HolderBook

TRADITION ASSET MANAGEMENT LLC

Reported holdings as of Q2 2020, from 5 quarterly filings.

This filer last reported in Q2 2020; the most recent quarter on file across all filers is Q2 2026. Firms that restructure stop filing under one CIK and start under another, so a successor entity may hold these positions now under a similar name.

CIK
1778396
Reported value
$349.8M
Positions
174
Top 10 weight
23.1%
Filed
2020-08-06
Days after quarter end
37

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
MICROSOFT CORPMSFT$11.1M54,4133.17%-0.02pp5q-10.1%-$1.2M
JOHNSON & JOHNSONJNJ$10.7M75,8473.05%-0.34pp5q-2.0%-$212.8K
MERCK & CO INCMRK$10.0M129,1672.86%-0.38pp5q+2.5%+$245.5K
STATE STR SPDR S&P 500 ETF TSPY$8.7M28,3622.50%+0.08pp5q+1.0%+$83.0K
ABBVIE INCABBV$7.8M79,8292.24%+0.17pp5q-1.8%-$147.5K
SPDR SERIES TRUSTSPYG$6.8M150,9771.94%+0.76pp5q+52.7%+$2.3M
NOVARTIS AGNVS$6.6M75,6641.89%+0.05pp5q+13.5%+$783.6K
CVS HEALTH CORPCVS$6.5M100,2431.86%-0.20pp5q-3.5%-$236.1K
APPLE INCAAPL$6.4M17,6421.84%+0.15pp5q-11.0%-$798.8K
SPDR SERIES TRUSTSPTM$6.3M166,5741.80%+0.06pp5q+0.7%+$41.1K
AVERY DENNISON CORPAVY$6.3M54,8281.79%-0.14pp5q-3.1%-$203.1K
JPMORGAN CHASE & COJPM$6.0M63,7401.71%-0.20pp5qHELD
CITIZENS FINL GROUP INCCFG$5.7M225,8891.63%+0.04pp5q-10.7%-$684.3K
EVEREST GROUP LTDEG$5.7M27,4391.62%+0.23pp5q+27.6%+$1.2M
QUALCOMM INCQCOM$5.6M61,4651.60%+0.22pp5q+0.8%+$43.3K
INTEL CORPINTC$5.4M90,6181.55%-0.07pp5q+0.9%+$47.0K
LINCOLN NATL CORP INDLNC$5.4M146,5531.54%+0.21pp5q-3.1%-$170.2K
BRISTOL-MYERS SQUIBB COBMY$5.4M91,4791.54%-0.21pp5q-2.6%-$142.3K
CISCO SYS INCCSCO$5.1M110,2511.47%+0.17pp5q+11.4%+$525.4K
MARSH & MCLENNAN COS INCMRSH$5.1M47,4331.46%+0.09pp5qHELD
ZOETIS INCZTS$5.0M36,7701.44%-0.05pp5q-3.0%-$154.6K
THERMO FISHER SCIENTIFIC INCTMO$5.0M13,8961.44%+0.09pp5q-2.5%-$130.4K
HASBRO INCHAS$5.0M66,1911.42%-newNEW
LOWES COS INCLOW$4.9M36,5401.41%+0.41pp5q+4.9%+$230.8K
UNILEVER PLCULXXXX$4.9M89,6451.41%-0.11pp5qHELD
ABBOTT LABORATORIESABT$4.7M51,4901.35%-0.03pp5q-1.4%-$65.4K
CITIGROUP INCC$4.5M88,9111.30%-0.45pp5q-28.5%-$1.8M
3M COMMM$4.5M28,7291.28%-0.03pp5qHELD
AT&T INCT$4.4M146,0891.26%+0.37pp5q+58.6%+$1.6M
WILLIS TOWERS WATSON PLC LTDWTW$4.4M22,3081.26%-0.03pp5q-1.4%-$63.0K
ALPHABET INCGOOG$4.4M3,0811.25%-0.09pp5q-10.0%-$486.2K
TEXAS INSTRS INCTXN$4.2M33,1261.20%+0.10pp5qHELD
WALGREENS BOOTS ALLIANCE INCWBA$3.8M90,0201.09%-newNEW
INTERNATIONAL BUSINESS MACHSIBM$3.6M29,9221.03%flat5q+7.7%+$259.6K
DIAGEO PLCDEO$3.5M25,8150.99%-0.17pp5q-5.4%-$198.2K
VERISK ANALYTICS INCVRSK$3.5M20,3610.99%+0.03pp5q-1.8%-$61.8K
ISHARES TRIYW$3.4M12,5970.97%-newNEW
PHILLIPS 66PSX$3.2M44,2800.91%-0.03pp5q-15.3%-$576.8K
NESTLE SA ADRNSRGY$3.2M28,6620.90%-0.12pp5q-4.1%-$135.8K
META PLATFORMS INCMETA$3.2M13,9040.90%+0.03pp5q-11.0%-$391.7K
ALIBABA GROUP HLDG LTDBABA$3.0M14,0430.87%-0.12pp5q-7.4%-$242.7K
KIMBERLY-CLARK CORPKMB$2.9M20,3210.82%-0.07pp5q-2.0%-$60.1K
PACKAGING CORP AMERPKG$2.8M28,2790.81%-0.10pp5q-9.8%-$307.4K
FEDEX CORPFDX$2.8M19,8230.79%+0.09pp5q+13.7%+$335.8K
Elements US Portfolio$2.7M217,1130.79%-0.04pp5q-10.5%-$320.7K
LABORATORY CORP AMER HLDGSLH$2.7M16,4290.78%+0.09pp5qHELD
GENERAL DYNAMICS CORPGD$2.7M18,1020.77%-newNEW
AMAZON COM INCAMZN$2.7M9620.76%+0.02pp5q-15.7%-$493.6K
GOLDMAN SACHS GROUP INCGS$2.6M13,0100.74%-0.04pp5q-12.8%-$377.4K
COLGATE PALMOLIVE COCL$2.5M33,8660.71%-0.06pp5q-2.4%-$61.5K
HOME DEPOT INCHD$2.4M9,6640.69%+0.09pp5qHELD
SKYWORKS SOLUTIONS INCSWKS$2.4M18,3950.67%+0.20pp2q+16.9%+$340.6K
COSTCO WHOLESALE CORPORATIONCOST$2.3M7,5480.65%-0.07pp5q-0.6%-$13.6K
KINDER MORGAN INC DELKMI$2.3M150,7620.65%-0.03pp5q+3.2%+$70.2K
VERIZON COMMUNICATIONS INCVZ$2.2M40,1390.63%-0.06pp5q+3.5%+$74.7K
DISNEY WALT CODIS$2.2M19,7810.63%-0.02pp5q-1.8%-$40.9K
PRUDENTIAL FINL INCPRU$2.2M36,1660.63%-0.17pp5q-21.7%-$609.4K
AMERICAN EXPRESS COAXP$2.2M22,7640.62%-0.07pp5q-5.3%-$120.4K
PNC FINL SVCS GROUP INCPNC$2.1M19,9650.60%-0.20pp5q-20.1%-$529.7K
LINDE PLCLINXXXX$2.1M9,8370.60%+0.03pp5qHELD
NXP SEMICONDUCTORS N VNXPI$2.1M18,2100.59%+0.01pp5q-13.1%-$311.8K
CARMAX INCKMX$2.1M23,0270.59%+0.15pp5q-6.4%-$141.0K
HUNTINGTON BANCSHARES INCHBAN$2.0M223,3050.58%-0.14pp5q-14.0%-$329.4K
ILLINOIS TOOL WKS INCITW$2.0M11,5050.57%+0.02pp5q-2.0%-$40.2K
MSC INDL DIRECT INCMSM$1.9M26,4150.55%-0.03pp4q-15.8%-$361.4K
MEDTRONIC PLCMDT$1.8M19,7980.52%-0.07pp5q+1.9%+$33.5K
SPDR SERIES TRUSTSPYV$1.8M62,3480.52%+0.02pp5q+8.4%+$139.5K
VANGUARD INDEX FDSVUG$1.7M8,6100.50%+0.07pp5q+5.4%+$88.5K
NEWMONT CORPNEM$1.7M27,8670.49%-newNEW
ARES MANAGEMENT CORPORATIONARES$1.6M40,6520.46%+0.02pp5q-5.3%-$89.7K
BOEING COBA$1.6M8,7120.46%+0.01pp5q-3.7%-$61.0K
UNITED PARCEL SVCS INCUPS$1.6M14,0290.45%+0.01pp5qHELD
BECTON DICKINSON & COBDX$1.5M6,3920.44%-0.06pp5q-1.9%-$29.9K
HORIZON BANCORP INDHBNC$1.5M141,8940.43%-0.08pp5q-8.5%-$140.1K
VMWARE INCVMW$1.4M9,1950.41%-newNEW
PEPSICO INCPEP$1.4M10,4710.40%-0.03pp5q-1.9%-$26.5K
BIOGEN INCBIIB$1.4M5,1000.39%-0.19pp3q-7.4%-$108.3K
EQUITRANS MIDSTREAM CORPETRN$1.2M150,2100.36%+0.10pp3qHELD
CHEVRON CORPORATIONCVX$1.2M13,3770.34%+0.02pp5qHELD
DXC TECHNOLOGY CODXC$1.2M72,2320.34%-0.49pp5q-62.2%-$2.0M
NVIDIA CORPORATIONNVDA$1.2M3,1210.34%-0.04pp5q-26.8%-$432.8K
ADOBE INCADBE$1.2M2,7180.34%+0.04pp5q-2.3%-$28.3K
ISHARES TRIVW$1.2M5,5970.33%+0.01pp5q-3.8%-$45.4K
VANGUARD INDEX FDSVTI$1.1M7,0800.32%-0.01pp5q-6.7%-$79.7K
COCA COLA COKO$1.1M23,9600.31%-0.05pp5qHELD
STRYKER CORPORATIONSYK$1.1M5,8300.30%-0.04pp5q-3.5%-$37.8K
ELI LILLY & COLLY$1.0M6,3230.30%flat5qHELD
VANGUARD INDEX FDSVV$1.0M7,1450.29%-newNEW
COMCAST CORP NEWCMCSA$1.0M26,1040.29%-0.01pp5qHELD
FIRST SOLAR INCFSLR$1.0M20,5640.29%+0.06pp5q+7.2%+$68.0K
VANGUARD INDEX FDSVTV$954.0K9,5820.27%-0.01pp5q+0.6%+$5.6K
ISHARES TRIJH$949.0K5,3370.27%+0.01pp5qHELD
ELANCO ANIMAL HEALTH INCELAN$830.0K38,7250.24%-0.01pp3q+17.7%+$125.0K
AKRE FOCUS INSTL$830.0K16,8480.24%+0.17pp4q+233.1%+$580.8K
DOMINION ENERGY INCD$828.0K10,2040.24%-0.01pp2qHELD
ALPHABET INCGOOGL$823.0K5810.24%+0.01pp5qHELD
ULTA BEAUTY INCULTA$817.0K4,0210.23%-0.02pp3q-6.0%-$51.8K
EXXON MOBIL CORPXOMXXXX$795.0K17,7920.23%+0.01pp5q+2.3%+$17.9K
ZIMMER BIOMET HOLDINGS INCZBH$783.0K6,5670.22%-0.02pp5q-7.8%-$66.2K
US BANCORPUSB$767.0K20,8350.22%-0.05pp5q-9.5%-$80.4K
AMERICAN INTL GROUP INCAIG$749.0K24,0290.21%flat5q-7.5%-$60.6K
BERKSHIRE HATHAWAY INC DELBRKB$745.0K4,1750.21%-0.04pp5qHELD
JPMORGAN GROWTH ADVANTAGE I$733.0K27,9110.21%+0.03pp5qHELD
QORVO INCQRVO$721.0K6,5300.21%+0.04pp2q+7.0%+$47.5K
LANDSTAR SYS INCLSTR$718.0K6,3970.21%-0.03pp5q-14.2%-$118.4K
VANGUARD WHITEHALL FDSVYM$716.0K9,1010.20%-0.04pp5q-12.5%-$102.3K
ISHARES TRIWD$703.0K6,2430.20%-0.01pp5qHELD
ANALOG DEVICES INCADI$675.0K5,5050.19%flat5q-13.9%-$109.1K
ECOLAB INCECL$648.0K3,2580.19%+0.02pp5qHELD
VANGUARD INDEX FDSVB$645.0K4,4270.18%+0.04pp5q+21.9%+$115.8K
TRANE TECHNOLOGIES PLCTT$639.0K7,1880.18%-0.01pp2q+2.1%+$13.4K
AIR PRODUCTS AND CHEMICALS IAPD$615.0K2,5500.18%+0.01pp5qHELD
SPDR SERIES TRUSTSPYD$587.0K21,1040.17%-0.26pp5q-59.9%-$875.9K
UNION PAC CORPUNP$574.0K3,3980.16%flat5qHELD
HONEYWELL INTL INCHONZZZZ$549.0K3,7980.16%-0.02pp5q-6.1%-$35.7K
DANAHER CORP DELDHR$535.0K3,0310.15%+0.01pp5qHELD
WELLS FARGO & COWFC$523.0K20,4600.15%-0.74pp2q-77.8%-$1.8M
PROCTER & GAMBLE COPG$521.0K4,3630.15%-0.06pp5q-25.0%-$174.1K
PFIZER INCPFE$510.0K15,6200.15%-0.01pp5q+8.4%+$39.5K
CANADIAN SOLAR INCCSIQ$501.0K26,0140.14%+0.01pp5qHELD
MCCORMICK & CO INCMKC$479.0K2,6750.14%+0.01pp5qHELD
VISA INCV$461.0K2,3880.13%+0.02pp5q+20.1%+$77.2K
WISDOMTREE TRDTD$451.0K5,0090.13%flat5q-0.9%-$4.3K
UNILEVER N VUN$439.0K8,2470.13%-0.01pp5q-2.4%-$10.6K
ROYAL DUTCH SHELL PLCRDSA$438.0K13,4200.13%-0.05pp5q-9.2%-$44.1K
AUTOMATIC DATA PROCESSING INADP$425.0K2,8550.12%-0.01pp5qHELD
ISHARES TRIWF$414.0K2,1620.12%flat4q-4.6%-$20.1K
FIDELITY 500 INDEX$392.0K3,6320.11%+0.01pp5q+8.1%+$29.4K
JPMORGAN SMALL CAP EQUITY I$377.0K7,0220.11%flat4q-6.6%-$26.8K
YUM BRANDS INCYUM$370.0K4,2600.11%+0.01pp5qHELD
FIDELITY NATL FINL INCFNF$366.0K11,9440.10%flat5q-3.2%-$12.0K
AMERICAN WTR WKS CO INC NEWAWK$363.0K2,8240.10%-0.01pp5qHELD
V F CORPVFC$360.0K5,9220.10%flat5qHELD
SLB LIMITEDSLB$357.0K19,4570.10%+0.02pp5q+10.0%+$32.4K
WASTE MGMT INC DELWM$348.0K3,2950.10%flat5qHELD
VANGUARD 500 INDEX ADMIRAL$336.0K1,1760.10%flat5qHELD
VANGUARD INDEX FDSVO$328.0K2,0070.09%+0.03pp2q+28.3%+$72.4K
VANECK ETF TRUSTBIZD$320.0K26,3940.09%-0.09pp4q-54.4%-$381.2K
VANGUARD INTL EQUITY INDEX FVSS$319.0K3,3030.09%+0.02pp5q+15.2%+$42.0K
PPG INDS INCPPG$318.0K3,0000.09%+0.01pp5qHELD
VANGUARD INDEX FDSVOO$316.0K1,1170.09%+0.01pp2q+11.7%+$33.1K
ALLEGION PLCALLE$316.0K3,1000.09%flat5qHELD
FIDELITY TOTAL MARKET INDEX FU$312.0K3,5840.09%flat5qHELD
STATE STR SPDR S&P MIDCAP 40MDY$312.0K9630.09%flat5qHELD
BANK OF AMER CORPBAC$311.0K13,1230.09%-newNEW
ISHARES TRIVV$301.0K9750.09%flat5qHELD
ISHARES TRIWR$290.0K5,4290.08%flat4qHELD
ROYAL DUTCH SHELL PLCRDSB$285.0K9,3800.08%-0.03pp5q-5.0%-$14.9K
DEVON ENERGY CORP NEWDVN$284.0K25,1130.08%+0.02pp5qHELD
DAVIS NY VENTURE FD INC CL A$276.0K10,7030.08%flat5qHELD
MCDONALDS CORPMCD$276.0K1,5000.08%flat5qHELD
DOVER CORPDOV$275.0K2,8500.08%flat5qHELD
OCEANFIRST FINL CORPOCFC$261.0K14,8300.07%flat5qHELD
MERCADOLIBRE INCMELI$256.0K2600.07%-0.05pp5q-65.3%-$482.5K
STARBUCKS CORPSBUX$255.0K3,4760.07%-0.03pp5q-27.6%-$97.1K
SCHWAB STRATEGIC TRSCHG$251.0K2,4720.07%-newNEW
PAYPAL HLDGS INCPYPL$244.0K1,4060.07%-0.03pp5q-53.1%-$275.8K
UNIVEST FINANCIAL CORPORATIOUVSP$240.0K14,9090.07%-0.01pp5q+3.4%+$7.9K
AFLAC INCAFL$234.0K6,5000.07%-0.01pp5qHELD
ALCON AGALC$232.0K4,0540.07%-0.01pp5q-9.1%-$23.2K
DOLLAR TREE INCDLTR$231.0K2,5000.07%-newNEW
AMDOCS LTDDOX$229.0K3,7750.07%flat5qHELD
ENTERPRISE PRODS PARTNERS LEPD$225.0K12,4000.06%+0.01pp4qHELD
HANOVER INS GROUP INCTHG$222.0K2,1990.06%-newNEW
RTX CORPORATIONRTX$221.0K3,5920.06%-newNEW
ORACLE CORPORCL$216.0K3,9100.06%-newNEW
YUM CHINA HLDGS INCYUMC$214.0K4,4600.06%-newNEW
AIM Charter Fund Income$213.0K14,2090.06%flat5qHELD
SUNCOR ENERGY INC NEWSU$193.0K11,4760.06%-0.01pp5q-13.2%-$29.4K
FIRST HORIZON CORPORATIONFHN$129.0K13,0500.04%flat5qHELD
Elements US Small Cap Portfoli$120.0K12,1720.03%flat5q-7.2%-$9.3K
GENERAL ELECTRIC COGEXXXX$111.0K16,2930.03%-newNEW
NOBLE ENERGY INCNBL$107.0K12,0050.03%+0.01pp5qHELD
PATIENT ACCESS SOLUTIONS INC COM NEWPASO$2.0K20,0000.00%-newNEW

By sector

Industry comes from the SIC code on each company's own SEC filings, which is self-reported and sometimes out of date. Derivative exposure is counted with the shares. Securities the SEC assigns no industry - funds, trusts, foreign issues - are shown as not classified rather than dropped.

Biotech & Pharma 15.4%Banks & Lending 7.5%Software & IT Services 7.5%Insurance 7.2%Semiconductors & Electronics 6.8%Industrials 5.5%Retail & Consumer 4.8%Computer Hardware 4.3%Medical Devices 2.8%Telecom & Media 2.8%Healthcare Services 2.6%Funds & ETFs 2.6%Other sectors 13.9%Not classified 16.2%
 
SectorValueShare
Biotech & Pharma$54.0M15.4%
Banks & Lending$26.3M7.5%
Software & IT Services$26.1M7.5%
Insurance$25.1M7.2%
Semiconductors & Electronics$23.8M6.8%
Industrials$19.2M5.5%
Retail & Consumer$16.9M4.8%
Computer Hardware$15.2M4.3%
Medical Devices$9.9M2.8%
Telecom & Media$9.8M2.8%
Healthcare Services$9.2M2.6%
Funds & ETFs$9.1M2.6%
Other sectors$48.7M13.9%
Not classified$56.6M16.2%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2020$349.8M1741635741923.1%37
Q1 2020$299.2M1771846782723.8%35
Q4 2019$411.6M18695676723.6%36
Q3 2019$386.1M18495965621.6%30
Q2 2019$384.7M181000021.6%37

Rows marked UNVERIFIED ID, PLACEHOLDER ID, TICKER AS ID or NON-CUSIP ID carry an identifier that is not a valid CUSIP. They are shown because the filer reported that money, but treat the security named with caution - hover the chip for what is wrong with it, and see the methodology.

Held counts consecutive filings in which this manager reported the position, and can reach further back than the quarters listed above: the tabs begin at Q4 2018 because earlier coverage is too sparse to describe a market, but tenure is counted over every filing we hold, some reaching to 2007. A position sold and later rebought starts again from one.

Weight change is the shift in this position's share of the whole book, in percentage points. It is the more useful column: when money flows into or out of a broad fund, almost every holding is bought or sold at once, so added and trimmed largely track flows. A weight that rose while the book shrank is a decision. Both compare with the previous quarter this filer reported, not the previous calendar quarter.