Reynders Mcveigh Capital Management, Llc Portfolio Stock Holdings

According to the SEC 13F filed on September 15, 2026, Reynders Mcveigh Capital Management, Llc disclosed 196 stock positions valued at approximately $2.26M as of quarter-end June 30, 2026. The largest holdings include NVIDIA Corp., Apple Inc., and Rockwell Automation, Inc..

Report Period
June 30, 2026
No. of Stocks
196
Portfolio Value
$2.26M
Holdings by Sector
Reynders Mcveigh Capital Management, Llc Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
NVIDIA Corp.NVDATechnology8.20%925,981-33,091-3.45%$185,280
Apple Inc.AAPLTechnology5.97%466,656+1,628+0.35%$135,031
Rockwell Automation, Inc.ROKIndustrials4.33%197,440+174+0.09%$97,749
Analog Devices Inc.ADITechnology4.23%240,828-4,424-1.80%$95,650
Amphenol CorporationAPHTechnology3.95%505,694-3,954-0.78%$89,164
Alphabet Inc.GOOGLCommunication Services3.83%241,937+2,011+0.84%$86,461
Microsoft Corp.MSFTTechnology3.63%219,809+19,760+9.88%$81,993
Applied Materials Inc.AMATTechnology3.39%105,987+8,073+8.24%$76,629
MasterCard IncorporatedMAFinancial Services3.22%141,828+3,006+2.17%$72,843
Carrier Global CorporationCARRIndustrials2.98%918,219+27,061+3.04%$67,351
UL Solutions Inc.ULSIndustrials2.74%608,136+22,028+3.76%$61,945
Alphabet Inc.GOOGCommunication Services2.49%159,384+2,108+1.34%$56,315
Xylem, Inc.XYLIndustrials2.12%404,420+57,174+16.46%$47,807
The TJX Companies Inc.TJXConsumer Cyclical2.00%298,592+1,177+0.40%$45,237
International Business Machines Corp.IBMTechnology1.88%150,929+7,403+5.16%$42,443
Stryker CorporationSYKHealthcare1.87%134,256+8,385+6.66%$42,269
Broadcom IncAVGOTechnology1.87%111,710+10,439+10.31%$42,198
Danaher CorporationDHRHealthcare1.79%212,366+1,058+0.50%$40,451
Arm Holdings PLCARMTechnology1.79%114,025-74-0.06%$40,430
Amazon.com, Inc.AMZNConsumer Cyclical1.76%166,954+1,003+0.60%$39,792
Crown Holdings IncCCKConsumer Cyclical1.76%355,461+10,983+3.19%$39,748
Abbott LaboratoriesABTHealthcare1.67%415,235-6,426-1.52%$37,678
Cloudflare IncNETTechnology1.55%142,669-2,741-1.89%$34,994
T-Mobile US IncTMUSCommunication Services1.52%204,751-650-0.32%$34,343
Home Depot Inc.HDConsumer Cyclical1.52%97,211+5,335+5.81%$34,284
Veralto Corp.VLTOIndustrials1.34%342,376+12,047+3.65%$30,362
Vertex Pharmaceuticals IncorporatedVRTXHealthcare1.20%54,499-165-0.30%$27,071
Sharkninja Inc.SNOther1.16%172,607+16,925+10.87%$26,283
Waste Management, Inc.WMIndustrials1.08%109,866+2,031+1.88%$24,487
Aptargroup Inc.ATRHealthcare1.03%186,679-127,537-40.59%$23,372
Showing 30 of 191 holdings in the latest reporting period.