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Latest DILLON & ASSOCIATES INC Stock Portfolio

$636Million

Equity Portfolio Value
Last Reported on: 30 Apr, 2024

About DILLON & ASSOCIATES INC and it’s 13F Hedge Fund Stock Holdings

DILLON & ASSOCIATES INC is a hedge fund based in JACKSON, MI. On 24-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $555.9 Millions. In it's latest 13F Holdings report, DILLON & ASSOCIATES INC reported an equity portfolio of $636.5 Millions as of 31 Mar, 2024.

The top stock holdings of DILLON & ASSOCIATES INC are NVDA, AAPL, NVO. The fund has invested 15.5% of it's portfolio in NVIDIA CORP and 7.6% of portfolio in APPLE, INC.

The fund managers got completely rid off VERALTO CORPORATION and EURONET WORLDWIDE INC (EEFT) stocks. They significantly reduced their stock positions in PAYPAL HOLDINGS (PYPL), DISNEY WALT CO (DIS) and HUNTINGTON BANCSHARES (HBAN). DILLON & ASSOCIATES INC opened new stock positions in CELSIUS HOLDINGS INC (CELH), AIRBNB INC (ABNB) and U S BANCORP (USB). The fund showed a lot of confidence in some stocks as they added substantially to WAL-MART STORES (WMT), MARSH & MCLENNAN (MMC) and FISERV INC.

New Buys

Ticker$ Bought
CELSIUS HOLDINGS INC2,574,000
AIRBNB INC257,000
U S BANCORP232,000
CAPITAL ONE FIN'L224,000
INT'L BUSINESS MACHINES220,000
EXXON MOBIL207,000

New stocks bought by DILLON & ASSOCIATES INC

Additions

Ticker% Inc.
WAL-MART STORES181
MARSH & MCLENNAN20.00
FISERV INC15.98
NEXTERA ENERGY INC.13.69
HERSHEY COMPANY12.76
ROCKWELL AUTOMATION INC12.48
EOG RESOURCES INC12.45
PALO ALTO NETWORKS11.99

Additions to existing portfolio by DILLON & ASSOCIATES INC

Reductions

Ticker% Reduced
PAYPAL HOLDINGS-67.92
DISNEY WALT CO-16.15
HUNTINGTON BANCSHARES-9.31
RTX CORP-8.31
DIAGEO PLC-7.12
SYSCO CORP.-6.62
COLGATE-PALMOLIVE-5.41
QUALCOMM-4.13

DILLON & ASSOCIATES INC reduced stake in above stock

Sold off

Ticker$ Sold
VERALTO CORPORATION-254,000
EURONET WORLDWIDE INC-207,000

DILLON & ASSOCIATES INC got rid off the above stocks

Current Stock Holdings of DILLON & ASSOCIATES INC

Last Reported on: 30 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE, INC.7.61283,09648,409,000REDUCED-1.92
ABBVABBVIE0.206,8621,249,000ADDED3.02
ABNBAIRBNB INC0.041,559257,000NEW
ABTABBOTT LABS3.44192,10221,900,000REDUCED-0.16
ADBEADOBE INC0.232,9591,494,000ADDED8.19
ADIANALOG DEVICES0.165,1031,010,000ADDED9.67
ADPAUTOMATIC DATA PROCESSING2.6868,26417,066,000REDUCED-0.5
AFLAFLAC INC0.043,300284,000UNCHANGED0.00
AMGNAMGEN0.122,616743,000UNCHANGED0.00
AMZNAMAZON.COM INC2.0572,64313,076,000ADDED7.6
APDAIR PRODUCTS2.2158,23714,093,000ADDED6.77
ASMLASML HLDGS0.181,1711,136,000UNCHANGED0.00
AZNASTRAZENECA PLC0.2624,0871,638,000ADDED3.64
BDXBECTON, DICKINSON AND COMPANY0.03871215,000REDUCED-1.47
CELHCELSIUS HOLDINGS INC0.4031,0122,574,000NEW
CLCOLGATE-PALMOLIVE0.5236,9193,323,000REDUCED-5.41
CMCSACOMCAST CORP CL A0.86126,7655,451,000ADDED5.59
CMGCHIPOTLE MEXICAN GRILL1.723,77310,968,000ADDED1.07
CNICANADIAN NATL. RAILWAY1.6278,36510,344,000UNCHANGED0.00
COFCAPITAL ONE FIN'L0.041,500224,000NEW
COSTCOSTCO WHOLESALE CORP0.766,6344,863,000ADDED3.83
CRMSALESFORCE COM1.2025,4657,665,000ADDED4.28
CSCOCISCO SYSTEMS0.056,480324,000UNCHANGED0.00
DEODIAGEO PLC0.166,8491,021,000REDUCED-7.12
DHRDANAHER CORPORATION1.8847,85311,963,000ADDED0.54
DISDISNEY WALT CO0.2613,4201,637,000REDUCED-16.15
ECLECOLAB1.5843,61310,075,000REDUCED-0.17
EEFTEURONET WORLDWIDE INC0.000.000.00SOLD OFF-100
EMREMERSON ELECTRIC0.063,157357,000UNCHANGED0.00
EOGEOG RESOURCES INC0.062,728349,000ADDED12.45
ETNEATON CORP. PLC0.193,8101,193,000UNCHANGED0.00
GNRCGENERAC HOLDINGS INC0.5025,5003,213,000ADDED1.31
GOOGALPHABET, INC. CL A4.63195,13429,465,000ADDED0.2
GOOGALPHABET, INC. CL C1.5464,7079,835,000REDUCED-2.45
HBANHUNTINGTON BANCSHARES0.0313,559190,000REDUCED-9.31
HDHOME DEPOT0.7412,2154,691,000ADDED0.62
HONHONEYWELL INT'L0.319,7632,001,000REDUCED-3.74
HSYHERSHEY COMPANY0.123,898756,000ADDED12.76
IBMINT'L BUSINESS MACHINES0.041,152220,000NEW
INTCINTEL CORP0.046,065267,000REDUCED-0.67
ISRGINTUITIVE SURGICAL1.4923,7069,459,000ADDED0.61
JNJJOHNSON AND JOHNSON0.6225,0383,956,000REDUCED-2.72
JPMJP MORGAN CHASE & CO.0.5216,5553,311,000ADDED3.98
KKELLANOVA0.078,020457,000UNCHANGED0.00
KOCOCA-COLA0.066,496396,000REDUCED-0.78
LLYLILLY (ELI)0.06452352,000UNCHANGED0.00
LOWLOWE'S3.1378,06919,908,000REDUCED-1.01
MCDMCDONALD'S0.4810,8093,048,000REDUCED-1.68
MDLZMONDELEZ INT'L0.3229,2062,044,000REDUCED-3.01
METAMETA PLATFORMS INC0.9412,3696,011,000ADDED0.45
MMCMARSH & MCLENNAN0.061,800371,000ADDED20.00
MNSTMONSTER BEVERAGE CORP0.4346,4952,743,000ADDED10.04
MRKMERCK & CO. INC. NEW0.073,376446,000REDUCED-2.17
MSFTMICROSOFT1.0315,6006,568,000REDUCED-0.12
NEENEXTERA ENERGY INC.0.4746,7422,991,000ADDED13.69
NSCNORFOLK SOUTHERN CORP.1.7443,41411,071,000REDUCED-0.46
NVDANVIDIA CORP15.48108,98098,518,000REDUCED-2.53
NVONOVO-NORDISK ADR5.59277,82735,562,000ADDED1.39
NVSNOVARTIS AG ADS0.085,323516,000REDUCED-3.62
ORLYO'REILLY AUTOMOTIVE INC.2.2312,60014,225,000ADDED1.42
PANWPALO ALTO NETWORKS1.8541,53811,797,000ADDED11.99
PAYCPAYCOM SOFTWARE2.1669,12413,756,000ADDED8.61
PAYXPAYCHEX1.0755,4966,826,000REDUCED-1.55
PEPPEPSICO2.0072,81812,743,000REDUCED-0.84
PGPROCTER AND GAMBLE0.5220,6093,339,000REDUCED-1.62
PYPLPAYPAL HOLDINGS0.2321,4651,438,000REDUCED-67.92
QCOMQUALCOMM0.186,9671,177,000REDUCED-4.13
REGNREGENERON PHARMACEUTICALS1.8712,36811,898,000ADDED4.86
ROKROCKWELL AUTOMATION INC0.429,1052,650,000ADDED12.48
RTXRTX CORP0.6844,2804,339,000REDUCED-8.31
SBUXSTARBUCKS2.00139,90812,732,000ADDED6.5
STZCONSTELLATION BRANDS INC.1.7440,81111,101,000ADDED3.7
SYKSTRYKER4.6783,00929,717,000REDUCED-0.96
SYYSYSCO CORP.0.2620,5191,662,000REDUCED-6.62
TGTTARGET CORP.0.072,525447,000UNCHANGED0.00
TTCTORO CO0.053,437316,000REDUCED-0.66
UNHUNITEDHEALTH GROUP INC.0.091,197593,000UNCHANGED0.00
UNPUNION PACIFIC CORP0.04900221,000UNCHANGED0.00
USBU S BANCORP0.045,150232,000NEW
VVISA INC.5.05115,21232,144,000ADDED0.32
WMTWAL-MART STORES0.1516,254975,000ADDED181
XOMEXXON MOBIL0.031,788207,000NEW
FISERV INC1.3754,5078,721,000ADDED15.98
VERALTO CORPORATION0.000.000.00SOLD OFF-100