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Institutional Investment Manager
WELCH & FORBES LLC
WELCH & FORBES LLC (CIK: 0000105495) incorporated in Delaware, located at 45 School Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Original 13F HR (0001085146-15-000177) filed in 2015.01.27
#
Name
Shares
Value ($)
%
Options
Notes
301 FISERV INC 341,321 24,224 0.71%
302 TORONTO DOMINION BK ONT 509,923 24,364 0.72%
303 VERTEX PHARMACEUTICALS INC 206,778 24,565 0.72%
304 EMERSON ELEC CO 438,542 27,071 0.80%
305 ABBOTT LABS 627,932 28,270 0.83%
306 GILEAD SCIENCES INC 316,037 29,789 0.87%
307 FIRST TR EXCHANGE TRADED FD 1,072,612 30,195 0.89%
308 INTEL CORP 860,006 31,209 0.92%
309 MERCK & CO INC 551,823 31,338 0.92%
310 JPMORGAN CHASE & CO 506,377 31,689 0.93%
311 PFIZER INC 1,097,646 34,192 1.00%
312 CHEVRON CORP NEW 309,177 34,683 1.02%
313 AFLAC INC 573,936 35,062 1.03%
314 STATE STR CORP 461,571 36,234 1.06%
315 ABBVIE INC 558,265 36,533 1.07%
316 INTERNATIONAL BUSINESS MACHS 233,196 37,414 1.10%
317 PAYCHEX INC 810,675 37,429 1.10%
318 ECOLAB INC 358,713 37,493 1.10%
319 MCDONALDS CORP 404,169 37,871 1.11%
320 JOHNSON CTLS INTL PLC 788,129 38,098 1.12%
321 PRAXAIR INC 311,573 40,367 1.19%
322 CVS HEALTH CORP 426,237 41,051 1.21%
323 QUALCOMM INC 601,787 44,731 1.31%
324 VISA INC 176,574 46,297 1.36%
325 3M CO 282,135 46,361 1.36%
326 MICROSOFT CORP 1,017,596 47,268 1.39%
327 ANSYS 579,229 47,496 1.40%
328 WELLS FARGO & CO NEW 893,086 48,959 1.44%
329 HOME DEPOT INC 466,527 48,971 1.44%
330 GENERAL ELECTRIC CO 1,956,665 49,445 1.45%
331 Iron Mountain Inc New 1,344,631 51,984 1.53%
332 KAYNE ANDERSON MLP INVT CO 1,364,014 52,078 1.53%
333 SCHLUMBERGER LTD 631,720 53,955 1.58%
334 STRYKER CORP 589,888 55,644 1.63%
335 DANAHER CORP DEL 696,013 59,655 1.75%
336 STERICYCLE INC 457,037 59,908 1.76%
337 PEPSICO INC 645,815 61,068 1.79%
338 APPLE INC 590,005 65,125 1.91%
339 O REILLY AUTOMOTIVE INC NEW 388,429 74,818 2.20%
340 CARMAX INC 1,125,009 74,904 2.20%
341 JOHNSON & JOHNSON 738,225 77,197 2.27%
342 EXXON MOBIL CORP 975,976 90,230 2.65%
343 UNITED TECHNOLOGIES CORP 798,675 91,848 2.70%
344 PROCTER AND GAMBLE CO 1,101,061 100,296 2.95%
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