Ronna Sue Cohen

Ronna Sue Cohen as of March 31, 2019

Portfolio Holdings for Ronna Sue Cohen

Ronna Sue Cohen holds 82 positions in its portfolio as reported in the March 2019 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Cisco Systems (CSCO) 4.4 $6.6M 6.6M 1.00
Abbott Laboratories (ABT) 4.2 $6.2M 6.2M 1.00
Becton, Dickinson and (BDX) 3.9 $5.7M 5.7M 1.00
Intel Corporation (INTC) 3.6 $5.4M 5.4M 1.00
Johnson & Johnson (JNJ) 3.2 $4.8M 4.8M 1.00
Paychex (PAYX) 2.7 $4.0M 4.0M 1.00
Weingarten Realty Investors 2.7 $4.0M 4.0M 1.00
Realty Income (O) 2.5 $3.7M 3.7M 1.00
International Paper Company (IP) 2.5 $3.6M 3.6M 1.00
Pembina Pipeline Corp (PBA) 2.5 $3.6M 3.6M 1.00
Hasbro (HAS) 2.4 $3.6M 3.6M 1.00
Berkshire Hathaway (BRK.B) 2.4 $3.6M 3.6M 1.00
Automatic Data Processing (ADP) 2.3 $3.5M 3.5M 1.00
Procter & Gamble Company (PG) 2.2 $3.3M 3.3M 1.00
SPDR S&P International Dividend (DWX) 2.1 $3.1M 3.1M 1.00
Invesco unit investment (PID) 2.0 $3.0M 3.0M 1.00
W.W. Grainger (GWW) 2.0 $3.0M 3.0M 1.00
Eastman Chemical Company (EMN) 2.0 $3.0M 3.0M 1.00
United Parcel Service (UPS) 2.0 $2.9M 2.9M 1.00
Unilever 1.9 $2.8M 2.8M 1.00
Safety Insurance (SAFT) 1.9 $2.8M 2.8M 1.00
SPDR Barclays Cptl Shrt Term Corp Bd ETF (SPSB) 1.9 $2.7M 2.7M 1.00
Bank Of Montreal Cadcom (BMO) 1.8 $2.7M 2.7M 1.00
Oneok (OKE) 1.8 $2.7M 2.7M 1.00
3M Company (MMM) 1.8 $2.7M 2.7M 1.00
MetLife (MET) 1.8 $2.7M 2.7M 1.00
Eaton (ETN) 1.8 $2.7M 2.7M 1.00
McDonald's Corporation (MCD) 1.6 $2.4M 2.4M 1.00
Bank of New York Mellon Corporation (BK) 1.5 $2.2M 2.2M 1.00
Cummins (CMI) 1.4 $2.2M 2.2M 1.00
Coca-Cola Company (KO) 1.3 $2.0M 2.0M 1.00
Jack Henry & Associates (JKHY) 1.3 $2.0M 2.0M 1.00
Monmouth R.E. Inv 1.3 $2.0M 2.0M 1.00
Abbvie (ABBV) 1.3 $2.0M 2.0M 1.00
Microsoft Corporation (MSFT) 1.2 $1.8M 1.8M 1.00
Kimberly-Clark Corporation (KMB) 1.2 $1.7M 1.7M 1.00
Pinnacle West Capital Corporation (PNW) 1.1 $1.7M 1.7M 1.00
Aqua America 1.1 $1.6M 1.6M 1.00
UMH Properties (UMH) 1.1 $1.6M 1.6M 1.00
Emerson Electric (EMR) 1.0 $1.5M 1.5M 1.00
Bristol Myers Squibb (BMY) 1.0 $1.5M 1.5M 1.00
Union Pacific Corporation (UNP) 0.9 $1.3M 1.3M 1.00
Enterprise Products Partners (EPD) 0.9 $1.3M 1.3M 1.00
RPM International (RPM) 0.8 $1.2M 1.2M 1.00
Schwab Strategic Tr us dividend eq (SCHD) 0.7 $1.1M 1.1M 1.00
Proshares Tr S&p 500 Aristo (NOBL) 0.7 $1.0M 1.0M 1.00
Bank of America Corporation (BAC) 0.7 $1.0M 1.0M 1.00
Exxon Mobil Corporation (XOM) 0.6 $897k 897k 1.00
Colgate-Palmolive Company (CL) 0.6 $855k 855k 1.00
Spdr Ser Tr cmn (FLRN) 0.6 $848k 848k 1.00
Aon 0.6 $831k 831k 1.00
Pepsi (PEP) 0.5 $756k 756k 1.00
Atmos Energy Corporation (ATO) 0.5 $752k 752k 1.00
Kinder Morgan (KMI) 0.5 $735k 735k 1.00
Schwab U S Broad Market ETF (SCHB) 0.5 $711k 711k 1.00
Leidos Holdings (LDOS) 0.5 $699k 699k 1.00
B&G Foods (BGS) 0.5 $678k 678k 1.00
Brookfield Renewable energy partners lpu (BEP) 0.4 $641k 641k 1.00
Meridian Bioscience 0.4 $565k 565k 1.00
Chevron Corporation (CVX) 0.4 $541k 541k 1.00
At&t (T) 0.3 $511k 511k 1.00
Norfolk Southern (NSC) 0.3 $491k 491k 1.00
Science App Int'l (SAIC) 0.3 $452k 452k 1.00
International Business Machines (IBM) 0.3 $415k 415k 1.00
Leggett & Platt (LEG) 0.3 $396k 396k 1.00
Black Hills Corporation (BKH) 0.3 $404k 404k 1.00
Genuine Parts Company (GPC) 0.3 $386k 386k 1.00
United Technologies Corporation 0.2 $359k 359k 1.00
Amazon (AMZN) 0.2 $358k 358k 1.00
Dick's Sporting Goods (DKS) 0.2 $340k 340k 1.00
Pfizer (PFE) 0.2 $332k 332k 1.00
Expeditors International of Washington (EXPD) 0.2 $297k 297k 1.00
American Express Company (AXP) 0.2 $276k 276k 1.00
Nuveen Ins Ny Tx Fr Adv Mun (NRK) 0.2 $284k 284k 1.00
Barrick Gold Corp (GOLD) 0.2 $274k 274k 1.00
Boeing Company (BA) 0.2 $245k 245k 1.00
Vanguard Dividend Appreciation ETF (VIG) 0.2 $259k 259k 1.00
Home Depot (HD) 0.2 $235k 235k 1.00
Verizon Communications (VZ) 0.2 $236k 236k 1.00
FactSet Research Systems (FDS) 0.2 $244k 244k 1.00
Vanguard Mun Bd Fd Inc tax-exempt bd (VTEB) 0.1 $215k 215k 1.00
Eli Lilly & Co. (LLY) 0.1 $215k 215k 1.00