BURNS J W & CO INC/NY

Holdings as of 2026-06-30, filed 2026-07-15

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 15 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
189
Value reported by manager
$959.5M
Sum of our stored positions
$959.5M
should match the line above
Disclosure lag
15 d
quarter end to filing
Top 5 concentration
26.2%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

189 largest shown
IssuerClassValueSharesTypeCUSIP
APPLE INCStock$86.4M298,613037833100
ALPHABET CLASS CStock$47.4M134,08502079K107
MICROSOFT CORPStock$44.3M118,654594918104
VANGUARD TOTAL STOCK MARKET ETFETF$37.5M101,396922908769
VISA INCStock$35.4M103,14092826C839
AMAZON INCStock$33.2M139,338023135106
NASDAQ 100 ETFETF$33M44,86246090E103
VANGUARD INTERNATIONAL DIVIDEND ETFETF$32.9M334,655921946794
NVIDIA CORPORATION COMStock$29M145,01767066G104
JPMORGAN CHASE & CO COMStock$25.4M77,57946625H100
VANGUARD DIVIDEND APPRECIATION ETFETF$25.3M106,884921908844
ISHARES CORE S&P MID-CAP ETFETF$23.5M304,712464287507
BERKSHIRE HATHAWAY BStock$20.5M40,953084670702
RTX CORPORATION COMStock$14.4M76,12175513E101
MORGAN STANLEY COM NEWStock$13.6M65,104617446448
JOHNSON & JOHNSON COMStock$13.6M53,495478160104
ISHARES CORE S&P SMALL-CAP ETFETF$13.4M90,166464287804
COSTCO WHOLESALEStock$13.3M14,23022160K105
PALO ALTO NETWORKS INC COMStock$12.7M37,210697435105
MCDONALDS CORP COMStock$12.4M45,870580135101
VANGUARD HIGH DIVIDEND ETFETF$12.3M77,678921946406
NETFLIX INC. COMStock$11.6M162,57564110L106
CHEVRON CORPStock$10.9M66,032166764100
META PLATFORMS INC CL AStock$10.7M18,92930303M102
VANGUARD TOTAL INTERNATIONAL STOCK ETFETF$10.4M122,042921909768
WASTE MANAGEMENT INCStock$10.4M46,57894106L109
S&P TECHNOLOGY SECTOR ETFETF$10.1M52,91481369Y803
ISHARES SHORT-TERM BOND ETFETF$9.4M178,750464288646
SPDR S&P 500 ETFETF$9.4M12,53778462F103
ABBVIE INCStock$9.2M36,40600287Y109
S&P INDUSTRIAL SECTOR ETFETF$8.8M47,48581369Y704
DEERE & CO COMStock$8.8M13,813244199105
STRYKER CORPORATION COMStock$8.2M26,202863667101
AMGEN INC COMStock$8.2M22,691031162100
ALPHABET CLASS AStock$7.7M21,51202079K305
PROCTER & GAMBLE CO COMStock$7.6M52,031742718109
BROADCOM INC COMStock$7.4M19,59311135F101
PEPSICO INCStock$7.3M53,618713448108
APPLIED MATLS INC COMStock$6.6M9,183038222105
INTUITIVE SURGICAL INC COM NEWStock$6.5M16,33846120E602
NORFOLK SOUTHN CORP COMStock$6.4M20,198655844108
DELL TECHNOLOGIES INC CL CStock$6.3M14,63224703L202
S&P FINANCIAL SECTOR ETFETF$5.7M106,20481369Y605
ISHARES SMALL CAP VALUE ETFETF$5.5M40,438464287879
DANAHER CORP DEL COMStock$5.3M27,792235851102
HOME DEPOT INC COMStock$5.2M14,795437076102
ELI LILLY & CO COMStock$5.2M4,335532457108
UNITED RENTALS INC COMStock$5.1M4,539911363109
THERMO FISHER SCIENTIFIC INC COMStock$4.9M9,857883556102
LAM RESEARCH CORP COM NEWStock$4.9M11,214512807306
LOWES COS INC COMStock$4.8M21,950548661107
STARBUCKS CORP COMStock$4.8M47,167855244109
COCA COLA CO COMStock$4.8M58,869191216100
ISHARES INVESTMENT GRADE CORPORATE BOND ETFETF$4.7M43,460464287242
EXXONMOBIL HOLDINGS CORP COM SHSStock$4.7M34,58130233Q108
ISHARES GOLD ETFETF$4.4M58,401464285204
ISHARES HIGH YIELD CORPORATE BOND ETFETF$4.2M52,380464288513
S&P 500 QUALITY ETFETF$3.3M36,80846137V241
CORNING INC COMStock$3M11,627219350105
QUANTA SVCS INC COMStock$2.8M3,89274762E102
YUM BRANDS INC COMStock$2.8M17,526988498101
TJX COS INC NEW COMStock$2.7M17,881872540109
INVESCO S&P 500 EQUAL WEIGHT ETFETF$2.7M12,65546137V357
CATERPILLAR INC COMStock$2.7M2,512149123101
PHILIP MORRIS INTL INC COMStock$2.6M14,600718172109
BOEING CO COMStock$2.6M12,047097023105
PALANTIR TECHNOLOGIES INC CL AStock$2.6M21,97169608A108
CME GROUP INC COMStock$2.5M11,46812572Q105
S&P ENERGY SECTOR ETFETF$2.4M45,31281369Y506
VANECK FALLEN ANGEL HIGH YIELD BOND ETFETF$2.3M79,91592189F437
SPDR CONVERTIBLE SECURITIES ETFETF$2.3M21,08878464A359
ISHARES BIOTECHNOLOGY ETFETF$2.1M10,973464287556
WASTE CONNECTIONS INC COMStock$2.1M12,50094106B101
ISHARES RUSSELL 1000 GROWTH ETFETF$2M16,008464287614
CASEYS GENERAL STORESStock$2M2,460147528103
PAYCHEX INC COMStock$2M19,833704326107
CAPITAL ONE FINL CORP COMStock$1.9M9,52614040H105
INTEL CORP COMStock$1.8M13,201458140100
WALT DISNEY COStock$1.8M18,697254687106
ISHARES U.S. AEROSPACE & DEFENSE ETFETF$1.7M7,074464288760
AMPHENOL CORP CL AStock$1.7M9,622032095101
TESLA INC COMStock$1.6M3,72388160R101
CHURCH & DWIGHT CO INC COMStock$1.6M16,107171340102
BRISTOL-MYERS SQUIBB CO COMStock$1.5M26,774110122108
VANGUARD TOTAL BOND ETFETF$1.5M20,495921937835
VANGUARD VALUE ETFETF$1.5M6,801922908744
MARATHON PETE CORP COMStock$1.4M5,42056585A102
UNION PAC CORP COMStock$1.4M4,986907818108
ISHARES S&P 500 GROWTH ETFETF$1.3M9,746464287309
VANGUARD S&P 500 ETFETF$1.3M1,944922908363
ABBOTT LABORATORIES COMStock$1.3M14,115002824100
SOUTHERN CO COMStock$1.2M13,025842587107
ISHARES U.S. TECHNOLOGY ETFETF$1.2M4,560464287721
AUTODESK INC COMStock$1.1M5,897052769106
SPDR GOLD SHARESETF$1.1M3,07578463V107
NEXTERA ENERGY INC COMStock$1.1M12,80265339F101
M & T BK CORP COMStock$1.1M4,56155261F104
VERIZON COMMUNICATIONS INC COMStock$1.1M25,51792343V104
TRAVELERS COMPANIES INC COMStock$1.1M3,24989417E109
CISCO SYS INC COMStock$1.1M9,02317275R102
INTERNATIONAL BUSINESS MACHS COMStock$1M3,683459200101
INTERCONTINENTAL EXCHANGE INC COMStock$993.5K8,07045866F104
ALTRIA GROUP INC COMStock$918.4K12,76402209S103
CALAMOS CONV & HIGH INCOME FD COM SHSCEF$903.3K66,32512811P108
MERCK & CO INC COMStock$901K7,01258933Y105
ISHARES RUSSELL 3000 ETFETF$889K2,085464287689
HERSHEY CO COMStock$879K5,010427866108
METLIFE INC COMStock$866.9K10,24659156R108
FEDEX CORP COMStock$858.6K2,74231428X106
SPDR DOW JONES ETFETF$810.2K1,55178467X109
NOVARTIS AG SPONSORED ADRADR$770.3K4,91566987V109
MICRON TECHNOLOGY INC COMStock$745.7K646595112103
ISHARES CORE S&P 500 ETFETF$741.9K991464287200
MSCI 400 SOCIAL RESPONSIBLE ETFETF$738.3K5,185464288570
CLOROX CO DEL COMStock$733K7,680189054109
TAIWAN SEMICONDUCTOR MANUFACT SPONSORED ADSADR$729.2K1,527874039100
BLACKROCK INC COMStock$720.2K74909290D101
AUTOMATIC DATA PROCESSING INC COMStock$720.2K3,216053015103
STATE STREET SPDR S&P DIVIDEND ETFETF$715K4,69878464A763
PFIZER INC COMStock$699.3K29,042717081103
ORACLE CORP COMStock$695.5K4,74668389X105
CARRIER GLOBAL CORPORATION COMStock$678.7K9,25314448C104
WALMART INC COMStock$657.1K5,802931142103
STATE STREET SPDR S&P 500 FOSSIL FUEL RESERVES FREE ETFETF$656.8K10,75078468R796
LOCKHEED MARTIN CORP COMStock$653.9K1,284539830109
S&P CONSUMER DISCRETIONARY SECTOR ETFETF$611.6K5,21581369Y407
QUALCOMM INC COMStock$605.1K3,274747525103
NORDSON CORP COMStock$603.4K2,000655663102
HCA HEALTHCARE INC COMStock$577.4K1,48140412C101
AUTOZONE INC COMStock$559.3K175053332102
FERRARI N V COMStock$558.4K1,500N3167Y103
SNAP ON INC COMStock$557.3K1,385833034101
GROUP 1 AUTOMOTIVE INC COMStock$553.2K1,900398905109
CONSOLIDATED EDISON INC COMStock$541.1K4,891209115104
MASTERCARD INCORPORATED CL AStock$515.7K1,00457636Q104
GENERAL DYNAMICS CORP COMStock$512.8K1,448369550108
ARROW ELECTRS INC COMStock$505.8K2,370042735100
NUVEEN ESG INTERNATIONAL EQUITY ETFETF$500.3K12,50067092P805
ARISTA NETWORKS INC COM SHSStock$497.6K2,929040413205
HOWMET AEROSPACE INC COMStock$487.2K1,812443201108
UNITEDHEALTH GROUP INC COMStock$481.3K1,15891324P102
BANK OF AMERICA CORPStock$466.2K8,183060505104
MOTOROLA SOLUTIONS INC COM NEWStock$465.1K1,120620076307
AMERICAN EXPRESS CO COMStock$463.7K1,371025816109
PIMCO 0-5 YEAR HIGH YIELD CORP BOND ETFETF$455.9K4,87572201R783
TOOTSIE ROLL INDS INC COMStock$433.1K10,950890516107
TORONTO DOMINION BK ONT COM NEWStock$404.5K3,331891160509
S&P HEALTHCARE SECTOR ETFETF$404.3K2,54981369Y209
COLGATE PALMOLIVE CO COMStock$399.3K4,355194162103
VANGUARD GROWTH ETFETF$391.2K4,542922908736
GE VERNOVA INC COMStock$365.4K31136828A101
BLACKSTONE INC COMStock$364.8K3,10009260D107
WISDOMTREE U.S. LARGECAP DIVIDEND FUNDETF$361.2K3,75097717W307
SHERWIN WILLIAMS CO COMStock$356.4K1,035824348106
VANECK SEMICONDUCTOR ETFETF$354.2K54092189F676
STATE STR CORP COMStock$352.8K2,080857477103
KEYSIGHT TECHNOLOGIES INC COMStock$351.8K1,00549338L103
TOMPKINS FINL CORP COMStock$326.6K3,455890110109
SHOPIFY INC CL A SUB VTG SHSStock$325.4K2,85082509L107
SCHWAB US AGGREGATE BOND ETFETF$323.8K14,000808524839
3M CO COMStock$313.9K1,93988579Y101
WW GRAINGER INC COMStock$302K222384802104
AIR PRODUCTS AND CHEMICALS INC COMStock$299.9K1,023009158106
VANGUARD INFORMATION TECHNOLOGY ETFETF$296.3K2,47992204A702
ISHARES MSCI USA MIN VOL FACTOR ETFETF$289.4K3,00046429B697
L3 HARRIS TECHNOLOGIESStock$286.8K987502431109
GE AEROSPACE COM NEWStock$278.4K745369604301
ISHARES ULTRA SHORT TERM BOND ETFETF$275.7K5,45046434V878
MARRIOTT INTL INC NEW CL AStock$265K715571903202
LATTICE SEMICONDUCTOR CORP COMStock$260K1,700518415104
COCA COLA CONSOLIDATEDStock$256.8K1,345191098102
AT&T INC COMStock$253.9K12,26400206R102
DOVER CORP COMStock$248.5K1,108260003108
ISHARES MSCI EMERGING MARKETS ETFETF$247.2K3,613464287234
STATE STREET SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETFETF$246.3K4,55078470E106
ECOLAB INC COMStock$244.6K878278865100
ISHARES RUSSELL 1000 VALUE ETFETF$242.4K1,000464287598
VANGUARD MID-CAP ETFETF$241.7K3,000922908629
DUKE ENERGY CORP NEW COM NEWStock$241.1K1,90526441C204
ZIMMER BIOMET HOLDINGS INC COMStock$239.4K2,78198956P102
ISHARES S&P 500 VALUE ETFETF$237.1K1,044464287408
ISHARES ESG SELECT SCREENED S&P MID-CAP ETFETF$226.9K4,35046436E551
BOOKING HOLDINGS INC COMStock$222.8K1,25009857L108
JPMORGAN EQUITY PREMIUM INCOME ETFETF$216.9K3,84046641Q332
BIOGEN INC COMStock$216.1K1,00009062X103
TEXAS INSTRS INC COMStock$212.8K714882508104
OGE ENERGY CORP COMStock$209.2K4,300670837103
NOVO-NORDISK A S ADRADR$208.5K4,350670100205
FEDEX FREIGHT COStock$206.9K1,370314352105
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-15

BURNS J W & CO INC/NY — 189 positions reported for 2026Q2 — Tapewire