Reynders McVeigh Capital Management, LLC

Institutional InvestorSimilar funds →SEC EDGAR: CIK 1455969
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13F Reported Value

$2.0B

Holdings

195

Latest Filing

2026-03-31

Filing Quarter

Q1 2026

Portfolio Overview

Reynders McVeigh Capital Management, LLC disclosed 195 positions worth $2.0B in its Form 13F-HR for Q1 2026, led by $NVDA (NVIDIA CORP) at 8.4% of the equity portfolio, followed by $AAPL and $ADI. During the quarter the fund opened 11 new positions and exited 14 — including a new stake in $TMP and a full exit from $NVO. The portfolio is most concentrated in Technology (54.0% of disclosed assets). All figures are sourced directly from Reynders McVeigh Capital Management, LLC’s Form 13F-HR filing with the SEC under CIK 1455969.

Sector Allocation

TechnologyIndustrialsHealthcareConsumer DiscretionaryFinancialsCommunication Services

AUM History

Top Equity Holdings by Value

Quarterly Activity — Q1 2026

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Top Holdings

AI Quality Scored

Unlock AI quality scores for every holding

32-signal composite ranking on each of Reynders McVeigh Capital Management, LLC's 195 positions.

Showing top 10 of 195 holdings.

Sector Allocation

Technology

$1.1B

Industrials

$222.1M

Healthcare

$202.3M

Consumer Discretionary

$143.4M

Financials

$119.6M

Communication Services

$71.6M

Materials

$60.8M

Consumer Staples

$40.9M

Full Holdings — Reynders McVeigh Capital Management, LLC (Q1 2026)

All 195 disclosed positions from the latest Form 13F-HR, with quarter-over-quarter share changes and 13F Pro quality scores. Sourced from SEC EDGAR.

TickerCompanyValue
NVDA$NVDANVIDIA CORP$167.3M
AAPL$AAPLApple Inc.$118.0M
ADI$ADIANALOG DEVICES INC$78.0M
MSFT$MSFTMICROSOFT CORP$74.1M
ROK$ROKROCKWELL AUTOMATION, INC$70.8M
MA$MAMastercard Inc$69.4M
GOOG$GOOGAlphabet Inc.$69.0M
APH$APHAMPHENOL CORP /DE/$64.4M
ULS$ULSUL Solutions Inc.$50.2M
CARR$CARRCARRIER GLOBAL Corp$50.2M
TJX$TJXTJX COMPANIES INC /DE/$47.5M
GOOGL$GOOGLAlphabet Inc.$45.1M
ABT$ABTABBOTT LABORATORIES$43.3M
TMUS$TMUST-Mobile US, Inc.$43.1M
XYL$XYLXylem Inc.$41.5M
SYK$SYKSTRYKER CORP$41.4M
DHR$DHRDANAHER CORP /DE/$40.1M
ATR$ATRAPTARGROUP, INC.$39.6M
IBM$IBMINTERNATIONAL BUSINESS MACHINES CORP$34.8M
AMZN$AMZNAMAZON COM INC$34.6M
CCK$CCKCROWN HOLDINGS, INC.$34.5M
AMAT$AMATAPPLIED MATERIALS INC /DE$33.5M
AVGO$AVGOBroadcom Inc.$31.3M
HD$HDHOME DEPOT, INC.$30.2M
NET$NETCloudflare, Inc.$30.0M
VLTO$VLTOVeralto Corp$29.2M
NYT$NYTNEW YORK TIMES CO$26.3M
WM$WMWASTE MANAGEMENT INC$24.8M
VRTX$VRTXVERTEX PHARMACEUTICALS INC / MA$24.4M
ALC$ALCALCON INC$22.3M
UBER$UBERUber Technologies, Inc$19.5M
PG$PGPROCTER & GAMBLE Co$18.9M
TSLA$TSLATesla, Inc.$18.8M
ABNB$ABNBAirbnb, Inc.$18.7M
JNJ$JNJJOHNSON & JOHNSON$18.6M
UL$ULUNILEVER PLC$17.3M
VRT$VRTVertiv Holdings Co$17.3M
ARM$ARMARM HOLDINGS PLC /UK$17.3M
NXT$NXTNextpower Inc.$16.6M
SN$SNSharkNinja, Inc.$16.5M
RKT$RKTRocket Companies, Inc.$16.3M
MKC$MKCMCCORMICK & CO INC$15.6M
ASML$ASMLASML HOLDING NV$15.1M
ADP$ADPAUTOMATIC DATA PROCESSING INC$14.4M
CRM$CRMSalesforce, Inc.$13.0M
NVS$NVSNOVARTIS AG$11.2M
TILE$TILEINTERFACE INC$11.0M
SOFI$SOFISoFi Technologies, Inc.$10.8M
COST$COSTCOSTCO WHOLESALE CORP /NEW$10.5M
RELX$RELXRELX PLC$8.2M
AMD$AMDADVANCED MICRO DEVICES INC$7.1M
ABBV$ABBVAbbVie Inc.$6.3M
BDX$BDXBECTON DICKINSON & CO$6.2M
GRAL$GRALGRAIL, Inc.$6.2M
CRSP$CRSPCRISPR Therapeutics AG$5.9M
BRK.B$BRK.BBERKSHIRE HATHAWAY INC$5.7M
LLY$LLYELI LILLY & Co$5.5M
V$VVISA INC.$5.0M
CNI$CNICANADIAN NATIONAL RAILWAY CO$4.7M
TMO$TMOTHERMO FISHER SCIENTIFIC INC.$4.5M
DSGX$DSGXDESCARTES SYSTEMS GROUP INC$4.2M
ORCL$ORCLORACLE CORP$3.6M
SPY$SPYSPDR S&P 500 ETF TRUST$3.5M
AMGN$AMGNAMGEN INC$3.2M
UNP$UNPUNION PACIFIC CORP$3.2M
MCD$MCDMCDONALDS CORP$3.0M
BRK.A$BRK.ABERKSHIRE HATHAWAY INC$2.9M
Vanguard Index Funds GROWTH ETF$2.7M
MRK$MRKMerck & Co., Inc.$2.7M
PEP$PEPPEPSICO INC$2.4M
Vanguard Specialized Funds DIV APP ETF$2.3M
CAT$CATCATERPILLAR INC$2.1M
NEE$NEENEXTERA ENERGY INC$1.9M
HON$HONHONEYWELL INTERNATIONAL INC$1.8M
iShares Trust CORE S&P MCP ETF$1.6M
EFX$EFXEQUIFAX INC$1.6M
WMT$WMTWalmart Inc.$1.5M
GLD$GLDSPDR GOLD TRUST$1.5M
XOM.R34088$XOM.R34088EXXON MOBIL CORP$1.4M
TYL$TYLTYLER TECHNOLOGIES INC$1.4M
TSM$TSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD$1.3M
ENVX$ENVXEnovix Corp$1.3M
CSCO$CSCOCISCO SYSTEMS, INC.$1.3M
JPM$JPMJPMORGAN CHASE & CO$1.3M
ISRG$ISRGINTUITIVE SURGICAL INC$1.3M
NXPI$NXPINXP Semiconductors N.V.$1.3M
RTX$RTXRTX Corp$1.3M
CHD$CHDCHURCH & DWIGHT CO INC /DE/$1.2M
MELI$MELIMERCADOLIBRE INC$1.2M
iShares Trust RUS MD CP GR ETF$1.2M
SPGI$SPGIS&P Global Inc.$1.2M
CSX$CSXCSX CORP$1.2M
DE$DEDEERE & CO$1.2M
AXP$AXPAMERICAN EXPRESS CO$1.1M
DIS$DISWalt Disney Co$1.1M
BMY$BMYBRISTOL MYERS SQUIBB CO$1.1M
EMR$EMREMERSON ELECTRIC CO$1.0M
iShares Trust S&P 500 GRWT ETF$1.0M
MTD$MTDMETTLER TOLEDO INTERNATIONAL INC/$955,000
IDXX$IDXXIDEXX LABORATORIES INC /DE$932,000
Vanguard Index Funds TOTAL STK MKT$921,000
BKNG$BKNGBooking Holdings Inc.$910,000
ECL$ECLECOLAB INC.$827,000
TT$TTTrane Technologies plc$822,000
MCO$MCOMOODYS CORP /DE/$814,000
ITW$ITWILLINOIS TOOL WORKS INC$745,000
iShares Trust RUS 1000 GRW ETF$722,000
APD$APDAir Products & Chemicals, Inc.$697,000
CL$CLCOLGATE PALMOLIVE CO$691,000
LIN$LINLINDE PLC$686,000
SBUX$SBUXSTARBUCKS CORP$663,000
META$METAMeta Platforms, Inc.$655,000
VEEV$VEEVVEEVA SYSTEMS INC$646,000
NSC$NSCNORFOLK SOUTHERN CORP$639,000
KO$KOCOCA COLA CO$635,000
EPD$EPDENTERPRISE PRODUCTS PARTNERS L.P.$612,000
KMB$KMBKIMBERLY CLARK CORP$590,000
DRI$DRIDARDEN RESTAURANTS INC$588,000
ZTS$ZTSZoetis Inc.$580,000
TMP$TMPTOMPKINS FINANCIAL CORP$553,000
LOW$LOWLOWES COMPANIES INC$540,000
DUK$DUKDuke Energy CORP$508,000
NFLX$NFLXNETFLIX INC$507,000
NTAP$NTAPNetApp, Inc.$486,000
WAT$WATWATERS CORP /DE/$483,000
Q$QQnity Electronics, Inc.$482,000
INTC$INTCINTEL CORP$480,000
CTVA$CTVACorteva, Inc.$476,000
iShares Trust CORE S&P500 ETF$474,000
FIS$FISFidelity National Information Services, Inc.$473,000
iShares Trust S&P 500 VAL ETF$471,000
CVX$CVXCHEVRON CORP$470,000
QQQ$QQQINVESCO QQQ TRUST, SERIES 1$458,000
INTU$INTUINTUIT INC.$443,000
RVTY$RVTYREVVITY, INC.$441,000
PODD$PODDINSULET CORP$422,000
GE$GEGENERAL ELECTRIC CO$422,000
TXN$TXNTEXAS INSTRUMENTS INC$414,000
Vanguard Index Funds S&P 500 ETF SHS$405,000
GEV$GEVGE Vernova Inc.$404,000
WEC$WECWEC ENERGY GROUP, INC.$400,000
TGT$TGTTARGET CORP$389,000
PEG$PEGPUBLIC SERVICE ENTERPRISE GROUP INC$389,000
Vanguard Index Funds MCAP GR IDXVIP$386,000
TEL$TELTE Connectivity plc$385,000
DD$DDDuPont de Nemours, Inc.$383,000
ORA$ORAORMAT TECHNOLOGIES, INC.$374,000
DELL$DELLDell Technologies Inc.$374,000
ILMN$ILMNILLUMINA, INC.$368,000
MKTX$MKTXMARKETAXESS HOLDINGS INC$365,000
iShares Trust S&P MC 400VL ETF$345,000
Vanguard Whitehall Funds HIGH DIV YLD$343,000
PFE$PFEPFIZER INC$336,000
EFSI$EFSIEAGLE FINANCIAL SERVICES INC$328,000
VZ$VZVERIZON COMMUNICATIONS INC$327,000
STZ$STZCONSTELLATION BRANDS, INC.$325,000
iShares Trust RUS 1000 ETF$321,000
GIS$GISGENERAL MILLS INC$320,000
SHW$SHWSHERWIN WILLIAMS CO$316,000
iShares Trust RUSSELL 3000 ETF$316,000
LRCX$LRCXLAM RESEARCH CORP$315,000
MDLZ$MDLZMondelez International, Inc.$312,000
Vanguard Admiral Funds Inc. 500 GRTH IDX F$308,000
EXR$EXRExtra Space Storage Inc.$308,000
KMX$KMXCARMAX INC$304,000
SPDR Series Trust S&P DIVID ETF$296,000
iShares Trust ESG AWARE MSCI EAFE ETF$284,000
ETN$ETNEaton Corp plc$282,000
PLXS$PLXSPLEXUS CORP$280,000
MDT$MDTMedtronic plc$274,000
AJG$AJGArthur J. Gallagher & Co.$271,000
MRSH$MRSHMARSH & MCLENNAN COMPANIES, INC.$260,000
ROP$ROPROPER TECHNOLOGIES INC$255,000
PSA$PSAPublic Storage$252,000
DHI$DHIHORTON D R INC /DE/$246,000
CTSH$CTSHCOGNIZANT TECHNOLOGY SOLUTIONS CORP$243,000
SYY$SYYSYSCO CORP$239,000
JBL$JBLJABIL INC$239,000
ANET$ANETArista Networks, Inc.$238,000
TER$TERTERADYNE, INC$237,000
DXCM$DXCMDEXCOM INC$233,000
PH$PHParker-Hannifin Corp$231,000
T$TAT&T INC.$231,000
NUE$NUENUCOR CORP$230,000
Vanguard Index Funds VALUE ETF$227,000
RPM$RPMRPM INTERNATIONAL INC/DE/$224,000
CSL$CSLCARLISLE COMPANIES INC$222,000
RIVN$RIVNRivian Automotive, Inc. / DE$222,000
HASI$HASIHA Sustainable Infrastructure Capital, Inc.$215,000
GPN$GPNGLOBAL PAYMENTS INC$215,000
EGP$EGPEASTGROUP PROPERTIES INC$213,000
Vanguard Tax Managed Funds VANGUARD FTSE DEVELOPED MKTS ETF$211,000
PNC$PNCPNC FINANCIAL SERVICES GROUP, INC.$208,000
FISV$FISVFISERV INC$207,000
AUR$AURAurora Innovation, Inc.$91,000

New Positions (11)

TMP$TMP TOMPKINS FINANCIAL CORP$553,000
WAT$WAT WATERS CORP /DE/$483,000
PEG$PEG PUBLIC SERVICE ENTERPRISE GROUP INC$389,000
Vanguard Whitehall Funds HIGH DIV YLD$343,000
KMX$KMX CARMAX INC$304,000
iShares Trust ESG AWARE MSCI EAFE ETF$284,000
TER$TER TERADYNE, INC$237,000
Vanguard Index Funds VALUE ETF$227,000
RIVN$RIVN Rivian Automotive, Inc. / DE$222,000
HASI$HASI HA Sustainable Infrastructure Capital, Inc.$215,000
GPN$GPN GLOBAL PAYMENTS INC$215,000

Exited Positions (14)

NVO$NVO NOVO NORDISK A S
SNA$SNA Snap-on Inc
BSX$BSX BOSTON SCIENTIFIC CORP
QCOM$QCOM QUALCOMM INC/DE
NKE$NKE NIKE, Inc.
PANW$PANW Palo Alto Networks Inc
IVZ$IVZ Invesco Ltd.
ACN$ACN Accenture plc
CLX$CLX CLOROX CO /DE/
ADBE$ADBE ADOBE INC.
CVS$CVS CVS HEALTH Corp
PGR$PGR PROGRESSIVE CORP/OH/
MMM$MMM 3M CO
VST$VST Vistra Corp.

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