BOWEN HANES & CO INC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 10, 2026, for the 2025 Q4 period, BOWEN HANES & CO INC held in its portfolio 154 assets valued at $3,985,481 (i.e. $3.99M).

The most valuable assets in the portfolio included: NVIDIA CORP COM ($139.42K), APPLE INC ($135.48K), and ATI INC ($135.15K).

The chart below shows the top 10 valuable assets, and the table below shows the top 154 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in BOWEN HANES & CO INC Portfolio
NVIDIA CORP COM
APPLE INC
ATI INC
CORNING
LILLY ELI & COMPANY
AMERICAN EXPRESS
GE VERNOVA INC
INTUITIVE SURGICAL
MICROSOFT
TELEDYNE TECHNOLOGIES
BOWEN HANES & CO INC - Stock Holdings in 13F Filings (SEC)
Items per page:
0 of 0
Name of Issuer No. of Shares Value ($) Class
NVIDIA CORP COM 747545 139417 COM
APPLE INC 498335 135477 COM
ATI INC 1177705 135153 COM
CORNING 1431349 125329 COM
LILLY ELI & COMPANY 115294 123904 COM
AMERICAN EXPRESS 320608 118609 COM
GE VERNOVA INC 176329 115243 COM
INTUITIVE SURGICAL 179190 101486 COM
MICROSOFT 196541 95051 COM
TELEDYNE TECHNOLOGIES 185504 94742 COM
PALO ALTO NETWORKS 505656 93142 COM
JPMORGAN CHASE 277219 89326 COM
PARKER-HANNIFIN 100220 88089 COM
COSTCO WHOLESALE 95694 82521 COM
S & P GLOBAL 153972 80464 COM
NETFLIX INC 814694 76386 COM
VISA 209247 73385 COM
UNION PACIFIC 313143 72436 COM
HOME DEPOT 209079 71944 COM
WHEATON PRECIOUS METALS (CA) 594385 69852 COM
ROLLS ROYCE HOLDINGS ADR (GB) 4313880 67814 COM
AMAZON.COM INC 292402 67492 COM
DEERE & CO 143247 66692 COM
BLACKSTONE INC 431407 66497 COM
MOTOROLA SOLUTIONS 172300 66046 COM
EATON CORP (IL) 203355 64771 COM
WELLTOWER 345956 64213 COM
BOEING 283670 61590 COM
CHARLES SCHWAB CORP 613293 61274 COM
VERTEX PHARMACEUTICALS 133504 60525 COM
ELANCO ANIMAL HEALTH 2623770 59376 COM
THERMO FISHER SCIENTIFIC 101505 58817 COM
TEXAS INSTRUMENTS 333162 57800 COM
CAMECO (CA) 573975 52513 COM
HAWKINS INC COM 364970 51848 COM
FAIR ISAAC CORP 30000 50719 COM
CARPENTER TECHNOLOGY COM 160000 50374 COM
ASML HOLDING (NE) 44980 48122 COM
PROCTER & GAMBLE 332618 47667 COM
SOLSTICE ADVANCED MATL 979398 47579 COM
BADGER METER INC 257280 44872 COM
TE CONNECTIVITY (SZ) 195000 44364 COM
ARISTA NETWORKS INC COM SHS 325000 42585 COM
MASTEC INC COM 195440 42483 COM
MITSUBISHI ELEC CORP (JP) 650000 37700 COM
ITT INC 213000 36958 COM
PROLOGIS 289170 36915 COM
VIAVI SOLUTIONS 1870000 33323 COM
ENTERPRISE PRODUCTS PARTNERS L 1018000 32637 COM
SUNOCO LP 600000 31446 COM
EQUINIX 40000 30646 COM
WEYERHAEUSER 1139310 26990 COM
BROOKFIELD INFRASTRUCTURE PART 742523 25795 UNT
FABRINET SHS (CI) 50000 22764 COM
ROLLINS INC 372645 22366 COM
BROOKFIELD RENEWABLE PARTNERS 780705 21056 UNT
NATIONAL HEALTH INVESTORS INC 260000 19856 COM
SUBURBAN PROPANE PARTNERS LP 1016000 18837 UNT
ENERGY TRANSFER LP 975000 16078 COM
MASTERCARD INC CL A 28100 16042 COM
KKR & CO INC 119195 15195 COM
AUTOMATIC DATA PROCESSING 48067 12364 COM
CHARTWELL RETIREMENT (CA) 840000 12312 COM
ALPHABET INC CLASS C 36941 11592 COM
HONEYWELL INT'L 47773 9320 COM
XYLEM 66427 9046 COM
ULTA BEAUTY INC 13290 8041 COM
JOHNSON & JOHNSON 38424 7952 COM
IBM 26490 7847 COM
CHURCH AND DWIGHT 84176 7058 COM
AVERY DENNISON 33114 6023 COM
WALMART 50540 5631 COM
WASTE MANAGEMENT 24629 5411 COM
GARMIN LTD (SZ) 23535 4774 COM
NEXTERA ENERGY 56039 4499 COM
L3HARRIS 13630 4001 COM
MCCORMICK & CO 58518 3986 COM
LOCKHEED MARTIN 7873 3808 COM
PEPSICO 25523 3663 COM
CATERPILLAR 6029 3454 COM
COLGATE PALMOLIVE 42637 3369 COM
CISCO SYSTEMS 42590 3281 COM
EMERSON ELECTRIC 24309 3226 COM
MARRIOTT INT'L 10338 3207 COM
CANADIAN NAT'L RWY ADR (CA) 31946 3158 COM
ALPHABET INC CLASS A 9853 3084 COM
ABBVIE INC 11940 2728 COM
CANADIAN PACIFIC KANSAS CITY L 33367 2457 COM
ROCKWELL AUTOMATION 5735 2231 COM
CHUBB LTD (SZ) 7095 2214 COM
SERVICE NOW INC 14250 2183 COM
MCDONALD'S 6817 2083 COM
CANADIAN NATURAL RESOURCES ADR 60800 2058 COM
VULCAN MATERIALS 7194 2052 COM
TRANE TECHNOLOGIES PLC (IL) 5135 1999 COM
ORACLE CORP COM 10040 1957 COM
ZOETIS 14166 1782 COM
COCA-COLA 24802 1734 COM
VERTIV HOLDINGS 10645 1725 COM
MARSH & MCLENNAN 8911 1653 COM
AMERICAN WATER WORKS 12413 1620 COM
VERIZON COMMUNICATIONS 32074 1306 COM
BOSTON SCIENTIFIC CORP COM 13170 1256 COM
CUMMINS INC 2400 1225 COM
WALT DISNEY 10445 1188 COM
BROOKFIELD RENEWABLE CORP-A (C 28620 1097 COM
BANK OF NOVA SCOTIA ADR (CA) 14267 1051 COM
GE HEALTHCARE TECHNOLOGIES INC 12465 1022 COM
CHECK POINT SOFTWARE TECH (IS) 5450 1011 COM
TAIWAN SEMICONDUCTOR MFG (TW) 3290 1000 COM
RTX CORP 5258 964 COM
MEDTRONIC PLC (IL) 9904 951 COM
FEDEX CORPORATION 3285 949 COM
KIMBERLY-CLARK 9330 941 COM
PFIZER 35984 896 COM
DUKE ENERGY CORP NEW 7143 837 COM
CHEVRON 5463 833 COM
ENTERGY CORP 8480 784 COM
STATE STREET 6038 779 COM
INT'L PAPER 19370 763 COM
LOWE'S COMPANIES 3083 743 COM
UNITED PARCEL SERVICE 6640 659 COM
SNAP-ON 1870 644 COM
KINDER MORGAN 21075 579 COM
BRISTOL-MYERS SQUIBB 10045 542 COM
EQUIFAX 2486 539 COM
TETRA TECH 15975 536 COM
CAPITAL ONE FINANCIAL CP 2174 527 COM
META PLATFORMS 795 525 COM
NORFOLK SOUTHERN 1775 512 COM
ROCHE HOLDING AG (SZ) 9550 492 COM
LAM RESEARCH CORP 2650 454 COM
TESLA MOTORS INC 1000 450 COM
3M COMPANY 2495 399 COM
EXXON MOBIL 3305 398 COM
NOVARTIS AG ADS (SZ) 2800 386 COM
NEWMONT CORP 3844 384 COM
CITIGROUP INC 3220 376 COM
GILEAD SCIENCES 3020 371 COM
AON PLC 1035 365 COM
GENERAC HOLDINGS 2520 344 COM
ABBOTT LABORATORIES 2636 330 COM
AUTODESK INC COM 1000 296 COM
ACCENTURE LTD (IL) 1076 289 COM
MANULIFE FINL CORP ADR (CA) 7160 260 COM
AIR PRODUCTS AND CHEMICALS 1045 258 COM
PNC FINL SVCS GROUP 1228 256 COM
MONDELEZ INTERNATIONAL 4445 239 COM
MERCK & CO INC NEW 2204 232 COM
BROOKFIELD INFRASTRUCTURE CORP 4927 224 COM
AGILENT TECHNOLOGIES 1600 218 COM
WABTEC 1000 213 COM
INGERSOLL RAND (IL) 2646 210 COM
CROWN CASTLE INT'L 2270 202 COM