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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

JOHNSON INVESTMENT COUNSEL INC INSTITUTION : JOHNSON INVESTMENT COUNSEL INC
JOHNSON INVESTMENT COUNSEL INC Portfolio (reported on 2020-02-13)
Company (links to holding history) Ticker Value On
2019-12-31
No of Shares % of portfolio
IShares Core S&P (500 ETF)    (COMMON EQUITY) IVV 387,731,000 1,199,513 7.29%
Procter And Gamble    (COMMON EQUITY) PG 271,384,000 2,172,808 5.10%
IShares Russell 1000 Index Fund    (COMMON EQUITY) IWB 220,817,000 1,237,625 4.15%
Apple Inc    (COMMON EQUITY) AAPL 199,699,000 680,059 3.75%
Microsoft Corp    (COMMON EQUITY) MSFT 101,145,000 641,378 1.90%
Abbott Laboratories    (COMMON EQUITY) ABT 95,720,000 1,102,008 1.80%
Cincinnati Financial Corporation    (COMMON EQUITY) CINF 91,173,000 862,480 1.71%
IShares TR Rus Mid (Cap ETF)    (COMMON EQUITY) IWR 89,134,000 1,495,035 1.67%
Alphabet Inc Cap STK    (COMMON EQUITY) GOOGL 83,188,000 62,109 1.56%
Zoetis Inc Com    (COMMON EQUITY) ZTS 82,869,000 626,132 1.55%
Vanguard Intl Equity    (COMMON EQUITY) VEU 82,539,000 1,535,602 1.55%
TJX Cos Inc New Com    (COMMON EQUITY) TJX 82,325,000 1,348,268 1.54%
Mastercard    (COMMON EQUITY) MA 80,453,000 269,443 1.51%
Walt Disney Co    (COMMON EQUITY) DIS 76,917,000 528,619 1.44%
Danaher Corp Com    (COMMON EQUITY) DHR 72,279,000 470,415 1.36%
Zimmer Biomet HLDGS    (COMMON EQUITY) ZMH 72,034,000 480,483 1.35%
American Express Co    (COMMON EQUITY) AXP 65,436,000 525,630 1.23%
Chevron Corp New Com    (COMMON EQUITY) CVX 64,857,000 538,191 1.22%
Carlisle Cos Inc Com    (COMMON EQUITY) CSL 64,798,000 400,382 1.21%
Bank Of America Corp    (COMMON EQUITY) BAC 64,649,000 1,835,567 1.21%
Royal Dutch Shell PLC - Class B    (COMMON EQUITY) RDS-B 60,436,000 1,007,763 1.13%
American Tower Corp - CL A    (COMMON EQUITY) AMT 60,082,000 260,303 1.13%
Medtronic PLC    (COMMON EQUITY) MDT 57,345,000 503,118 1.07%
Vanguard FTSE Developed Markets ETF    (COMMON EQUITY) VEA 56,247,000 1,276,604 1.05%
Coca Cola Co    (COMMON EQUITY) KO 55,845,000 1,008,945 1.05%
Marsh & Mclennan Cos    (COMMON EQUITY) MMC 55,624,000 499,269 1.04%
S&P Global Inc Com    (COMMON EQUITY) SPGI 55,145,000 201,961 1.03%
Accenture PLC CLS A    (COMMON EQUITY) ACN 54,676,000 259,658 1.02%
Fidelity Natl Info    (COMMON EQUITY) FIS 54,209,000 389,738 1.02%
Hubbell Incorporated    (COMMON EQUITY) 52,419,000 354,615 0.98%
IShares MSCI USA Minimum Volatility ETF    (COMMON EQUITY) USMV 51,249,000 781,237 0.96%
Comcast Corp New    (COMMON EQUITY) CMCSA 50,819,000 1,130,063 0.95%
Paccar Inc    (COMMON EQUITY) PCAR 49,530,000 608,499 0.93%
Colgate-Palmolive Co    (COMMON EQUITY) CL 48,701,000 707,448 0.91%
Nextera Energy Inc    (COMMON EQUITY) NEE 46,347,000 191,391 0.87%
Waste Management Inc    (COMMON EQUITY) WMI 45,017,000 395,025 0.84%
IShares Russell (Midcap Growth)    (COMMON EQUITY) IWP 44,701,000 292,968 0.84%
First Hawaiian Incorpo F    (COMMON EQUITY) FHB 44,320,000 1,536,224 0.83%
Standard & Poor's Depository Receipts (SPDR Trust Series 1)    (COMMON EQUITY) SPY 43,856,000 135,601 0.82%
Alliant Energy Corp    (COMMON EQUITY) LNT 43,154,000 788,634 0.81%
Xylem Inc.    (COMMON EQUITY) XYL 42,572,000 540,327 0.80%
US Bancorp Del    (COMMON EQUITY) USB 42,539,000 712,423 0.80%
Automatic Data Processing    (COMMON EQUITY) ADP 40,096,000 233,890 0.75%
Willis Towers Watson Public Limited Company    (COMMON EQUITY) WLTW 38,155,000 188,354 0.71%
Alcon Inc    (COMMON EQUITY) 36,556,000 646,152 0.68%
Federal Rlty INVT TR SBI New    (COMMON EQUITY) FRT 36,398,000 280,458 0.68%
Iberiabank Corp Com    (COMMON EQUITY) IBKC 36,054,000 478,930 0.67%
Unilever PLC    (COMMON EQUITY) UL 35,375,000 618,768 0.66%
Amphenol Corporation - Class A    (COMMON EQUITY) APH 33,950,000 312,973 0.63%
CVS Corporation    (COMMON EQUITY) CVS 33,923,000 456,634 0.63%
Axis Capital    (COMMON EQUITY) AXS 33,062,000 552,424 0.62%
Johnson & Johnson    (COMMON EQUITY) JNJ 31,926,000 218,867 0.60%
J.P. Morgan Chase & Company    (COMMON EQUITY) JPM 30,779,000 220,797 0.57%
Walmart Inc Com    (COMMON EQUITY) WMT 28,614,000 239,688 0.53%
The IShares Edge MSCI USA Quality Factor ETF    (COMMON EQUITY) QUAL 28,349,000 280,687 0.53%
JM Smucker Company    (COMMON EQUITY) SJM 27,061,000 259,879 0.50%
Nike Inc Class B    (COMMON EQUITY) NKE 26,879,000 264,674 0.50%
Schwab US Large-Cap ETF    (COMMON EQUITY) SCHX 25,996,000 338,441 0.48%
Sherwin Williams Co    (COMMON EQUITY) SHW 25,976,000 44,514 0.48%
IShares Russell (1000 Growth ETF)    (COMMON EQUITY) IWF 25,646,000 145,782 0.48%
Alphabet Inc Cap STK    (COMMON EQUITY) GOOG 25,283,000 18,910 0.47%
Essex Property TR Reit    (COMMON EQUITY) ESS 24,754,000 81,747 0.46%
Analog Devices, Inc.    (COMMON EQUITY) ADI 23,133,000 194,659 0.43%
Amazon.com Inc    (COMMON EQUITY) AMZN 22,202,000 12,015 0.41%
Exxon Mobil Corp    (COMMON EQUITY) XOM 21,220,000 304,094 0.39%
Pepsico Inc    (COMMON EQUITY) PEP 20,696,000 150,375 0.38%
PNC Finl Svcs Group    (COMMON EQUITY) PNC 20,470,000 128,233 0.38%
Carters Inc    (COMMON EQUITY) CRI 20,135,000 184,151 0.37%
Berkshire Hathaway, Inc. Class B    (COMMON EQUITY) BRK/B 19,828,000 87,539 0.37%
IShares MSCI EAFE Index Fund    (COMMON EQUITY) EFA 18,659,000 268,709 0.35%
3M Company    (COMMON EQUITY) MMM 16,393,000 92,919 0.30%
IShares Russell Midcap Value Index Fund    (COMMON EQUITY) IWS 15,667,000 165,317 0.29%
Union Pacific Corp    (COMMON EQUITY) UNP 15,171,000 83,917 0.28%
Dover Corporation    (COMMON EQUITY) DOV 15,103,000 131,037 0.28%
SPDR S&P Midcap 400 ETF Trust    (COMMON EQUITY) MDY 15,082,000 40,027 0.28%
Starbucks Corp.    (COMMON EQUITY) SBUX 14,845,000 168,843 0.27%
Cisco Systems, Inc.    (COMMON EQUITY) CSCO 14,812,000 308,835 0.27%
Chubb Limited Com    (COMMON EQUITY) CB 13,608,000 87,006 0.25%
Oracle Corp Com    (COMMON EQUITY) ORCL 13,501,000 254,838 0.25%
Cognizant Tech    (COMMON EQUITY) CTSH 12,745,000 205,504 0.23%
Emerson Electric Company    (COMMON EQUITY) EMR 12,672,000 166,164 0.23%
Abbvie, Inc.    (COMMON EQUITY) ABBV 12,380,000 139,824 0.23%
IShares Russell 2000 Index Fund    (COMMON EQUITY) IWM 12,375,000 74,700 0.23%
IShares Russell 1000 Value Index Fund    (COMMON EQUITY) IWD 11,967,000 87,684 0.22%
Schlumberger Limited    (COMMON EQUITY) SLB 11,914,000 292,605 0.22%
IShares Core S&P Small-Cap ETF    (COMMON EQUITY) IJR 11,386,000 135,793 0.21%
Intel Corporation    (COMMON EQUITY) INTC 11,327,000 189,248 0.21%
IShares S&P Midcap 400 Index Fund    (COMMON EQUITY) IJH 11,186,000 54,349 0.21%
Facebook Inc Com    (COMMON EQUITY) FB 9,926,000 48,359 0.18%
Verizon Communications    (COMMON EQUITY) VZ 9,561,000 155,715 0.17%
Bristol-Myers Squibb Company    (COMMON EQUITY) BMY 9,289,000 144,714 0.17%
Northrop Grumman    (COMMON EQUITY) NOC 9,178,000 26,683 0.17%
Norfolk Southern Crp    (COMMON EQUITY) NSC 9,154,000 47,156 0.17%
Vanguard Financials ETF    (COMMON EQUITY) VFH 9,068,000 118,878 0.17%
Vanguard Information Technology Index ETF    (COMMON EQUITY) VGT 8,704,000 35,550 0.16%
Mcdonald's Corporation    (COMMON EQUITY) MCD 8,572,000 43,379 0.16%
Invesco Limited    (COMMON EQUITY) IVZ 8,557,000 475,909 0.16%
Merck & Company, Incorporated    (COMMON EQUITY) MRK 8,217,000 89,747 0.15%
Hershey Co    (COMMON EQUITY) HSY 8,165,000 55,551 0.15%
Amgen Inc.    (COMMON EQUITY) AMGN 8,129,000 33,719 0.15%
IShares Russell 3000 Index    (COMMON EQUITY) IWV 8,114,000 43,050 0.15%
United Healthcare Corp.    (COMMON EQUITY) UNH 8,090,000 27,519 0.15%
Roper Industries    (COMMON EQUITY) ROP 8,079,000 22,808 0.15%
Booking Hldgs Inc    (COMMON EQUITY) 7,714,000 3,756 0.14%
Renaissancere    (COMMON EQUITY) RNR 7,643,000 38,992 0.14%
Becton Dickinson Co    (COMMON EQUITY) BDX 7,599,000 27,939 0.14%
Pfizer Incorporated    (COMMON EQUITY) PFE 7,406,000 189,024 0.13%
Schwab U.S. Mid-Cap ETF    (COMMON EQUITY) SCHM 7,372,000 122,554 0.13%
Vanguard Consumer Staples ETF    (COMMON EQUITY) VDC 7,360,000 45,659 0.13%
IShares S&P 500 Growth ETF    (COMMON EQUITY) IVW 7,316,000 37,784 0.13%
Home Depot, Inc.    (COMMON EQUITY) HD 7,157,000 32,773 0.13%
Lockheed Martin Corporation    (COMMON EQUITY) LMT 6,997,000 17,970 0.13%
Mutualfirst Financial Inc    (COMMON EQUITY) MFSF 6,935,000 174,829 0.13%
Vanguard Consumer Discretionary ETF    (COMMON EQUITY) VCR 6,909,000 36,464 0.13%
Salesforce Com Inc    (COMMON EQUITY) CRM 6,872,000 42,252 0.12%
Schwab International Equity ETF    (COMMON EQUITY) SCHF 6,803,000 202,304 0.12%
International Business Machines Corp.    (COMMON EQUITY) IBM 6,693,000 49,935 0.12%
Phillips 66    (COMMON EQUITY) PSX 6,674,000 59,903 0.12%
American Financial Group Inc. (Formerly American Premier Group, Inc.)    (COMMON EQUITY) AFG 6,627,000 60,442 0.12%
Fifth Third Bancorp    (COMMON EQUITY) FITB 6,422,000 207,308 0.12%
IShares MSCI Acwx Index Fund    (COMMON EQUITY) ACWX 6,221,000 126,644 0.11%
Air Products And Chemicals, Inc.    (COMMON EQUITY) APD 6,170,000 26,128 0.11%
Invesco S&P 500 Top 50 ETF    (COMMON EQUITY) 6,141,000 26,313 0.11%
Vanguard Total Stock Market Vipers    (COMMON EQUITY) VTI 6,114,000 37,370 0.11%
Vanguard Index Funds Small Cap Vipers    (COMMON EQUITY) VB 6,038,000 36,454 0.11%
First Financial Bancorp    (COMMON EQUITY) FFBC 5,872,000 230,826 0.11%
IShares Dj US Technology Sector Index Fund    (COMMON EQUITY) IYW 5,554,000 23,878 0.10%
IShares TR Micro-Cap (ETF)    (COMMON EQUITY) IWC 5,030,000 50,559 0.09%
Teleflex Incorporate    (COMMON EQUITY) TFX 4,940,000 13,122 0.09%
Lowes Cos Inc Com    (COMMON EQUITY) LOW 4,885,000 40,789 0.09%
Vanguard Value ETF    (COMMON EQUITY) VTV 4,770,000 39,800 0.08%
AONPLC Com USD0.01    (COMMON EQUITY) AON 4,632,000 22,237 0.08%
IShares S&P Global Technology Sector Index Fund    (COMMON EQUITY) IXN 4,558,000 21,655 0.08%
Qualcomm, Inc.    (COMMON EQUITY) QCOM 4,454,000 50,478 0.08%
Philip Morris International    (COMMON EQUITY) PM 4,405,000 51,046 0.08%
SPDR Dow Jones Industrial Average ETF Trust    (COMMON EQUITY) DIA 4,372,000 15,288 0.08%
IShares Dow Jones Select Dividend Index Fund    (COMMON EQUITY) DVY 4,369,000 41,351 0.08%
IShares Russell 2000 Growth Index Fund    (COMMON EQUITY) IWO 4,363,000 20,368 0.08%
IShares Russell 2000 Value    (COMMON EQUITY) IWN 4,286,000 33,332 0.08%
Duke Energy Corporation    (COMMON EQUITY) DUK 4,183,000 45,867 0.07%
Altria Group, Inc.    (COMMON EQUITY) MO 4,038,000 79,581 0.07%
Hasbro Inc    (COMMON EQUITY) HAS 4,024,000 38,106 0.07%
United Technologies Corporation    (COMMON EQUITY) UTX 3,912,000 26,120 0.07%
Lilly (Eli) & Company    (COMMON EQUITY) LLY 3,909,000 29,741 0.07%
Schwab US Broad Market ETF    (COMMON EQUITY) SCHB 3,826,000 49,764 0.07%
Visa Inc. Class A Shares    (COMMON EQUITY) V 3,820,000 20,332 0.07%
I Shares S&P 100 Index Fund    (COMMON EQUITY) OEF 3,783,000 26,254 0.07%
Kroger Company    (COMMON EQUITY) KR 3,777,000 130,299 0.07%
Wells Fargo And Company    (COMMON EQUITY) WFC 3,762,000 69,920 0.07%
Vanguard Health Care    (COMMON EQUITY) VHT 3,590,000 18,721 0.06%
Cintas Corporation    (COMMON EQUITY) CTAS 3,578,000 13,297 0.06%
Allstate Corporation    (COMMON EQUITY) ALL 3,560,000 31,521 0.06%
Costco Wholesale    (COMMON EQUITY) COST 3,529,000 12,007 0.06%
Amex Technology Select Spider    (COMMON EQUITY) XLK 3,454,000 37,677 0.06%
General Electric Company    (COMMON EQUITY) GE 3,326,000 297,779 0.06%
Realty Income Corporation    (COMMON EQUITY) O 3,302,000 44,707 0.06%
Linde PLC    (COMMON EQUITY) 3,266,000 15,339 0.06%
Tyler Technologies    (COMMON EQUITY) TYL 3,210,000 10,700 0.06%
IShares Morningstar Large Growth Index    (COMMON EQUITY) JKE 3,199,000 15,225 0.06%
Vanguard Growth ETF    (COMMON EQUITY) VUG 3,190,000 17,511 0.06%
Adobe Systems Inc    (COMMON EQUITY) ADBE 3,135,000 9,504 0.05%
Honeywell International, Inc.    (COMMON EQUITY) HON 3,135,000 17,712 0.05%
Blackstone Group Inc    (COMMON EQUITY) 3,093,000 55,288 0.05%
Boeing Company    (COMMON EQUITY) BA 3,079,000 9,452 0.05%
IShares MSCI Emerging Markets Index    (COMMON EQUITY) EEM 3,037,000 67,693 0.05%
EOG Resources, Inc.    (COMMON EQUITY) EOG 3,036,000 36,241 0.05%
Mondelez International, Inc.    (COMMON EQUITY) MDLZ 2,954,000 53,358 0.05%
IShares Dj US Healthcare Sector Index Fund    (COMMON EQUITY) IYH 2,886,000 13,377 0.05%
Price (T. Rowe) Group    (COMMON EQUITY) TROW 2,882,000 23,652 0.05%
Stryker Corporation    (COMMON EQUITY) SYK 2,841,000 13,498 0.05%
Mc Cormick And Company    (COMMON EQUITY) MKC 2,824,000 16,579 0.05%
Consumer Staples Select Sector SPDR Fund    (COMMON EQUITY) XLP 2,814,000 44,678 0.05%
Texas Instruments, Inc.    (COMMON EQUITY) TXN 2,778,000 21,655 0.05%
Walgreens Boots Alliance, Inc.    (COMMON EQUITY) WBA 2,722,000 46,167 0.05%
V F Corp    (COMMON EQUITY) VFC 2,696,000 27,055 0.05%
Broadcom Inc    (COMMON EQUITY) 2,694,000 8,526 0.05%
Charles River Labs    (COMMON EQUITY) CRL 2,653,000 17,369 0.04%
Dominion Resources    (COMMON EQUITY) D 2,630,000 31,752 0.04%
Schwab US Small-Cap ETF    (COMMON EQUITY) SCHA 2,627,000 34,736 0.04%
IShares Core S & P Total US Stock    (COMMON EQUITY) ISI 2,569,000 35,345 0.04%
Globus Medical Inc Class A    (COMMON EQUITY) GMED 2,505,000 42,547 0.04%
Invesco S&P 500 Low Volatility ETF    (COMMON EQUITY) 2,491,000 42,691 0.04%
Consumer Discretionary Select Sector SPDR Fund    (COMMON EQUITY) XLY 2,484,000 19,802 0.04%
American Electric Power Company, Inc.    (COMMON EQUITY) AEP 2,452,000 25,946 0.04%
CSX Corporation    (COMMON EQUITY) CSX 2,381,000 32,899 0.04%
Illinois Tool Works    (COMMON EQUITY) ITW 2,344,000 12,972 0.04%
Vanguard Dividend Appreciation Index Fund    (COMMON EQUITY) VIG 2,321,000 18,617 0.04%
Energy Select Sector SPDR Fund    (COMMON EQUITY) XLE 2,287,000 37,060 0.04%
Vanguard European Vipers    (COMMON EQUITY) VGK 2,282,000 38,937 0.04%
Target Corporation    (COMMON EQUITY) TGT 2,270,000 17,703 0.04%
Raytheon Company    (COMMON EQUITY) RTN 2,239,000 10,191 0.04%
Chemed Corporation    (COMMON EQUITY) CHE 2,238,000 5,095 0.04%
Financial Select Sector Spider    (COMMON EQUITY) XLF 2,236,000 72,656 0.04%
Tesla Motors, Inc.    (COMMON EQUITY) TSLA 2,095,000 5,008 0.03%
Kimberly-Clark Corporation    (COMMON EQUITY) KMB 2,086,000 15,051 0.03%
Vanguard Emerging Markets    (COMMON EQUITY) VWO 2,071,000 46,578 0.03%
Vertex Pharmaceutcls    (COMMON EQUITY) VRTX 2,060,000 9,410 0.03%
Invesco QQQ TR Unit (ser 1)    (COMMON EQUITY) 2,052,000 9,652 0.03%
Intuitive Surgical, Inc.    (COMMON EQUITY) ISRG 2,040,000 3,451 0.03%
Atmos Energy Corporation    (COMMON EQUITY) ATO 1,970,000 17,615 0.03%
1 2 3 4 Next >Full Portfolio View
Total Value As 2019-12-31: 5,312,436,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
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