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Institutional Investment Manager
Reynders McVeigh Capital Management, LLC
Reynders McVeigh Capital Management, LLC (CIK: 0001455969) incorporated in Massachusetts, located at 10 Post Office Square, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Portfolio Summary: 218 holdings with a total value of $688,876,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 NVIDIA Corp 54,083 2,542,000 0.37%
52 STRYKER CORP 21,040 2,521,000 0.37%
53 UNILEVER PLC 51,465 2,466,000 0.36%
54 HOME DEPOT INC 18,899 2,413,000 0.35%
55 Abbott Labs Common 60,075 2,362,000 0.34%
56 BERKSHIRE HATHAWAY INC DE CL B NEW 16,160 2,340,000 0.34%
57 METLIFE INC 58,066 2,313,000 0.34%
58 NIKE INC 41,065 2,267,000 0.33%
59 SCHLUMBERGER LTD 28,153 2,226,000 0.32%
60 MCDONALDS CORP 18,209 2,191,000 0.32%
61 NOVO-NORDISK A S 40,612 2,184,000 0.32%
62 BRISTOL MYERS SQUIBB CO 29,631 2,179,000 0.32%
63 Nextera Energy Inc 16,530 2,156,000 0.31%
64 CLOROX CO DEL 15,168 2,099,000 0.30%
65 XILINX INC 45,304 2,090,000 0.30%
66 THERMO FISHER SCIENTIFIC INC 13,842 2,045,000 0.30%
67 TENNANT CO 37,627 2,027,000 0.29%
68 SPROUTS FMRS MKT INC 88,228 2,020,000 0.29%
69 F5 NETWORKS INC 17,638 2,008,000 0.29%
70 Chubb Limited 14,687 1,920,000 0.28%
71 PFIZER INC 53,372 1,879,000 0.27%
72 ORACLE CORPORATION 44,734 1,831,000 0.27%
73 HONEYWELL INTL INC 15,684 1,824,000 0.26%
74 DU PONT E I DE NEMOURS & CO 27,199 1,762,000 0.26%
75 Intuitive Surgical Inc 2,620 1,733,000 0.25%
76 CORNING INC 84,047 1,721,000 0.25%
77 VARIAN MEDICAL 20,230 1,664,000 0.24%
78 AMGEN INC 10,782 1,640,000 0.24%
79 AT&T Inc New 37,906 1,638,000 0.24%
80 EMERSON ELEC CO 31,170 1,626,000 0.24%
81 INTERNATIONAL BUSINESS MACHS 9,876 1,499,000 0.22%
82 STARBUCKS CORP 26,135 1,493,000 0.22%
83 CHIPOTLE MEXICAN GRILL INC 3,675 1,480,000 0.21%
84 IONIS PHARMACEUTICALS INC COM 57,983 1,350,000 0.20%
85 UNION PAC CORP 14,408 1,257,000 0.18%
86 GENERAL MLS INC 17,245 1,230,000 0.18%
87 VISA INC CL A COMMON STOCK 16,490 1,223,000 0.18%
88 SNAP ON INC 7,686 1,213,000 0.18%
89 OMNICOM GROUP INC 14,848 1,210,000 0.18%
90 WALGREENS BOOTS ALLIANCE INC 14,526 1,210,000 0.18%
91 ECOLAB INC 9,914 1,176,000 0.17%
92 Facebook Inc Cl A 10,274 1,174,000 0.17%
93 Wyndham Worldwide 16,330 1,163,000 0.17%
94 BB&T Corporation 30,990 1,104,000 0.16%
95 UNITED NATURAL FOODSINC 23,249 1,088,000 0.16%
96 FIREEYE INC COM 64,615 1,064,000 0.15%
97 HUMANA INC 5,550 998,000 0.14%
98 AMAZON COM INC 1,375 984,000 0.14%
99 Marine Harvest ASA 55,750 942,000 0.14%
100 DTE ENERGY CO 9,226 914,000 0.13%
Page 2 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001455969-16-000001, filed 2016.08.04).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.