Reynders McVeigh Capital Management, LLC

Reynders McVeigh Capital Management, LLC latest Q1_2021 13F filings reported $1,500,347,000 in market value on this 2021-05-07 report date . The portfolio quarterly return is 2.51%. This fund has 229 securities concentrations of 100% weights.

Reynders McVeigh Capital Management, LLC largest holding is Apple Inc. with weight of 5.42% and $81,302,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-05-072021-03-31Q1_202113F-HR229$1,500,347,0002.51%
2021-02-102020-12-31Q4_202013F-HR222$1,463,603,00012.88%
2020-10-282020-09-30Q3_202013F-HR224$1,296,623,00013.45%
2020-08-142020-06-30Q2_202013F-HR209$1,142,951,00030.16%
2020-05-132020-03-31Q1_202013F-HR193$878,143,000-15.36%
2020-02-142019-12-31Q4_201913F-HR228$1,037,510,00010.78%
2019-11-082019-09-30Q3_201913F-HR224$936,576,0000.45%
2019-08-062019-06-30Q2_201913F-HR213$932,354,0003.11%
2019-05-102019-03-31Q1_201913F-HR210$904,263,00019.94%
2019-02-142018-12-31Q4_201813F-HR206$753,901,000-11.46%
2018-11-262018-09-30Q3_201813F-HR/A201$851,444,0000.00%
2018-11-202018-09-30Q3_201813F-HR203$784,023,0000.00%
2018-08-092018-06-30Q2_201813F-HR203$784,023,000-0.85%
2018-07-262018-03-31Q1_201813F-HR/A197$790,771,0000.00%
2018-05-032018-03-31Q1_201813F-HR197$8,097,491,000961.30%
2018-02-062017-12-31Q4_201713F-HR202$762,978,000-0.51%
2017-11-092017-09-30Q3_201713F-HR212$766,907,0002.65%
2017-08-142017-06-30Q2_201713F-HR222$747,135,0002.63%
2017-04-272017-03-31Q1_201713F-HR223$728,016,0003.39%
2017-02-142016-12-31Q4_201613F-HR225$704,141,0002.57%
2016-11-072016-09-30Q3_201613F-HR211$686,491,000-0.35%
2016-08-042016-06-30Q2_201613F-HR218$688,876,0001.96%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
APPLE INCAAPLDECR$81,302-0.10%5.42%$122.15-0.02%665,589
PAYPAL HLDGS INCDECR$56,302-0.01%3.75%$242.84-0.05%231,848
MASTERCARD INCORPORATEDINCR$55,6870.01%3.71%$356.050.02%156,401
DANAHER CORPORATIONDHRINCR$53,2940.01%3.55%$225.080.00%236,776
DISNEY WALT CODISBUY$51,6890.00%3.45%$184.520.00%280,128
ROCKWELL AUTOMATION INCROKINCR$50,7040.09%3.38%$265.440.03%191,020
ABBOTT LABSABTINCR$45,5150.10%3.03%$119.840.00%379,794
ANALOG DEVICES INCADIINCR$44,8280.06%2.99%$155.080.01%289,066
NIKE INCNKEDECR$43,639-0.05%2.91%$132.890.01%328,383
MICROSOFT CORPMSFTINCR$43,4960.07%2.90%$235.770.01%184,485
CANADIAN NATL RY COCNIINCR$42,2330.09%2.81%$115.980.03%364,144
ALPHABET INC USD 0.001 CLS AINCR$38,7190.12%2.58%$2062.48-0.05%18,773
APTARGROUP INCATRINCR$38,2870.07%2.55%$141.670.03%270,251
CARRIER GLOBAL CORPORAITON USD 0.01INCR$35,2770.24%2.35%$42.220.11%835,541
ILLUMINA INCILMNINCR$34,5010.05%2.30%$384.060.01%89,833
New York Times Cl ANYTDECR$34,532-0.03%2.30%$50.62-0.01%682,187
NVIDIA CORPORATIONINCR$33,3180.03%2.22%$533.930.01%62,401
XYLEM INCINCR$29,9160.02%1.99%$105.18-0.01%284,431
TESLA MOTORS INCDECR$29,737-0.18%1.98%$667.93-0.13%44,521
STRYKER CORPORATIONSYKDECR$29,1210.00%1.94%$243.580.00%119,556
TELADOC HEALTH INCDECR$27,884-0.14%1.86%$181.75-0.05%153,418
AMAZON COM INCAMZNDECR$26,269-0.02%1.75%$3094.110.03%8,490
AUTOMATIC DATA PROCESSINGADPINCR$23,9030.22%1.59%$188.470.14%126,828
ALPHABET INCINCR$23,7690.13%1.58%$2068.67-0.04%11,490
UNILEVER ADRULINCR$23,2430.07%1.55%$55.830.16%416,318
T-MOBILE US INCTMUSINCR$20,6200.43%1.37%$125.290.53%164,576
BECTON DICKINSON & COBDXINCR$20,4540.01%1.36%$243.150.04%84,120
JOHNSON & JOHNSONJNJINCR$19,8810.03%1.33%$164.35-0.02%120,967
CVS HEALTH CORPORATIONCVSINCR$17,8360.01%1.19%$75.23-0.08%237,090
MARKETAXESS HLDGS INCDECR$17,279-0.16%1.15%$497.93-0.04%34,702
WASTE MANAGEMENT INCINCR$17,0720.14%1.14%$129.020.05%132,318
PROCTER AND GAMBLE COPGINCR$16,3780.01%1.09%$135.430.04%120,935
MEDTRONIC PLC USD 0.1INCR$15,2555.16%1.02%$118.135.11%129,137
SYSCO CORPORATIONSYYINCR$15,2420.37%1.02%$78.740.29%193,578
STARBUCKS CORPSBUXINCR$14,3690.08%0.96%$109.270.06%131,496
XILINX INCXLNXDECR$14,357-0.47%0.96%$123.90-0.40%115,877
NOVARTIS AG SPONSORED ADRDECR$13,877-0.25%0.92%$85.48-0.17%162,347
NOVO-NORDISK A SNVOINCR$13,5960.09%0.91%$67.420.13%201,656
VEEVA SYS INCVEEVDECR$13,351-0.13%0.89%$261.23-0.09%51,108
AMPHENOL CORP NEWAPHINCR$12,3820.10%0.83%$65.971.18%187,685
HOME DEPOT INCHDINCR$12,4330.14%0.83%$305.24-0.01%40,732
TJX COMPANIES, INC.TJXDECR$10,713-0.02%0.71%$66.150.01%161,953
FISERV INCFISVDECR$9,230-0.32%0.62%$119.04-0.35%77,534
BOSTON PROPERTIES INCBXPINCR$8,9360.72%0.60%$101.260.60%88,247
THERMO FISHER SCIENTIFIC INCTMODECR$5,853-0.04%0.39%$456.41-0.02%12,824
BEAM THERAPEUTICS INCDECR$5,399-0.04%0.36%$80.04-0.02%67,452
ABBVIE INCDECR$5,324-0.02%0.35%$108.23-0.03%49,193
ORMAT TECHNOLOGIES INCORADECR$5,198-0.19%0.35%$78.52-0.06%66,197
MERCK & CO INC NEWDECR$5,033-0.10%0.34%$77.09-0.04%65,284
VISA INCDECR$4,840-0.12%0.32%$211.74-0.09%22,858
NEXTERA ENERGY INC COMINCR$4,7160.01%0.31%$75.600.03%62,379
3M COINCR$4,5050.03%0.30%$192.69-0.06%23,380
PEPSICO INCPEPDECR$4,181-0.12%0.28%$141.47-0.07%29,555
UNION PAC CORPUNPINCR$4,1530.23%0.28%$220.420.16%18,841
ENPHASE ENERGY INCINCR$3,9830.08%0.27%$162.140.17%24,565
INTERFACE INCTILEBUY$3,9840.00%0.27%$12.480.00%319,195
MCDONALDS CORPMCDDECR$3,997-0.04%0.27%$224.12-0.08%17,834
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$3,7110.06%0.25%$255.46-0.04%14,527
COSTCO WHSL CORP NEWDECR$3,697-0.04%0.25%$352.500.03%10,488
FACEBOOK INCDECR$3,659-0.30%0.24%$294.53-0.35%12,423
IPG PHOTONICS CORPDECR$3,499-0.21%0.23%$210.96-0.16%16,586
PACIFIC BIOSCIENCES CALIF ININCR$3,4700.96%0.23%$33.310.53%104,185
VERIZON COMMUNICATIONS INCINCR$3,4250.01%0.23%$58.150.02%58,902
CISCO SYSTEMSDECR$3,235-0.11%0.22%$51.72-0.23%62,552
AMALGAMATED FINANCIAL COBUY$2,9100.00%0.19%$16.590.00%175,419
SUNOPTA INCBUY$2,8280.00%0.19%$14.770.00%191,474
CLOROX CO DELCLXINCR$2,6570.10%0.18%$192.900.15%13,774
DEXCOM INCDXCMDECR$2,722-0.09%0.18%$359.43-0.06%7,573
CHURCH & DWIGHT INCCHDDECR$2,566-0.01%0.17%$87.36-0.01%29,374
HONEYWELL INTL INCHONDECR$2,509-0.01%0.17%$217.06-0.03%11,559
S & P DEPOSITORY RECEIPTSINCR$2,5920.03%0.17%$396.39-0.03%6,539
ORACLE SYSTEMSINCR$2,3280.05%0.16%$70.16-0.03%33,181
DEERE & CODEINCR$2,2880.86%0.15%$374.100.34%6,116
LILLY ELI & COLLYINCR$2,2360.28%0.15%$186.820.16%11,969
INTEL CORPINTCDECR$2,285-0.06%0.15%$63.99-0.26%35,710
NXP SEMICONDUCTORS N VINCR$2,2230.19%0.15%$201.34-0.06%11,041
APPLIED MATLS INCAMATINCR$2,0650.56%0.14%$133.610.01%15,456
INTUITIVE SURGICAL INCINCR$2,1650.30%0.14%$738.910.43%2,930
NORFOLK SOUTHN CORPNSCINCR$2,1180.12%0.14%$268.54-0.01%7,887
PFIZER COMPANY INCPFEINCR$2,1580.12%0.14%$36.230.14%59,560
AMGENAMGNINCR$1,9980.09%0.13%$248.850.01%8,029
FIDELITY NATL INFORMATION SVINCR$1,9700.33%0.13%$140.610.33%14,010
VANGUARD INDEX FDSVUGDECR$1,903-0.01%0.13%$257.09-0.02%7,402
ZOETIS INCINCR$1,8960.29%0.13%$157.510.35%12,037
BRISTOL MYERS SQUIBB COBMYDECR$1,806-0.04%0.12%$63.12-0.06%28,612
CSX CORPCSXINCR$1,8480.06%0.12%$96.440.00%19,162
EQUIFAX INCEFXINCR$1,7410.37%0.12%$181.130.45%9,612
TYLER TECHNOLOGIES INCTYLDECR$1,733-0.03%0.12%$424.440.00%4,083
VANGUARD DIVIDEND APPRECIATION INDEX FUNDVIGDECR$1,689-0.02%0.11%$147.07-0.06%11,484
VARIAN MEDICAL SYSTEMS, INC.INCR$1,6510.00%0.11%$176.48-0.01%9,355
ANTARES PHARMA INCATRSINCR$1,4800.46%0.10%$4.110.42%360,000
SHERWIN-WILLIAMS COMPANY USD1.0SHWDECR$1,432-0.07%0.10%$737.76-0.07%1,941
ISHARES TR S&P MIDCAP 400 INDEX FUNDIJHINCR$1,5120.11%0.10%$260.29-0.02%5,809
ECOLAB INCECLDECR$1,348-0.03%0.09%$214.07-0.02%6,297
EMERSON ELEC COEMRINCR$1,3010.41%0.09%$90.230.26%14,419
TAIWAN SEMICONDUCTOR MFG LTDTSMDECR$1,3150.00%0.09%$118.27-0.08%11,119
TEXAS INSTRUMENTS INCTXNINCR$1,3390.09%0.09%$188.99-0.05%7,085
VANGUARD INDEX FDSVTIINCR$1,4130.11%0.09%$206.730.05%6,835
COCA COLA COKODECR$1,149-0.10%0.08%$52.71-0.06%21,800
TARGET CORPINCR$1,2720.12%0.08%$198.040.00%6,423
ACCENTURE PLCINCR$1,1220.28%0.07%$276.220.21%4,062
ADOBE SYSTEMS INCORPORATEDINCR$9860.07%0.07%$475.180.13%2,075
BROOKFIELD RENEWABLE PARTNERBUY$1,0950.00%0.07%$42.590.00%25,710
J P MORGAN CHASE & CO COMINCR$1,0810.12%0.07%$152.23-0.06%7,101
MERCADOLIBRE INCDECR$1,014-0.15%0.07%$1471.70-0.04%689
V F CORPVFCBUY$1,0400.00%0.07%$79.880.00%13,019
ISHARES TRIWPDECR$1,005-0.01%0.07%$102.030.00%9,850
BLACKROCK INC USD 0.01INCR$9150.04%0.06%$753.710.00%1,214
ENVISTA HOLDINGS CORPINCR$9150.19%0.06%$40.81-0.01%22,419
FIRST REP BK SAN FRANCISCO CINCR$8320.23%0.06%$166.670.08%4,992
GENERAL MLS INCGISDECR$880-0.09%0.06%$61.34-0.12%14,346
IDEXX LABS INCINCR$8420.02%0.06%$489.530.04%1,720
VANGUARD SMALL-CAP GROWTH INDEX FUNDVBKINCR$8580.03%0.06%$274.560.01%3,125
WALMART INCWMTINCR$8640.05%0.06%$135.760.12%6,364
AIR PRODUCTS & CHEMICALS INCAPDDECR$678-0.06%0.05%$281.33-0.08%2,410
ALCON AGDECR$781-0.20%0.05%$70.21-0.25%11,123
BEYOND MEAT INCDECR$813-0.60%0.05%$130.08-0.61%6,250
BROADCOM LTD NPVDECR$780-0.02%0.05%$463.73-0.07%1,682
CATERPILLAR INCCATINCR$7350.35%0.05%$231.930.06%3,169
COLGATE PALMOLIVE COCLDECR$766-0.17%0.05%$78.78-0.10%9,723
DTE ENERGY CODTEDECR$695-0.19%0.05%$133.09-0.26%5,222
EXONE COXONEINCR$7542.31%0.05%$31.360.00%24,040
EXXON MOBIL CORPINCR$8050.40%0.05%$55.800.04%14,427
INTERNATIONAL BUSINESS MACHINE COMPANYIBMDECR$703-0.01%0.05%$133.27-0.07%5,275
KANSAS CITY SOUTHERNKSUBUY$7660.00%0.05%$264.050.00%2,901
METTLER TOLEDO INTERNATIONALMTDDECR$809-0.04%0.05%$1155.71-0.05%700
S&P GLOBAL INCINCR$7070.07%0.05%$352.790.00%2,004
SPDR SERIE DIVIDEND ETFINCR$8030.10%0.05%$118.05-0.01%6,802
SEAGEN INCDECR$797-0.33%0.05%$138.83-0.16%5,741
UNITEDHEALTH GROUP INCDECR$694-0.21%0.05%$371.92-0.25%1,866
WISDOMTREE TRINCR$8030.07%0.05%$114.710.00%7,000
ISHARES TRIWFDECR$688-0.08%0.05%$243.20-0.09%2,829
ISHARES CORE S&P 500 INDEX ETFIVVINCR$7950.88%0.05%$397.900.77%1,998
AT&T INCDECR$545-0.38%0.04%$30.24-0.41%18,021
AMERICAN EXPRESS COMPANYAXPINCR$6610.16%0.04%$141.45-0.01%4,673
BOOKING HOLDINGS INCINCR$5570.16%0.04%$2330.540.11%239
DESCARTES SYS GROUP INCDSGXDECR$543-0.34%0.04%$60.91-0.36%8,915
DUPONT DE NEMOURS INC USD 0.01INCR$6300.09%0.04%$77.230.01%8,157
FORTIVE CORP USD 0.01DECR$585-0.08%0.04%$70.58-0.08%8,288
ILLINOIS TOOL WORKS INC USD 0.01ITWDECR$530-0.01%0.04%$221.48-0.09%2,393
INSULET CORPINCR$5740.01%0.04%$261.15-0.01%2,198
IONIS PHARMACEUTICALS INCIONSDECR$547-0.43%0.04%$44.93-0.28%12,174
KIMBERLY-CLARK CORPKMBDECR$594-0.18%0.04%$139.01-0.21%4,273
MOODYS CORPMCOBUY$5440.00%0.04%$298.740.00%1,821
NUANCE COMMUNICATIONS INCDECR$543-0.01%0.04%$43.670.00%12,435
PALO ALTO NETWORKS INCPANWDECR$612-0.20%0.04%$322.11-0.11%1,900
INVESCO QQQ TRDECR$638-0.12%0.04%$319.16-0.14%1,999
RAYTHEON TECHNOLOGIES CORP USD 1.0DECR$673-0.07%0.04%$77.22-0.14%8,715
REGENERON PHARMACEUTICALSDECR$657-0.13%0.04%$473.00-0.11%1,389
SMUCKER J M COSJMINCR$5780.05%0.04%$126.53-0.04%4,568
ISHARES TRIVWINCR$5900.02%0.04%$65.100.00%9,063
ISHARES S&P MID-CAP 400 VALUE ETFIJJINCR$5710.18%0.04%$101.960.00%5,600
BERKSHIRE HATHAWAY INC DELBRK/AINCR$3860.11%0.03%$386000.000.00%1
COMCAST CORP NEWINCR$4400.06%0.03%$54.080.02%8,136
DARDEN RESTAURANTS INCDRIINCR$4260.19%0.03%$141.910.00%3,002
DIGITAL RLTY TR INCDLRINCR$5060.03%0.03%$140.830.02%3,593
DOW HOLDINGS INC USD 0.01DOWDECR$452-0.01%0.03%$63.90-0.14%7,074
GILEAD SCIENCES INCGILDINCR$4590.07%0.03%$64.65-0.04%7,100
HANNON ARMSTRONG SUST INFR CDECR$489-0.10%0.03%$56.100.02%8,717
INTUITINTUDECR$491-0.05%0.03%$383.29-0.06%1,281
MARSH & MCLENNAN COS INCMMCDECR$403-0.22%0.03%$121.72-0.25%3,311
MONDELEZ INTERNATIONAL INCMDLZDECR$460-0.04%0.03%$58.51-0.04%7,862
NETAPP INCINCR$5250.02%0.03%$72.66-0.07%7,225
NORTHROP GRUMMAN CORPORATION USD 1.0NOCINCR$4150.00%0.03%$323.97-0.06%1,281
PAYCHEXPAYXINCR$5220.05%0.03%$98.030.00%5,325
PROLOGIS INC.INCR$4780.12%0.03%$105.920.06%4,513
PROSHARES TRINCR$5100.03%0.03%$86.32-0.05%5,908
QUALCOMM INCORPORATEDQCOMDECR$470-0.39%0.03%$132.54-0.30%3,546
ROPER TECHNOLOGIES INCROPDECR$412-0.20%0.03%$403.53-0.14%1,021
SALESFORCE.COMDECR$432-0.16%0.03%$211.87-0.11%2,039
VANGUARD INDEX FDSVBINCR$4090.01%0.03%$214.25-0.08%1,909
VANGUARD INDEX FDSVOTINCR$4530.01%0.03%$214.690.00%2,110
VANGUARD INDEX FDSVOOBUY$3880.00%0.03%$364.320.00%1,065
AMERICAN TOWER CORP NEWINCR$3310.06%0.02%$238.820.00%1,386
BAXTER INTERNATIONAL INCBAXDECR$249-0.02%0.02%$84.18-0.06%2,958
BOEING COBADECR$268-0.04%0.02%$254.51-0.19%1,053
BROOKFIELD RENEWABLE CORPDECR$279-0.20%0.02%$46.880.00%5,952
CARLISLE COS INCCSLDECR$296-0.05%0.02%$164.44-0.10%1,800
CHARLES RIV LABS INTL INCCRLNA$2750.00%0.02%$289.47-0.14%950
COGNIZANT TECHNOLOGYCTSHBUY$3100.00%0.02%$78.110.00%3,969
CONSTELLATION BRANDS INCINCR$3480.33%0.02%$227.750.28%1,528
CORTEVA INCINCR$3310.19%0.02%$46.59-0.01%7,105
CRISPR THERAPEUTICS AGDECR$300-0.20%0.02%$121.950.01%2,460
CUMMINS INCCMIINCR$2330.08%0.02%$258.89-0.05%900
DELL TECHNOLOGIES INCBUY$2310.00%0.02%$88.000.00%2,625
DUKE ENERGY CORP NEWDECR$256-0.03%0.02%$96.71-0.09%2,647
EASTGROUP PPTYS INCEGPINCR$2290.04%0.02%$143.130.00%1,600
EATON CORP PLCINCR$3210.11%0.02%$138.48-0.03%2,318
EDWARDS LIFESCIENCES CORPORATIONDECR$351-0.08%0.02%$83.550.00%4,201
ENTERPRISE PRODS PARTNERS LEPDINCR$3070.03%0.02%$22.01-0.08%13,946
EXTRA SPACE STORAGE INCINCR$2990.15%0.02%$132.590.00%2,255
GALLAGHER ARTHUR J & COAJGDECR$314-0.37%0.02%$124.90-0.37%2,514
INTERNATIONAL FLAVORS & FRAGRANCES, INCIFFINCR$3420.70%0.02%$139.420.33%2,453
INVESCO EXCHANGE TRADED FD TINCR$3610.14%0.02%$157.300.00%2,295
LINDE PLC EUR 0.001DECR$252-0.03%0.02%$279.69-0.09%901
LOWES COS INCLOWINCR$3650.19%0.02%$190.100.00%1,920
NETFLIX INCDECR$313-0.08%0.02%$521.67-0.05%600
OTIS WORLDWIDE CORPORATION USD 0.01DECR$241-0.11%0.02%$68.58-0.13%3,514
PNC FINL SVCS GROUP INCPNCBUY$2420.00%0.02%$175.490.00%1,379
PACKAGING CORPORATION AMER USD 0.01PKGDECR$269-0.03%0.02%$134.500.00%2,000
PLEXUS CORPPLXSINCR$3750.17%0.02%$91.910.00%4,080
PRICE T ROWE GROUP INCINCR$3740.14%0.02%$171.480.00%2,181
QORVO INCDECR$365-0.44%0.02%$182.50-0.49%2,000
REDFIN CORPDECR$319-0.03%0.02%$66.640.00%4,787
SKYWORKS SOLUTIONS INCINCR$3300.20%0.02%$183.330.00%1,800
SNAP ON INCSNABUY$2310.00%0.02%$231.000.00%1,000
STANLEY BLACK & DECKER INCSWKINCR$3630.03%0.02%$199.45-0.08%1,820
VANGUARD INDEX FDSVNQINCR$3670.22%0.02%$91.980.12%3,990
VANGUARD INDEX FDSVOINCR$2410.08%0.02%$220.900.01%1,091
VANGUARD TAX-MANAGED INTL FDVEADECR$374-0.02%0.02%$49.17-0.06%7,607
WEC ENERGY GROUP INCDECR$352-0.04%0.02%$93.62-0.05%3,760
ISHARES ESG AWARE MSCI EAFE ETFINCR$2540.04%0.02%$75.960.00%3,344
ISHARES MSCI EAFE ETFEFABUY$2300.00%0.02%$75.910.00%3,030
ISHARES TRIVEINCR$2540.10%0.02%$141.350.00%1,797
ISHARES TRIJRBUY$2750.00%0.02%$108.700.00%2,530
AMERICAN WTR WKS CO INC NEWAWKDECR$202-0.07%0.01%$149.63-0.05%1,350
CIGNA CORP NEWCIDECR$222-0.47%0.01%$242.09-0.55%917
CRANE COCRBUY$2070.00%0.01%$94.090.00%2,200
EMPIRE ST RLTY TR INCESRTINCR$1820.19%0.01%$11.100.00%16,397
EQUINOX GOLD CORPBUY$800.00%0.01%$7.950.00%10,063
EXACT SCIENCES CORPDECR$2180.00%0.01%$132.040.00%1,651
MAXIM INTEGRATED PRODS INCINCR$2190.03%0.01%$91.210.00%2,401
NEW JERSEY RES CORPNJRBUY$2190.00%0.01%$39.820.00%5,500
RPM INTL INCRPMINCR$2230.00%0.01%$91.88-0.01%2,427
VANGUARD INDEX FDSVTVBUY$2180.00%0.01%$131.400.00%1,659
WATERS CORPWATBUY$2160.00%0.01%$284.210.00%760
Where Food Comes FromDECR$218-0.04%0.01%$13.520.00%16,125
COHBAR INCBUY$140.00%0.00%$1.390.00%10,063
CORBUS PHARMACEUTICALS HLDGSINCR$390.56%0.00%$1.950.00%20,000
AKAMAI TECHNOLOGIES INCSOLD$00.00%-100.00%$0.000.00%0
AMALGAMATED BK NEW YORK N YSOLD$00.00%-100.00%$0.000.00%0
BLACK KNIGHT INCSOLD$00.00%-100.00%$0.000.00%0
BROOKFIELD ASSET MGMT INCBAMSOLD$00.00%-100.00%$0.000.00%0
CHEVRON CORP NEWCVXSOLD$00.00%-100.00%$0.000.00%0
CHUBB LTD CHF 24.15SOLD$00.00%-100.00%$0.000.00%0
EVERSOURCE ENERGYSOLD$00.00%-100.00%$0.000.00%0
FACTSET RESH SYS INCFDSSOLD$00.00%-100.00%$0.000.00%0
FREQUENCY THERAPEUTICS INCSOLD$00.00%-100.00%$0.000.00%0
ROLLINS INCROLSOLD$00.00%-100.00%$0.000.00%0
SUNRUN INCSOLD$00.00%-100.00%$0.000.00%0
FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUNDSOLD$00.00%-100.00%$0.000.00%0
GOLUB CAP BDC INCSOLD$00.00%-100.00%$0.000.00%0