Reynders McVeigh Capital Management, LLC

Holdings as of 2026-06-30, filed 2026-09-15

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 77 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
196
Value reported by manager
$2.3M
Sum of our stored positions
$2.3M
should match the line above
Disclosure lag
77 d
quarter end to filing
Top 5 concentration
26.7%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

196 largest shown
IssuerClassValueSharesTypeCUSIP
NVIDIA Corp.COM$185.3K925,98167066G104
Apple Inc.COM$135K466,656037833100
Rockwell Automation, Inc.COM$97.7K197,440773903109
Analog Devices Inc.COM$95.7K240,828032654105
Amphenol CorporationCL A$89.2K505,694032095101
Alphabet Inc.CAP STK CL C$86.5K241,93702079K305
Microsoft Corp.COM$82K219,809594918104
Applied Materials Inc.COM$76.6K105,987038222105
MasterCard IncorporatedCOM$72.8K141,82857636Q104
Carrier Global CorporationCOM$67.4K918,21914448C104
UL Solutions Inc.CLASS A COM SHS$61.9K608,136903731107
Alphabet Inc.CAP STK CL C$56.3K159,38402079K107
Xylem, Inc.COM$47.8K404,42098419M100
The TJX Companies Inc.COM$45.2K298,592872540109
International Business Machines Corp.COM$42.4K150,929459200101
Stryker CorporationCOM$42.3K134,256863667101
Broadcom IncCOM$42.2K111,71011135F101
Danaher CorporationCOM$40.5K212,366235851102
Arm Holdings PLCSPONSORED ADR$40.4K114,025042068205
Amazon.com, Inc.COM$39.8K166,954023135106
Crown Holdings IncCOM$39.7K355,461228368106
Abbott LaboratoriesCOM$37.7K415,235002824100
Cloudflare IncCL A COM$35K142,66918915M107
T-Mobile US IncCOM$34.3K204,751872590104
Home Depot Inc.COM$34.3K97,211437076102
Veralto Corp.COM SHS$30.4K342,37692338C103
Vertex Pharmaceuticals IncorporatedCOM$27.1K54,49992532F100
Sharkninja Inc.COM SHS$26.3K172,607G8068L108
Unilever PLCSPONSORED ADR$24.9K413,512904767803
Waste Management, Inc.COM$24.5K109,86694106L109
Aptargroup Inc.COM$23.4K186,679038336103
ASML Holding N.V.N Y REGISTRY SHS$22.1K11,096N07059210
The New York Times CompanyCL A$22K315,063650111107
Vertiv Holdings CoCOM CL A$22K65,55992537N108
Airbnb IncCOM CL A$21.4K149,240009066101
Tesla IncCOM$20.7K49,23388160R101
Rocket Companies IncCOM CL A$20.1K1,274,67077311W101
Johnson & JohnsonCOM$19.4K76,513478160104
Advanced Micro Devices Inc.COM$19.3K33,203007903107
Nextpower Inc.CLASS A COM$18.8K157,89765290E101
The Procter & Gamble Co.COM$18.7K127,833742718109
Interface, Inc.COM$17.6K489,736458665304
Automatic Data Processing, Inc.COM$12.9K57,695053015103
Sofi Technologies IncCOM$12.5K699,53883406F102
Broadridge Financial Solutions Inc.COM$12K87,44711133T103
Novartis AGSPONSORED ADR$11.2K71,57566987V109
Sensient Technologies CorpCOM$10.7K86,52681725T100
Salesforce Inc.COM$10.5K67,16379466L302
Costco Wholesale CorporationCOM$10K10,72122160K105
AbbVie Inc.COM$7.3K29,16700287Y109
Eli Lilly & Co.COM$7.1K5,915532457108
Uber Technologies IncCOM$6.8K94,29190353T100
Alcon AGCOM$6.2K91,765H01301128
Berkshire Hathaway Inc.CL B NEW$6K11,890084670702
Visa IncCOM CL A$5.7K16,67792826C839
Canadian National Railway CompanyCOM$5.4K45,658136375102
GRAIL IncCOM$4.9K71,304384747101
Thermo Fisher Scientific IncCOM$4.6K9,082883556102
Spdr S&P 500 Etf Trust TR UNITTR UNIT$3.9K5,15778462F103
Descartes Systems Group Inc.COM$3.7K54,027249906108
Union Pacific CorporationCOM$3.6K13,190907818108
Vanguard Index Funds GROWTH ETFGROWTH ETF$3.5K40,913922908736
Oracle Corp.COM$3.3K22,36268389X105
Amgen Inc.COM$3.2K8,882031162100
Caterpillar IncCOM$3.1K2,930149123101
Berkshire Hathaway Inc.CL B NEW$3K4084670108
Merck & Co., IncCOM$2.9K22,37958933Y105
McDonald's Corp.COM$2.4K8,875580135101
Vanguard Specialized Funds DIV APP ETFDIV APP ETF$2.1K8,966921908844
Taiwan Semiconductor Manufacturing Co., Ltd.SPONSORED ADS$1.9K3,884874039100
Pepsico IncCOM$1.8K13,622713448108
NextEra Energy IncCOM$1.8K20,67765339F101
Cisco Systems, Inc.COM$1.8K15,36117275R102
iShares Trust CORE S&P MCP ETFCORE S&P MCP ETF$1.8K23,015464287507
CRISPR Therapeutics AGNAMEN AKT$1.7K31,065H17182108
NXP Semiconductors NVCOM$1.7K5,925N6596X109
Intel CorporationCOM$1.5K10,455458140100
JPMorgan Chase & Co.COM$1.4K4,26346625H100
Walmart IncCOM$1.4K12,084931142103
Equifax Inc.COM$1.4K8,613294429105
CSX CorporationCOM$1.4K28,634126408103
iShares Trust RUS MD CP GR ETFRUS MD CP GR ETF$1.4K9,250464287481
Becton, Dickinson and CompanyCOM$1.3K8,891075887109
Deere & CompanyCOM$1.3K2,042244199105
Spdr Gold Trust GOLD SHSGOLD SHS$1.3K3,48878463V107
Church & Dwight Co Inc.COM$1.3K13,087171340102
American Express CompanyCOM$1.3K3,711025816109
iShares Trust S&P 500 GRWT ETFS&P 500 GRWT ETF$1.2K8,895464287309
RTX Corp.COM$1.2K6,34775513E101
Mercadolibre IncCOM$1.2K70858733R102
Vanguard Index Funds TOTAL STK MKTTOTAL STK MKT$1.1K3,071922908769
S&P Global IncCOM$1.1K2,76978409V104
Emerson Electric Co.COM$1.1K7,826291011104
Exxon Mobil Corp.COM$1.1K8,09930231G102
Intuitive Surgical Inc.COM$1.1K2,76046120E602
Walt Disney CompanyCOM$1.1K11,014254687106
Mettler-Toledo International IncCOM$1.1K827592688105
Bristol-Myers Squibb CompanyCOM$1K17,998110122108
Tyler Technologies Inc.COM$9813,354902252105
Dell Technologies IncCL C$9772,26524703L202
Trane Technologies PLCSHS$9691,973G8994E103
Booking Holdings IncCOM$9635,40209857L108
Ecolab Inc.COM$9133,277278865100
Honeywell International Inc.COM$8974,005438516106
Honeywell Aerospace Inc.COM$8854,00543849R105
IDEXX Laboratories Inc.COM$8731,65845168D104
iShares Trust RUS 1000 GRW ETFRUS 1000 GRW ETF$8466,812464287614
Moodys Corp.COM$8451,866615369105
Illinois Tool Works Inc.COM$7472,764452308109
NetApp Inc.COM$7354,75064110D104
Qnity Electronics Inc.COMMON STOCK$7294,46774743L100
Air Products & Chemicals, Inc.COM$7272,478009158106
Starbucks Corp.COM$7267,105855244109
Colgate-Palmolive Co.COM$7067,703194162103
Linde PLCSHS$7051,359G54950103
Invesco QQQ Trust, Series 1 UNIT SER 1UNIT SER 1$70295346090E103
Norfolk Southern CorporationCOM$7002,224655844108
Coca-Cola Co (The)COM$6798,353191216100
Texas Instruments IncorporatedCOM$6392,145882508104
Kimberly-Clark CorporationCOM$6225,670494368103
Darden Restaurants, Inc.COM$6183,000237194105
Tompkins Financial Corp.COM$6116,468890110109
Corteva IncCOM$6097,19022052L104
Meta Platforms IncCL A$6081,08030303M102
Veeva Systems IncCL A COM$6043,404922475108
iShares Trust ESG MSCI LEADRESG MSCI LEADR$5784,35646435U218
Lam Research CorporationCOM NEW$5741,324512807306
Enterprise Products Partners L.P.COM$56515,371293792107
Revvity IncCOM$5605,030714046109
GE Vernova Inc.COM$55547236828A101
GE AerospaceCOM NEW$5451,459369604301
iShares Trust S&P 500 VAL ETFS&P 500 VAL ETF$5072,233464287408
Lowes Companies, Inc.COM$5042,284548661107
Illumina IncCOM$4992,839452327109
Duke Energy CorpCOM$4913,87726441C204
iShares Trust CORE S&P500 ETFCORE S&P500 ETF$484647464287200
Enovix CorporationCOM$47377,882293594107
Vanguard Index Funds MCAP GR IDXVIPMCAP GR IDXVIP$4591,500922908538
Dupont De Nemours IncCOM$4463,28826614N102
Micron Technology Inc.COM$439381595112103
Waters CorporationCOM$4331,155941848103
Plexus CorpCOM$4151,380729132100
WEC Energy Group Inc.COM$4033,45592939U106
Fidelity National Information Services IncCOM$39210,09331620M106
Eagle Financial Services IncCOM$3899,37526951R104
Carmax IncCOM$3877,320143130102
Teradyne Inc.COM$387800880770102
SPDR Series Trust S&P DIVID ETFS&P DIVID ETF$3852,52978464A763
Palo Alto Networks IncCOM$3821,120697435105
iShares Trust ESG AWARE MSCI EAFE ETFESG AW MSCI EAFE$3793,68246435G516
Vanguard Admiral Funds Inc. 500 GRTH IDX F500 GRTH IDX F$3754,536921932505
TE Connectivity PLCORD SHS$3701,837G87052109
Ormat Technologies Inc.COM$3703,395686688102
Chevron Corp.COM$3672,212166764100
iShares Trust RUSSELL 3000 ETFRUSSELL 3000 ETF$363851464287689
Netflix, Inc.COM$3615,05964110L106
iShares Trust RUS 1000 ETFRUS 1000 ETF$359877464287622
Zoetis Inc.CL A$3524,90498978V103
Target Corp.COM$3482,66187612E106
Jabil IncCOM$347900466313103
iShares Trust S&P MC 400VL ETFS&P MC 400VL ETF$3402,300464287705
The Sherwin-Williams CompanyCOM$339985824348106
Vanguard Index Funds S&P 500 ETF SHSS&P 500 ETF SHS$338492922908363
Eaton Corporation PLCSHS$337790G29183103
Verizon Communications Inc.COM$3377,94892343V104
D.R. Horton, Inc.COM$3201,96623331A109
Insulet CorporationCOM$3062,01345784P101
Nucor CorporationCOM$3031,358670346105
Invesco Exchange-Traded Fund Trust S&P500 EQL WGTS&P500 EQL WGT$2971,39546137V357
Corning IncorporatedCOM$2951,154219350105
Pfizer Inc.COM$29312,172717081103
Constellation Brands, Inc.CL A$2912,09221036P108
Gallagher Aj &CoCOM$2871,250363576109
General Mills, Inc.COM$2848,150370334104
Arista Networks IncCOM$2791,640040413205
Extra Space Storage Inc.COM$2761,89830225T102
Rivian Automotive IncCOM CL A$27415,76776954A103
Public StorageCOM$26382874460D109
RPM International Inc.COM$2502,250749685103
Marsh & McLennan Companies, Inc.COM$2381,425571748102
Vanguard Tax Managed Funds VANGUARD FTSE DEVELOPED MKTS ETFVAN FTSE DEV MKT$2353,295921943858
Eastgroup Properties, Inc.COM$2331,150277276101
Global Payments IncCOM$2323,20037940X102
3M CompanyCOM$2301,42088579Y101
DexCom IncCOM$2283,390252131107
Roper Technologies IncCOM$228674776696106
HA Sustainable Infrastructure Capital IncCOM$2285,83941068X100
MKS Inc.COM$22851355306N104
Parker-Hannifin Corp.COM$225230701094104
iShares Trust RUSSELL 2000 ETFRUSSELL 2000 ETF$223742464287655
QUALCOMM Inc.COM$2221,200747525103
Sysco CorporationCOM$2152,576871829107
PNC Financial Services Group Inc.COM$211856693475105
The Progressive CorporationCOM$208952743315103
Select Sector Spdr Trust TECHNOLOGYST STR TECHN ETF$2021,05881369Y803
Aurora Innovation IncCLASS A COM$15122,178051774107
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 2026-09-15

Reynders McVeigh Capital Management, LLC — 196 positions reported for 2026Q2 — Tapewire