | $3.0M | 4 | Held |
| MRKMerck & Co. Inc.COM | 0.1% | $2.9M | 22,379 | Held |
| MCDMcdonald'S CorpCOM | 0.1% | $2.4M | 8,875 | Cut −8% |
| VIGVanguard Dividend Apprec ETFDIV APP ETF | 0.1% | $2.1M | 8,966 | Cut −18% |
| TSMTaiwan Semiconductor-Sp ADRSPONSORED ADS | 0.1% | $1.9M | 3,884 | Cut −2% |
| PEPPepsico IncCOM | 0.1% | $1.8M | 13,622 | Cut −11% |
| NEENextera Energy IncCOM | 0.1% | $1.8M | 20,677 | Added +1% |
| CSCOCisco Systems IncCOM | 0.1% | $1.8M | 15,361 | Cut −10% |
| IJHIshares Core S&P Midcap ETFCORE S&P MCP ETF | 0.1% | $1.8M | 23,015 | Held |
| CRSPCrispr Therapeutics AGNAMEN AKT | 0.1% | $1.7M | 31,065 | Cut −75% |
| NXPINxp Semiconductors NVCOM | 0.1% | $1.7M | 5,925 | Cut −8% |
| INTCIntel CorpCOM | 0.1% | $1.5M | 10,455 | Cut −4% |
| JPMJpmorgan Chase & CoCOM | 0.1% | $1.4M | 4,263 | Cut −2% |
| WMTWalmart IncCOM | 0.1% | $1.4M | 12,084 | Held |
| EFXEquifax IncCOM | 0.1% | $1.4M | 8,613 | Held |
| CSXCsx CorpCOM | 0.1% | $1.4M | 28,634 | Held |
| IWPIshares Russell Mid-Cap GrowRUS MD CP GR ETF | 0.1% | $1.4M | 9,250 | Held |
| BDXBecton Dickinson and CoCOM | 0.1% | $1.3M | 8,891 | Cut −77% |
| DEDeere & CoCOM | 0.1% | $1.3M | 2,042 | Cut −1% |
| GLDSPDR Gold SharesGOLD SHS | 0.1% | $1.3M | 3,488 | Held |
| CHDChurch & Dwight Co IncCOM | 0.1% | $1.3M | 13,087 | Held |
| AXPAmerican Express CoCOM | 0.1% | $1.3M | 3,711 | Cut −2% |
| IVWIshares S&P 500 Growth ETFS&P 500 GRWT ETF | 0.1% | $1.2M | 8,895 | Held |
| RTXRtx CorpCOM | 0.1% | $1.2M | 6,347 | Cut −3% |
| MELIMercadolibre IncCOM | 0.1% | $1.2M | 708 | Held |
| VTIVg Morningstar Ts Mkt Etf-UsTOTAL STK MKT | 0.1% | $1.1M | 3,071 | Added +7% |
| SPGIS&P Global IncCOM | 0.0% | $1.1M | 2,769 | Held |
| EMREmerson Electric CoCOM | 0.0% | $1.1M | 7,826 | Held |
| Exxon Mobil CorpCOM | 0.0% | $1.1M | 8,099 | Cut −3% |
| ISRGIntuitive Surgical IncCOM NEW | 0.0% | $1.1M | 2,760 | Cut −1% |
| DISWalt Disney Co/TheCOM | 0.0% | $1.1M | 11,014 | Cut −2% |
| MTDMettler-Toledo InternationalCOM | 0.0% | $1.1M | 827 | Added +9% |
| BMYBristol-Myers Squibb CoCOM | 0.0% | $1.0M | 17,998 | Added +1% |
| TYLTyler Technologies IncCOM | 0.0% | $981K | 3,354 | Cut −16% |
| DELLDell Technologies -CCL C | 0.0% | $977K | 2,265 | Cut −1% |
| TTTrane Technologies PLCSHS | 0.0% | $969K | 1,973 | Held |
| BKNGBooking Holdings IncCOM | 0.0% | $963K | 5,402 | Held |
| ECLEcolab IncCOM | 0.0% | $913K | 3,277 | Added +5% |
| Honeywell International IncCOM | 0.0% | $897K | 4,005 | Cut −51% |
| HONAHoneywell Aerospace IncCOM | 0.0% | $885K | 4,005 | New |
| IDXXIdexx Laboratories IncCOM | 0.0% | $873K | 1,658 | Held |
| IWFIshares Russell 1000 GrowthRUS 1000 GRW ETF | 0.0% | $846K | 6,812 | Added +1% |
| MCOMoody'S CorpCOM | 0.0% | $845K | 1,866 | Held |
| ITWIllinois Tool WorksCOM | 0.0% | $747K | 2,764 | Cut −3% |
| NTAPNetapp IncCOM | 0.0% | $735K | 4,750 | Held |
| QQnity Electronics IncCOMMON STOCK | 0.0% | $729K | 4,467 | Added +7% |
| APDAir Products & Chemicals IncCOM | 0.0% | $727K | 2,478 | Added +3% |
| SBUXStarbucks CorpCOM | 0.0% | $726K | 7,105 | Cut −4% |
| CLColgate-Palmolive CoCOM | 0.0% | $706K | 7,703 | Cut −5% |
| LINLinde PLCSHS | 0.0% | $705K | 1,359 | Cut −2% |
| QQQInvesco Qqq Trust Series 1UNIT SER 1 | 0.0% | $702K | 953 | Added +20% |
| NSCNorfolk Southern CorpCOM | 0.0% | $700K | 2,224 | Held |
| KOCoca-Cola Co/TheCOM | 0.0% | $679K | 8,353 | Held |
| TXNTexas Instruments IncCOM | 0.0% | $639K | 2,145 | Added +1% |
| KMBKimberly-Clark CorpCOM | 0.0% | $622K | 5,670 | Cut −7% |
| DRIDarden Restaurants IncCOM | 0.0% | $618K | 3,000 | Held |
| TMPTompkins Financial CorpCOM | 0.0% | $611K | 6,468 | Cut −8% |
| CTVACorteva IncCOM | 0.0% | $609K | 7,190 | Added +26% |
| METAMeta Platforms Inc-Class ACL A | 0.0% | $608K | 1,080 | Cut −6% |
| VEEVVeeva Systems Inc-Class ACL A COM | 0.0% | $604K | 3,404 | Cut −7% |
| SUSLIshares Esg Msci USA LeadersESG MSCI LEADR | 0.0% | $578K | 4,356 | New |
| LRCXLam Research CorpCOM NEW | 0.0% | $574K | 1,324 | Cut −10% |
| EPDEnterprise Products PartnersCOM | 0.0% | $565K | 15,371 | Cut −5% |
| RVTYRevvity IncCOM | 0.0% | $560K | 5,030 | Held |
| GEVGe Vernova IncCOM | 0.0% | $555K | 472 | Added +2% |
| GEGeneral ElectricCOM NEW | 0.0% | $545K | 1,459 | Cut −2% |
| IVEIshares S&P 500 Value ETFS&P 500 VAL ETF | 0.0% | $507K | 2,233 | Held |
| LOWLowe'S Cos IncCOM | 0.0% | $504K | 2,284 | Held |
| ILMNIllumina IncCOM | 0.0% | $499K | 2,839 | Cut −5% |
| DUKDuke Energy CorpCOM NEW | 0.0% | $491K | 3,877 | Held |
| IVVIshares Core S&P 500 ETFCORE S&P500 ETF | 0.0% | $484K | 647 | Cut −11% |
| ENVXEnovix CorpCOM | 0.0% | $473K | 77,882 | Cut −70% |
| VOTVngrd Mrngstr Mc Grw Etf-UsdMCAP GR IDXVIP | 0.0% | $459K | 1,500 | Held |
| Dupont de Nemours IncCOM | 0.0% | $446K | 3,288 | Added +18% |
| MUMicron Technology IncCOM | 0.0% | $439K | 381 | New |
| WATWaters CorpCOM | 0.0% | $433K | 1,155 | Cut −29% |
| PLXSPlexus CorpCOM | 0.0% | $415K | 1,380 | Held |
| WECWec Energy Group IncCOM | 0.0% | $403K | 3,455 | Held |
| FISFidelity National Info ServCOM | 0.0% | $392K | 10,093 | Held |
| EFSIEagle Financial Services IncCOM | 0.0% | $389K | 9,375 | Held |
| KMXCarmax IncCOM | 0.0% | $387K | 7,320 | Held |
| TERTeradyne IncCOM | 0.0% | $387K | 800 | Held |
| SDYSs SPDR S&P Dividend ETFST STR SP DIV | 0.0% | $385K | 2,529 | Added +25% |
| PANWPalo Alto Networks IncCOM | 0.0% | $382K | 1,120 | New |
| ESGDIshares Trust Ishares Esg AwESG AW MSCI EAFE | 0.0% | $379K | 3,682 | Added +24% |
Sold out
Held at Mar 31, 2026, gone at Jun 30, 2026| Stock | % of fund in Q1 2026 | Value in Q1 2026 |
|---|---|---|
| MKCMccormick & Co-Non Vtg ShrsCOM NON VTG | 0.8% | $15.6M |
| RELXRelx PLC - Spon ADRSPONSORED ADR | 0.4% | $8.2M |
| INTUIntuit IncCOM | 0.0% | $443K |
| PEGPublic Service Enterprise GpCOM | 0.0% | $389K |
| MKTXMarketaxess Holdings IncCOM | 0.0% | $365K |
| VYMVanguard High Dvd Yield ETFHIGH DIV YLD | 0.0% | $343K |
| MDLZMondelez International Inc-ACL A | 0.0% | $312K |
| MDTMedtronic PLCSHS | 0.0% | $274K |
| CTSHCognizant Tech Solutions-ACL A | 0.0% | $243K |
| TAT&T IncCOM | 0.0% | $231K |
| VTVVanguard Mrngstr Val Etf-AuiVALUE ETF | 0.0% | $227K |
| CSLCarlisle Cos IncCOM | 0.0% | $222K |
| FISVFiserv IncCOM | 0.0% | $207K |
This filing reported values in thousands of dollars; they are shown here in dollars.
Showing the 150 largest of 196 positions. The full list is in the SEC filing.