MCRAE CAPITAL MANAGEMENT INC

13F Portfolio Filings

  • Most recent 13F
    Q3 2024
  • Location
    morristown, NJ
  • CIK
    0000320376
  • All SEC filings
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id
93
$512.29M
MSFT, PWR, LOW, URI
13F-HR
Oct 24, 2024
000117266124004341
92
$438.62M
MSFT, WSM, PWR, URI
13F-HR
Jul 24, 2024
000117266124002898
96
$456.52M
MSFT, WSM, PWR, URI
13F-HR
Apr 18, 2024
000117266124001886
96
$399.73M
MSFT, PWR, WSM, URI
13F-HR
Jan 22, 2024
000117266124000293
94
$337.68M
MSFT, PWR, LOW, CHECK POINT SOFTWARE TECH LT
13F-HR
Oct 17, 2023
000117266123003416
96
$351.82M
MSFT, PWR, LOW, OMC
13F-HR
Jul 21, 2023
000117266123002569
98
$347.35M
MSFT, OMC, PWR, LOW
13F-HR
Apr 19, 2023
000117266123001737
101
$341.89M
MSFT, LOW, 9980328D, PWR
13F-HR
Jan 20, 2023
000117266123000239
100
$328.89M
MSFT, PWR, LOW, BMY
13F-HR
Oct 20, 2022
000117266122002215
106
$368.45M
MSFT, PRFT, PWR, BMY
13F-HR
Jul 20, 2022
000117266122001645
111
$443.19M
MSFT, PRFT, 9980328D, PWR
13F-HR
Apr 21, 2022
000117266122001144
113
$479.41M
PRFT, MSFT, LOW, 9980328D
13F-HR
Jan 26, 2022
000117266122000187
112
$454.17M
PRFT, PYPL, MSFT, 9980328D
13F-HR
Oct 26, 2021
000117266121002064
111
$437.11M
PYPL, MSFT, 9980328D, PRFT
13F-HR
Jul 28, 2021
000117266121001564
106
$403.84M
PYPL, WSM, MSFT, LOW
13F-HR
May 11, 2021
000117266121001079
101
$348.69M
PYPL, MSFT, LOW, NUAN
13F-HR
Jan 27, 2021
000117266121000199
92
$298.35M
PYPL, MSFT, LOW, 9980328D
13F-HR
Nov 9, 2020
000117266120002077
92
$266.94M
PYPL, MSFT, LOW, 9980328D
13F-HR
Jul 23, 2020
000117266120001550
84
$205.12M
MSFT, PYPL, MDT, LOW
13F-HR
Apr 16, 2020
000117266120001075
98
$271.49M
MSFT, MDT, LOW, PYPL
13F-HR
Jan 17, 2020
000117266120000222
91
$256.58M
MSFT, MDT, PYPL, 9980328D
13F-HR
Oct 21, 2019
000117266119002051
91
$249.94M
MSFT, PYPL, MDT, 9980328D
13F-HR
Jul 29, 2019
000117266119001596
91
$240.08M
MSFT, PYPL, DNKN, CELG
13F-HR
Apr 16, 2019
000117266119001067
89
$194.39M
MSFT, PYPL, MDT, DNKN
13F-HR
Jan 28, 2019
000117266119000257
96
$235.87M
MSFT, PYPL, MDT, LOW
13F-HR
Oct 15, 2018
000117266118001861
97
$238.94M
MSFT, PYPL, USB, 9980328D
13F-HR
Jul 16, 2018
000117266118001387
93
$221.41M
MSFT, PYPL, CELG, USB
13F-HR
May 9, 2018
000117266118001022
97
$237.14M
MSFT, PYPL, CELG, USB
13F-HR
Feb 13, 2018
000117266118000467
87
$232.48M
CELG, MSFT, PYPL, USB
13F-HR
Oct 23, 2017
000117266117001844
93
$246.43M
CELG, MSFT, PEP, MDT
13F-HR
Jul 27, 2017
000117266117001402
104
$242.72M
CELG, MSFT, PEP, USB
13F-HR
May 10, 2017
000117266117000977
99
$226.46M
CELG, USB, MSFT, PEP
13F-HR
Feb 1, 2017
000117266117000225
99
$220.06M
CELG, PEP, MSFT, MDT
13F-HR
Oct 20, 2016
000117266116004053
99
$216.25M
CELG, PEP, MDT, LOW
13F-HR
Aug 2, 2016
000117266116003638
96
$224.15M
CELG, PEP, TRAVELERS COMPANIES INC, MSFT
13F-HR
May 2, 2016
000117266116003153
75
$208.42M
CELG, TRAVELERS COMPANIES INC, PEP, WFC
13F-HR
Jan 26, 2016
000117266116002327
74
$196.28M
CELG, PEP, TRAVELERS COMPANIES INC, WFC
13F-HR
Oct 22, 2015
000117266115001826
75
$214.64M
CELG, WFC, PEP, DYH
13F-HR
Jul 28, 2015
000117266115001394
81
$216.90M
CELG, TRAVELERS COMPANIES INC, LOW, WFC
13F-HR
Apr 30, 2015
000117266115000966
78
$216.59M
CELG, TRAVELERS COMPANIES INC, WFC, LOW
13F-HR
Jan 29, 2015
000117266115000196
78
$205.90M
CELG, TRAVELERS COMPANIES INC, WFC, PEP
13F-HR
Nov 3, 2014
000117266114001658
80
$207.53M
CELG, EATON CORP PLC, TRAVELERS COMPANIES INC, WFC
13F-HR
Aug 1, 2014
000117266114001293
76
$197.97M
CELG, EATON CORP PLC, WFC, TRAVELERS COMPANIES INC
13F-HR
Apr 28, 2014
000117266114000904
78
$194.74M
CELG, EATON CORP PLC, TRAVELERS COMPANIES INC, OMC
13F-HR
Jan 30, 2014
000117266114000199