Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
CYPRESS ASSET MANAGEMENT INC/TX 08-12-2019 06-30-2019 138 292,275,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
APPLE INC COM 1 $11,369,000 57,440 3.89 3.90 -2,900 -4.81
HONEYWELL INTL INC COM 2 $9,253,000 52,997 3.17 3.06 -3,619 -6.39
JPMORGAN CHASE & CO COM 3 $9,159,000 81,920 3.13 2.96 -3,945 -4.59
PEPSICO INC COM 4 $8,751,000 66,736 2.99 2.90 -2,820 -4.05
MICROSOFT CORP COM 5 $7,948,000 59,334 2.72 2.46 -2,061 -3.36
AMAZON COM INC COM 6 $7,771,000 4,104 2.66 2.28 346 9.21
DIAGEO P L C SPON ADR NEW 7 $7,609,000 44,154 2.60 2.59 -2,335 -5.02
MASTERCARD INC CL A 8 $7,474,000 28,252 2.56 2.34 -940 -3.22
VISA INC COM CL A 9 $7,153,000 41,215 2.45 2.27 -1,575 -3.68
ISHARES TR U.S. FIN SVC ETF 10 $6,509,000 48,613 2.23 0.96 25,938 114.39
DISNEY WALT CO COM DISNEY 11 $6,393,000 45,779 2.19 1.71 455 1.00
HOME DEPOT INC COM 12 $6,236,000 29,983 2.13 1.98 -340 -1.12
JOHNSON & JOHNSON COM 13 $6,044,000 43,397 2.07 2.19 -2,612 -5.68
ALPHABET INC CAP STK CL C 14 $5,430,000 5,024 1.86 2.10 -245 -4.65
LOCKHEED MARTIN CORP COM 15 $5,248,000 14,435 1.80 1.54 -695 -4.59
PAYPAL HLDGS INC COM 16 $4,988,000 43,580 1.71 1.60 -1,690 -3.73
ANALOG DEVICES INC COM 17 $4,637,000 41,087 1.59 1.48 -395 -0.95
INTEL CORP COM 18 $4,299,000 89,810 1.47 1.65 -730 -0.81
UNITED TECHNOLOGIES CORP COM 19 $4,190,000 32,180 1.43 1.68 -6,051 -15.83
MERCK & CO INC COM 20 $4,179,000 49,834 1.43 1.39 696 1.42
RAYTHEON CO COM NEW 21 $4,107,000 23,620 1.41 1.65 -3,095 -11.59
UNION PACIFIC CORP COM 22 $3,924,000 23,202 1.34 1.45 -2,343 -9.17
DOWDUPONT INC COM Liquidated $0 0 1.29 1.69 -13,455 -15.92
LILLY ELI & CO COM 24 $3,782,000 34,135 1.29 1.56 -1,181 -3.34
SELECT SECTOR SPDR TR SBI INT-FINL Liquidated $0 0 1.26 1.63 -38,585 -21.07
PNC FINL SVCS GROUP INC COM 26 $3,646,000 26,557 1.25 1.14 -835 -3.05
BERKSHIRE HATHAWAY INC DEL CL B NEW 27 $3,543,000 16,620 1.21 1.14 -25 -0.15
LOWES COS INC COM 28 $3,387,000 33,568 1.16 1.25 -85 -0.25
DANAHER CORPORATION COM 29 $3,248,000 22,725 1.11 1.07 -1,155 -4.84
QUALCOMM INC COM 30 $3,096,000 40,700 1.06 0.81 -1,200 -2.86
COSTCO WHSL CORP NEW COM 31 $3,025,000 11,448 1.03 0.95 -90 -0.78
CHEVRON CORP NEW COM 32 $2,968,000 23,854 1.02 1.24 -5,780 -19.50
XILINX INC COM 33 $2,864,000 24,285 0.98 0.81 5,478 29.13
INVESCO QQQ TR UNIT SER 1 34 $2,862,000 15,326 0.98 0.93 136 0.90
ADOBE INC COM 35 $2,727,000 9,255 0.93 0.92 -860 -8.50
MCDONALDS CORP COM 36 $2,714,000 13,070 0.93 0.85 -85 -0.65
EXXON MOBIL CORP COM 37 $2,637,000 34,413 0.90 1.16 -7,696 -18.28
ABBOTT LABS COM 38 $2,597,000 30,875 0.89 0.88 -1,580 -4.87
ENTERPRISE PRODS PARTNERS L COM 39 $2,497,000 86,478 0.85 1.07 -21,520 -19.93
PFIZER INC COM 40 $2,445,000 56,450 0.84 0.82 -350 -0.62
NESTLE COM 41 $2,417,000 23,375 0.83 0.77 -440 -1.85
YUM BRANDS INC COM 42 $2,348,000 21,215 0.80 0.72 -150 -0.70
AMGEN INC COM 43 $2,311,000 12,541 0.79 0.79 340 2.79
ALIBABA GROUP HLDG LTD SPONSORED ADS 44 $2,272,000 13,409 0.78 0.67 2,605 24.11
COLGATE PALMOLIVE CO COM 45 $2,237,000 31,208 0.77 0.74 -625 -1.96
MERCADOLIBRE INC COM 46 $2,190,000 3,579 0.75 0.53 519 16.96
EATON CORP PLC SHS 47 $2,175,000 26,120 0.74 0.76 -1,495 -5.41
SERVICENOW INC COM 48 $2,132,000 7,765 0.73 0.70 -540 -6.50
WORKDAY INC CL A 49 $2,098,000 10,205 0.72 0.71 -665 -6.12
CROWN CASTLE INTL CORP NEW COM 50 $2,073,000 15,905 0.71 0.78 -2,075 -11.54
MEDTRONIC PLC SHS 51 $2,031,000 20,850 0.69 0.65 -275 -1.30
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