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Reported Holdings Of The
Carderock Capital Management Inc

Legal Name: CARDEROCK CAPITAL MANAGEMENT, INC.

Period of report: Jun 30, 2019
Effectiveness Date: Jul 15, 2019

Security Shares Held / Principal Amount Market Value Option
Apple Inc (037833100) 46,010 $9,106k
ACCENTURE PLC IRELAND (G1151C101) 46,522 $8,596k
Thermo Fisher Scientific Inc (883556102) 27,554 $8,092k
MASTERCARD INC (57636Q104) 29,458 $7,793k
ADP (053015103) 41,777 $6,907k
DANAHER CORP (235851102) 46,099 $6,588k
ROPER TECHNOLOGIES (776696106) 17,927 $6,566k
ANSYS Inc (03662Q105) 31,981 $6,550k
AMPHENOL CORPORATION (032095101) 65,513 $6,285k
IDEXX LABS INC (45168D104) 22,534 $6,204k
ECOLAB INC (278865100) 31,411 $6,202k
MICROSOFT CORP (594918104) 45,253 $6,062k
Intuit Inc (461202103) 21,973 $5,742k
AMGEN INC (031162100) 30,802 $5,676k
Taiwan Semiconductor Manufactu (874039100) 143,779 $5,632k
METTLER TOLEDO INTL (592688105) 6,607 $5,550k
HONEYWELL INTL INC (438516106) 31,281 $5,461k
CHURCH & DWIGHT INC (171340102) 74,172 $5,419k
ADOBE INC (00724F101) 18,308 $5,394k
MCCORMICK & CO INC (579780206) 34,537 $5,354k
ALPHABET INC (02079K305) 4,886 $5,291k
BECTON DICKINSON (075887109) 20,989 $5,289k
COMCAST CORP (20030N101) 124,316 $5,256k
FISERV INC (337738108) 57,165 $5,211k
Aon, PLC (G0408V102) 24,850 $4,796k
ABBOTT LABS (002824100) 55,940 $4,705k
HOME DEPOT INC (437076102) 22,361 $4,650k
COSTCO WHSL CORP (22160K105) 17,222 $4,551k
AIR PRODS & CHEMS INC (009158106) 20,036 $4,536k
LABORATORY CORP AMER (50540R409) 26,040 $4,502k
INTEL CORP (458140100) 91,511 $4,381k
AMERICAN TOWER CORP NEW (03027X100) 21,275 $4,350k
HARRIS CORP DEL (413875105) 22,810 $4,314k
TORO CO (891092108) 63,687 $4,261k
CHECK POINT SOFTWARE (M22465104) 36,010 $4,163k
FORTIVE CORPORATION (34959J108) 50,605 $4,125k
GARTNER INC (366651107) 25,544 $4,111k
SHERWIN WILLIAMS CO (824348106) 8,932 $4,093k
NIKE INC (654106103) 48,375 $4,061k
AMETEK INC (031100100) 43,318 $3,935k
Chevron Corp (166764100) 29,545 $3,677k
ILLINOIS TOOL WORKS (452308109) 23,693 $3,573k
STARBUCKS CORP (855244109) 41,643 $3,491k
O'REILLY AUTOMOTIVE (67103H107) 9,365 $3,459k
UNITEDHEALTH GRP INC (91324P102) 12,026 $2,934k
JPMORGAN CHASE & CO (46625H100) 25,742 $2,878k
MOODYS CORP (615369105) 12,307 $2,404k
Phillips 66 (718546104) 25,321 $2,369k
Marathon Petroleum Corp (56585A102) 41,462 $2,317k
HENRY SCHEIN INC (806407102) 31,435 $2,197k
NEXTERA ENERGY INC (65339F101) 9,338 $1,913k
CDN NATL RAILWAY (136375102) 20,255 $1,873k
ESTEE LAUDER CO (518439104) 9,439 $1,728k
MARRIOTT INTL INC (571903202) 11,321 $1,588k
VERIZON COMMUNICATIONS (92343V104) 26,336 $1,505k
PRICE T ROWE GROUP INC (74144t108) 8,975 $985k
AUTOZONE INC (053332102) 799 $878k
PUBLIC STORAGE (74460D109) 3,472 $827k
JOHNSON & JOHNSON (478160104) 5,039 $702k
COGNIZANT TECH SOLNS (192446102) 8,185 $519k
PAYCHEX INC (704326107) 5,259 $433k
MERCK & CO INC (58933Y105) 5,050 $423k
Amer Fds Wash Mutual (939330106) 8,305 $381k
FACTSET RESH SYS INC (303075105) 1,165 $334k
CLOROX CO (189054109) 2,125 $325k
UNION PAC CORP (907818108) 1,785 $302k
DISNEY WALT CO (254687106) 1,771 $247k
Bristol-Myers Squibb Co (110122108) 5,250 $238k
EXTRA SPACE STORAGE (30225T102) 2,068 $219k
PNC FINL SVCS GRP (693475105) 1,575 $216k
Berkshire Hathaway, Inc. (084670702) 1,010 $215k

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