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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
QuarterReported valuePositionsOpenedSold out
Q2 2026$2.3B1961413
Q1 2026$2.0B1951314
Q4 2025$2.1B196611
Q3 2025$2.1B20182

Holdings

Share positions at Jun 30, 2026
Stock% of fundValueSharesSince Q1 2026
NVDANvidia CorpCOM8.2%$185M925,981Cut −3%
AAPLApple IncCOM6.0%$135M466,656Held
ROKRockwell Automation IncCOM4.3%$97.7M197,440Held
ADIAnalog Devices IncCOM4.2%$95.7M240,828Cut −2%
APHAmphenol Corp-Cl ACL A3.9%$89.2M505,694Cut −1%
GOOGLAlphabet Inc-Cl ACAP STK CL A3.8%$86.5M241,937Added +1%
MSFTMicrosoft CorpCOM3.6%$82.0M219,809Added +10%
AMATApplied Materials IncCOM3.4%$76.6M105,987Added +8%
MAMastercard Inc - ACL A3.2%$72.8M141,828Added +2%
CARRCarrier Global CorpCOM3.0%$67.4M918,219Added +3%
ULSUl Solutions Inc - Class ACLASS A COM SHS2.7%$61.9M608,136Added +4%
GOOGAlphabet Inc-Cl CCAP STK CL C2.5%$56.3M159,384Added +1%
XYLXylem IncCOM2.1%$47.8M404,420Added +16%
TJXTjx Companies IncCOM2.0%$45.2M298,592Held
IBMIntl Business Machines CorpCOM1.9%$42.4M150,929Added +5%
SYKStryker CorpCOM1.9%$42.3M134,256Added +7%
AVGOBroadcom IncCOM1.9%$42.2M111,710Added +10%
DHRDanaher CorpCOM1.8%$40.5M212,366Added +1%
ARMArm Holdings Plc-AdrCOM1.8%$40.4M114,025Held
AMZNAmazon.Com IncCOM1.8%$39.8M166,954Added +1%
CCKCrown Holdings IncCOM1.8%$39.7M355,461Added +3%
ABTAbbott LaboratoriesCOM1.7%$37.7M415,235Cut −2%
NETCloudflare Inc - Class ACL A COM1.5%$35.0M142,669Cut −2%
TMUST-Mobile US IncCOM1.5%$34.3M204,751Held
HDHome Depot IncCOM1.5%$34.3M97,211Added +6%
VLTOVeralto CorpCOM SHS1.3%$30.4M342,376Added +4%
VRTXVertex Pharmaceuticals IncCOM1.2%$27.1M54,499Held
SNSharkninja IncCOM SHS1.2%$26.3M172,607Added +11%
ULUnilever Plc-Sponsored ADRSPON ADR NEW1.1%$24.9M413,512Added +36%
WMWaste Management IncCOM1.1%$24.5M109,866Added +2%
ATRAptargroup IncCOM1.0%$23.4M186,679Cut −41%
ASMLAsml Holding Nv-Ny Reg ShsN Y REGISTRY SHS1.0%$22.1M11,096Cut −3%
NYTNew York Times Co-ACL A1.0%$22.0M315,063Held
VRTVertiv Holdings Co-ACOM CL A1.0%$21.9M65,559Cut −5%
ABNBAirbnb Inc-Class ACOM CL A0.9%$21.4M149,240Added +1%
TSLATesla IncCOM0.9%$20.7M49,233Cut −3%
RKTRocket Cos Inc-Class ACOM0.9%$20.1M1,274,670Added +12%
JNJJohnson & JohnsonCOM0.9%$19.4M76,513Added +1%
AMDAdvanced Micro DevicesCOM0.9%$19.3M33,203Cut −5%
NXTNextpower IncCLASS A COM0.8%$18.8M157,897Added +15%
PGProcter & Gamble Co/TheCOM0.8%$18.7M127,833Cut −2%
TILEInterface IncCOM0.8%$17.6M489,736Added +11%
ADPAutomatic Data ProcessingCOM0.6%$12.9M57,695Cut −18%
SOFISofi Technologies IncCOM0.6%$12.5M699,538Added +3%
BRBroadridge Financial SolutioCOM0.5%$12.0M87,447New
NVSNovartis Ag-Sponsored ADRSPONSORED ADR0.5%$11.2M71,575Cut −2%
SXTSensient Technologies CorpCOM0.5%$10.7M86,526New
CRMSalesforce IncCOM0.5%$10.5M67,163Cut −4%
COSTCostco Wholesale CorpCOM0.4%$10.0M10,721Added +2%
ABBVAbbvie IncCOM0.3%$7.3M29,167Held
LLYEli Lilly & CoCOM0.3%$7.1M5,915Cut −1%
UBERUber Technologies IncCOM0.3%$6.8M94,291Cut −65%
ALCAlcon IncORD SHS0.3%$6.2M91,765Cut −69%
BRK-BBerkshire Hathaway Inc-Cl BCL B NEW0.3%$6.0M11,890Added +1%
VVisa Inc-Class A SharesCOM CL A0.3%$5.7M16,677Added +2%
CNICanadian Natl Railway CoCOM0.2%$5.4M45,658Cut −1%
GRALGrail IncCOM0.2%$4.9M71,304Cut −40%
TMOThermo Fisher Scientific IncCOM0.2%$4.6M9,082Held
SPYSs SPDR S&P 500 ETF Trust-UsTR UNIT0.2%$3.9M5,157Cut −5%
DSGXDescartes Systems Grp/TheCOM0.2%$3.7M54,027Cut −8%
UNPUnion Pacific CorpCOM0.2%$3.6M13,190Added +2%
VUGVanguard Mrngstar Gr Etf-SuiGROWTH ETF0.2%$3.5M40,913Added +10%
ORCLOracle CorpCOM0.1%$3.3M22,362Cut −8%
AMGNAmgen IncCOM0.1%$3.2M8,882Cut −3%
CATCaterpillar IncCOM0.1%$3.1M2,930Cut −1%
BRK-ABerkshire Hathaway Inc-Cl ACL A0.1%$3.0M4Held
MRKMerck & Co. Inc.COM0.1%$2.9M22,379Held
MCDMcdonald'S CorpCOM0.1%$2.4M8,875Cut −8%
VIGVanguard Dividend Apprec ETFDIV APP ETF0.1%$2.1M8,966Cut −18%
TSMTaiwan Semiconductor-Sp ADRSPONSORED ADS0.1%$1.9M3,884Cut −2%
PEPPepsico IncCOM0.1%$1.8M13,622Cut −11%
NEENextera Energy IncCOM0.1%$1.8M20,677Added +1%
CSCOCisco Systems IncCOM0.1%$1.8M15,361Cut −10%
IJHIshares Core S&P Midcap ETFCORE S&P MCP ETF0.1%$1.8M23,015Held
CRSPCrispr Therapeutics AGNAMEN AKT0.1%$1.7M31,065Cut −75%
NXPINxp Semiconductors NVCOM0.1%$1.7M5,925Cut −8%
INTCIntel CorpCOM0.1%$1.5M10,455Cut −4%
JPMJpmorgan Chase & CoCOM0.1%$1.4M4,263Cut −2%
WMTWalmart IncCOM0.1%$1.4M12,084Held
EFXEquifax IncCOM0.1%$1.4M8,613Held
CSXCsx CorpCOM0.1%$1.4M28,634Held
IWPIshares Russell Mid-Cap GrowRUS MD CP GR ETF0.1%$1.4M9,250Held
BDXBecton Dickinson and CoCOM0.1%$1.3M8,891Cut −77%
DEDeere & CoCOM0.1%$1.3M2,042Cut −1%
GLDSPDR Gold SharesGOLD SHS0.1%$1.3M3,488Held
CHDChurch & Dwight Co IncCOM0.1%$1.3M13,087Held
AXPAmerican Express CoCOM0.1%$1.3M3,711Cut −2%
IVWIshares S&P 500 Growth ETFS&P 500 GRWT ETF0.1%$1.2M8,895Held
RTXRtx CorpCOM0.1%$1.2M6,347Cut −3%
MELIMercadolibre IncCOM0.1%$1.2M708Held
VTIVg Morningstar Ts Mkt Etf-UsTOTAL STK MKT0.1%$1.1M3,071Added +7%
SPGIS&P Global IncCOM0.0%$1.1M2,769Held
EMREmerson Electric CoCOM0.0%$1.1M7,826Held
Exxon Mobil CorpCOM0.0%$1.1M8,099Cut −3%
ISRGIntuitive Surgical IncCOM NEW0.0%$1.1M2,760Cut −1%
DISWalt Disney Co/TheCOM0.0%$1.1M11,014Cut −2%
MTDMettler-Toledo InternationalCOM0.0%$1.1M827Added +9%
BMYBristol-Myers Squibb CoCOM0.0%$1.0M17,998Added +1%
TYLTyler Technologies IncCOM0.0%$981K3,354Cut −16%
DELLDell Technologies -CCL C0.0%$977K2,265Cut −1%
TTTrane Technologies PLCSHS0.0%$969K1,973Held
BKNGBooking Holdings IncCOM0.0%$963K5,402Held
ECLEcolab IncCOM0.0%$913K3,277Added +5%
Honeywell International IncCOM0.0%$897K4,005Cut −51%
HONAHoneywell Aerospace IncCOM0.0%$885K4,005New
IDXXIdexx Laboratories IncCOM0.0%$873K1,658Held
IWFIshares Russell 1000 GrowthRUS 1000 GRW ETF0.0%$846K6,812Added +1%
MCOMoody'S CorpCOM0.0%$845K1,866Held
ITWIllinois Tool WorksCOM0.0%$747K2,764Cut −3%
NTAPNetapp IncCOM0.0%$735K4,750Held
QQnity Electronics IncCOMMON STOCK0.0%$729K4,467Added +7%
APDAir Products & Chemicals IncCOM0.0%$727K2,478Added +3%
SBUXStarbucks CorpCOM0.0%$726K7,105Cut −4%
CLColgate-Palmolive CoCOM0.0%$706K7,703Cut −5%
LINLinde PLCSHS0.0%$705K1,359Cut −2%
QQQInvesco Qqq Trust Series 1UNIT SER 10.0%$702K953Added +20%
NSCNorfolk Southern CorpCOM0.0%$700K2,224Held
KOCoca-Cola Co/TheCOM0.0%$679K8,353Held
TXNTexas Instruments IncCOM0.0%$639K2,145Added +1%
KMBKimberly-Clark CorpCOM0.0%$622K5,670Cut −7%
DRIDarden Restaurants IncCOM0.0%$618K3,000Held
TMPTompkins Financial CorpCOM0.0%$611K6,468Cut −8%
CTVACorteva IncCOM0.0%$609K7,190Added +26%
METAMeta Platforms Inc-Class ACL A0.0%$608K1,080Cut −6%
VEEVVeeva Systems Inc-Class ACL A COM0.0%$604K3,404Cut −7%
SUSLIshares Esg Msci USA LeadersESG MSCI LEADR0.0%$578K4,356New
LRCXLam Research CorpCOM NEW0.0%$574K1,324Cut −10%
EPDEnterprise Products PartnersCOM0.0%$565K15,371Cut −5%
RVTYRevvity IncCOM0.0%$560K5,030Held
GEVGe Vernova IncCOM0.0%$555K472Added +2%
GEGeneral ElectricCOM NEW0.0%$545K1,459Cut −2%
IVEIshares S&P 500 Value ETFS&P 500 VAL ETF0.0%$507K2,233Held
LOWLowe'S Cos IncCOM0.0%$504K2,284Held
ILMNIllumina IncCOM0.0%$499K2,839Cut −5%
DUKDuke Energy CorpCOM NEW0.0%$491K3,877Held
IVVIshares Core S&P 500 ETFCORE S&P500 ETF0.0%$484K647Cut −11%
ENVXEnovix CorpCOM0.0%$473K77,882Cut −70%
VOTVngrd Mrngstr Mc Grw Etf-UsdMCAP GR IDXVIP0.0%$459K1,500Held
Dupont de Nemours IncCOM0.0%$446K3,288Added +18%
MUMicron Technology IncCOM0.0%$439K381New
WATWaters CorpCOM0.0%$433K1,155Cut −29%
PLXSPlexus CorpCOM0.0%$415K1,380Held
WECWec Energy Group IncCOM0.0%$403K3,455Held
FISFidelity National Info ServCOM0.0%$392K10,093Held
EFSIEagle Financial Services IncCOM0.0%$389K9,375Held
KMXCarmax IncCOM0.0%$387K7,320Held
TERTeradyne IncCOM0.0%$387K800Held
SDYSs SPDR S&P Dividend ETFST STR SP DIV0.0%$385K2,529Added +25%
PANWPalo Alto Networks IncCOM0.0%$382K1,120New
ESGDIshares Trust Ishares Esg AwESG AW MSCI EAFE0.0%$379K3,682Added +24%

Sold out

Held at Mar 31, 2026, gone at Jun 30, 2026
Stock% of fund in Q1 2026Value in Q1 2026
MKCMccormick & Co-Non Vtg ShrsCOM NON VTG0.8%$15.6M
RELXRelx PLC - Spon ADRSPONSORED ADR0.4%$8.2M
INTUIntuit IncCOM0.0%$443K
PEGPublic Service Enterprise GpCOM0.0%$389K
MKTXMarketaxess Holdings IncCOM0.0%$365K
VYMVanguard High Dvd Yield ETFHIGH DIV YLD0.0%$343K
MDLZMondelez International Inc-ACL A0.0%$312K
MDTMedtronic PLCSHS0.0%$274K
CTSHCognizant Tech Solutions-ACL A0.0%$243K
TAT&T IncCOM0.0%$231K
VTVVanguard Mrngstr Val Etf-AuiVALUE ETF0.0%$227K
CSLCarlisle Cos IncCOM0.0%$222K
FISVFiserv IncCOM0.0%$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.