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Institutional Investment Manager
AVITY INVESTMENT MANAGEMENT INC.
AVITY INVESTMENT MANAGEMENT INC. (CIK: 0000926834) incorporated in Connecticut, located at 80 Field Point Road, Greenwich, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Original 13F HR (0000926834-17-000001) filed in 2017.01.17
#
Name
Shares
Value ($)
%
Options
Notes
1 ABBOTT LABS 8,624 331 0.05% SH
2 ABBVIE INC 7,583 475 0.07% SH
3 ACCENTURE PLC IRELAND 172,442 20,198 3.04% SH
4 ALLERGAN PLC 95,843 20,128 3.03% SH
5 ALPHABET INC 24,710 19,072 2.87% SH
6 ALPHABET INC 18,317 14,515 2.18% SH
7 ALTRIA GROUP INC 3,475 235 0.04% SH
8 AMPHENOL CORP NEW 341,984 22,981 3.46% SH
9 ANADARKO PETE CORP 22,915 1,598 0.24% SH
10 APPLE INC 212,138 24,570 3.70% SH
11 AT&T INC 7,863 334 0.05% SH
12 BANK AMER CORP 31,951 706 0.11% SH
13 BARD C R INC 2,062 463 0.07% SH
14 BECTON DICKINSON & CO 133,470 22,096 3.33% SH
15 BERKSHIRE HATHAWAY INC DEL 6,095 993 0.15% SH
16 BRISTOL MYERS SQUIBB CO 6,046 353 0.05% SH
17 CHAPEAU INC. 12,500 0 0.00% SH
18 CHEVRON CORP NEW 173,063 20,370 3.07% SH
19 CLOROX CO DEL 1,925 231 0.03% SH
20 CONAGRA BRANDS INC 30,434 1,204 0.18% SH
21 CVS HEALTH CORP 291,663 23,015 3.46% SH
22 CYPRESS SEMICONDUCTOR CORP 14,300 164 0.02% SH
23 DOLLAR GEN CORP NEW 285,016 21,111 3.18% SH
24 DOW CHEM CO 3,621 207 0.03% SH
25 DUNKIN BRANDS GROUP INC COM 440,207 23,084 3.47% SH
26 EATON CORP PLC 339,987 22,810 3.43% SH
27 ECOLAB INC 195,392 22,904 3.45% SH
28 EXXON MOBIL CORP 262,032 23,651 3.56% SH
29 FACEBOOK INC 231,937 26,684 4.02% SH
30 GENERAL ELECTRIC CO 71,938 2,273 0.34% SH
31 GRAINGER W W INC 36,200 8,407 1.27% SH
32 INTEL CORP 6,666 242 0.04% SH
33 INTERNATIONAL BUSINESS MACHS 2,565 426 0.06% SH
34 ISHARES RUSSELL 1000 ETF 7,318 911 0.14% SH
35 ISHARES TR 1,670 376 0.06% SH
36 ISHARES TR 8,683 501 0.08% SH
37 ISHARES TR 27,983 2,935 0.44% SH
38 JOHNSON & JOHNSON 231,828 26,709 4.02% SH
39 JPMORGAN CHASE & CO 86,937 7,502 1.13% SH
40 LAMB WESTON HLDGS INC COM 10,144 384 0.06% SH
41 LKQ CORP 84,625 2,594 0.39% SH
42 LOWES COS INC 196,843 13,999 2.11% SH
43 MCDONALDS CORP 2,350 286 0.04% SH
44 MERCK & CO INC 10,645 627 0.09% SH
45 METTLER-TOLEDO 40,848 17,097 2.57% SH
46 MICROSOFT CORP 14,446 898 0.14% SH
47 MONDELEZ INTL INC 99,043 4,391 0.66% SH
48 NESTLE SA SPONSORED ADR REPSTG 3,000 216 0.03% SH
49 NEWELL BRANDS 4,575 204 0.03% SH
50 NIKE INC 371,431 18,880 2.84% SH
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