GUYASUTA INVESTMENT ADVISORS INC

data from 31/03/2026

Capitalization

$ 1.728 B

-1.44%

Performance

$ 2.199 B

114,628.89%

Average holding period

33 years

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in GUYASUTA INVESTMENT ADVISORS INC

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2026/03/31 GOOG ALPHABET INC 6.11% 105.635 M $ 368246 2015/09/30 -10.172 M $ -8.59 %
2026/03/31 MSFT MICROSOFT CORP 5.55% 95.997 M $ 259332 1999/06/30 -29.556 M $ -23.46 %
2026/03/31 BRK-B BERKSHIRE HATHAWAY INC DEL 4.92% 85.101 M $ 177590 2014/12/31 -4.131 M $ -4.67 %
2026/03/31 RSG REPUBLIC SVCS INC 4.33% 74.887 M $ 341919 2008/12/31 2.443 M $ 3.35 %
2026/03/31 MA MASTERCARD INCORPORATED 4.29% 74.224 M $ 148549 2011/03/31 -10.591 M $ -12.48 %
2026/03/31 TEL TE CONNECTIVITY PLC 3.50% 60.533 M $ 289605 2024/09/30 -5.353 M $ -8.13 %
2026/03/31 TMO THERMO FISHER SCIENTIFIC INC 3.26% 56.412 M $ 114768 2015/03/31 -10.023 M $ -15.17 %
2026/03/31 VST VISTRA CORP 3.18% 54.889 M $ 365123 2017/06/30 -4.930 M $ -6.82 %
2026/03/31 CVX CHEVRON CORPORATION 3.14% 54.310 M $ 262496 2001/12/31 14.415 M $ 35.75 %
2026/03/31 PNC PNC FINL SVCS GROUP INC 3.04% 52.620 M $ 252870 1999/06/30 -161.864 K $ -0.31 %
2026/03/31 LIN LINDE PLC 2.61% 45.152 M $ 91077 2023/03/31 6.439 M $ 16.27 %
2026/03/31 LOW LOWES COS INC 2.40% 41.395 M $ 175193 2011/12/31 -869.332 K $ -2.02 %
2026/03/31 TSM TAIWAN SEMICONDUCTOR MANUFAC 2.32% 40.176 M $ 118882 2020/09/30 4.058 M $ 11.21 %
2026/03/31 PWR QUANTA SVCS INC 2.27% 39.313 M $ 71605 2023/12/31 9.223 M $ 30.08 %
2026/03/31 AMAT APPLIED MATLS INC 2.25% 38.849 M $ 113665 2021/03/31 9.786 M $ 33.00 %
2026/03/31 ASML ASML HLDG NV 2.09% 36.125 M $ 27350 2022/12/31 6.979 M $ 23.46 %
2026/03/31 AMZN AMAZON COM INC 1.99% 34.372 M $ 165038 2016/12/31 -3.259 M $ -9.77 %
2026/03/31 MCD MCDONALDS CORP 1.91% 32.977 M $ 106107 2009/06/30 548.353 K $ 1.69 %
2026/03/31 WCC WESCO INTL INC 1.76% 30.451 M $ 111291 2024/09/30 3.260 M $ 11.85 %
2026/03/31 BDX BECTON DICKINSON & CO 1.51% 26.130 M $ 166187 2004/03/31 -6.190 M $ -18.98 %
2026/03/31 JNJ JOHNSON & JOHNSON 1.46% 25.267 M $ 103368 1999/06/30 3.912 M $ 18.12 %
2026/03/31 AAPL APPLE INC 1.34% 23.126 M $ 91121 2009/09/30 -1.652 M $ -6.65 %
2026/03/31 NVDA NVIDIA CORPORATION 1.33% 23.007 M $ 131920 2020/09/30 -1.567 M $ -6.49 %
2026/03/31 TXN TEXAS INSTRS INC 1.31% 22.678 M $ 116814 2018/12/31 3.011 M $ 11.90 %
2026/03/31 FERG FERGUSON ENTERPRISES INC 1.11% 19.149 M $ 82091 2025/03/31 870.979 K $ 4.77 %
2026/03/31 NFLX NETFLIX INC. 1.07% 18.494 M $ 192343 2015/03/31 448.433 K $ 2.55 %
2026/03/31 COR CENCORA INC 1.05% 18.232 M $ 58038 2003/03/31 -1.409 M $ -6.99 %
2026/03/31 EXP EAGLE MATLS INC 1.05% 18.096 M $ 95518 2019/03/31 -1.628 M $ -8.34 %
2026/03/31 XOM EXXON MOBIL CORP 1.00% 17.283 M $ 101871 2004/06/30 5.072 M $ 40.98 %
2026/03/31 META META PLATFORMS INC 0.96% 16.591 M $ 28998 2016/09/30 -2.480 M $ -13.33 %
2026/03/31 PEP PEPSICO INC 0.92% 15.848 M $ 102053 1999/06/30 1.226 M $ 8.20 %
2026/03/31 VMC VULCAN MATLS CO 0.86% 14.798 M $ 54344 2025/03/31 -687.486 K $ -4.53 %
2026/03/31 WMT WALMART INC 0.85% 14.710 M $ 118360 2020/06/30 1.518 M $ 11.55 %
2026/03/31 PG PROCTER & GAMBLE CO 0.75% 12.894 M $ 89267 1999/06/30 101.596 K $ 0.79 %
2026/03/31 PANW PALO ALTO NETWORKS INC 0.70% 12.123 M $ 75618 2021/06/30 -92.033 K $ -12.96 %
2026/03/31 IBM INTERNATIONAL BUSINESS MACHS 0.65% 11.186 M $ 46148 1999/06/30 -2.540 M $ -18.17 %
2026/03/31 CAT CATERPILLAR INC 0.64% 11.073 M $ 15629 1999/06/30 2.144 M $ 23.67 %
2026/03/31 KO COCA COLA CO 0.59% 10.154 M $ 133522 1999/06/30 826.437 K $ 8.78 %
2026/03/31 EMR EMERSON ELEC CO 0.59% 10.140 M $ 77396 1999/06/30 -134.556 K $ -1.28 %
2026/03/31 ADP AUTOMATIC DATA PROCESSING IN 0.57% 9.835 M $ 48406 1999/12/31 -2.732 M $ -21.01 %
2026/03/31 JPM JPMORGAN CHASE & CO 0.55% 9.556 M $ 32486 2000/12/31 -911.248 K $ -8.71 %
2026/03/31 GOOGL ALPHABET INC 0.50% 8.616 M $ 29963 2015/09/30 -765.718 K $ -8.13 %
2026/03/31 MRK MERCK & CO INC 0.46% 8.005 M $ 66549 2009/12/31 1.005 M $ 14.28 %
2026/03/31 HD HOME DEPOT INC 0.41% 7.077 M $ 21517 2009/06/30 -327.167 K $ -4.42 %
2026/03/31 SPY STATE STR SPDR S&P 500 ETF T 0.36% 6.263 M $ 9630 2015/06/30 -315.515 K $ -4.63 %
2026/03/31 ABBV ABBVIE INC 0.35% 6.129 M $ 28181 2013/03/31 -310.475 K $ -4.81 %
2026/03/31 CLS CELESTICA INC 0.35% 6.091 M $ 21625 2024/09/30 -346.717 K $ -4.71 %
2026/03/31 IVV ISHARES TR 0.35% 6.043 M $ 9251 2012/12/31 -299.467 K $ -4.63 %
2026/03/31 VGUS VANGUARD INSTL INDEX FD 0.34% 5.868 M $ 77552 2025/12/31 2.107 K $ 0.25 %
2026/03/31 VCSH VANGUARD SCOTTSDALE FDS 0.34% 5.811 M $ 73311 2016/09/30 -33.723 K $ -0.58 %
2026/03/31 VTI VANGUARD INDEX FDS 0.33% 5.724 M $ 17844 2012/12/31 -304.585 K $ -4.31 %
2026/03/31 PKG PACKAGING CORP AMER 0.32% 5.562 M $ 26208 2015/06/30 164.814 K $ 2.90 %
2026/03/31 PPG PPG INDS INC 0.31% 5.393 M $ 50462 1999/06/30 224.018 K $ 4.31 %
2026/03/31 UL UNILEVER PLC 0.29% 5.061 M $ 88836 2025/12/31 -761.591 K $ -12.89 %
2026/03/31 BRK-A BERKSHIRE HATHAWAY INC DEL 0.29% 5.027 M $ 7 2025/03/31 -256.620 K $ -4.86 %
2026/03/31 PM PHILIP MORRIS INTL INC 0.27% 4.681 M $ 28314 2008/03/31 141.214 K $ 3.08 %
2026/03/31 GE GE AEROSPACE 0.26% 4.507 M $ 15883 2021/09/30 -387.747 K $ -7.88 %
2026/03/31 PH PARKER-HANNIFIN CORP 0.26% 4.472 M $ 4995 2011/09/30 81.644 K $ 1.85 %
2026/03/31 AVGO BROADCOM INC 0.26% 4.425 M $ 14298 2021/12/31 -518.919 K $ -10.57 %
2026/03/31 LHX L3HARRIS TECHNOLOGIES INC 0.25% 4.388 M $ 12712 2019/09/30 655.684 K $ 17.57 %
2026/03/31 IWB ISHARES TR 0.25% 4.324 M $ 12128 2012/12/31 -204.163 K $ -4.52 %
2026/03/31 VYM VANGUARD WHITEHALL FDS 0.22% 3.845 M $ 25962 2019/06/30 116.629 K $ 3.19 %
2026/03/31 CL COLGATE PALMOLIVE CO 0.22% 3.790 M $ 44469 2007/09/30 286.262 K $ 7.86 %
2026/03/31 SCHD SCHWAB STRATEGIC TR 0.21% 3.637 M $ 118543 2020/03/31 369.326 K $ 11.85 %
2026/03/31 RTX RTX CORPORATION 0.21% 3.633 M $ 18832 2020/06/30 178.904 K $ 5.18 %
2026/03/31 ICSH ISHARES TR 0.21% 3.600 M $ 71126 2026/03/31 0.000 $ 0.00 %
2026/03/31 VUG VANGUARD INDEX FDS 0.21% 3.550 M $ 8127 2017/09/30 -403.708 K $ -10.47 %
2026/03/31 DE DEERE & CO 0.20% 3.426 M $ 6083 2006/03/31 594.491 K $ 20.99 %
2026/03/31 PFE PFIZER INC 0.20% 3.384 M $ 120517 1999/06/30 407.074 K $ 12.77 %
2026/03/31 WM WASTE MGMT INC DEL 0.19% 3.345 M $ 14555 2013/06/30 151.199 K $ 4.59 %
2026/03/31 GEV GE VERNOVA INC 0.19% 3.270 M $ 3746 2024/09/30 821.610 K $ 33.56 %
2026/03/31 UNP UNION PAC CORP 0.18% 3.110 M $ 12819 2009/09/30 144.911 K $ 4.89 %
2026/03/31 ROK ROCKWELL AUTOMATION INC 0.18% 3.095 M $ 8623 2009/09/30 -260.328 K $ -7.76 %
2026/03/31 CMCSA COMCAST CORP NEW 0.18% 3.090 M $ 107642 2002/12/31 77.845 K $ 2.38 %
2026/03/31 UPS UNITED PARCEL SVCS INC 0.17% 3.020 M $ 30701 2005/06/30 -25.969 K $ -0.82 %
2026/03/31 LRCX LAM RESEARCH CORP 0.17% 2.946 M $ 13790 2025/06/30 627.089 K $ 24.82 %
2026/03/31 LMT LOCKHEED MARTIN CORP 0.16% 2.826 M $ 4676 2011/03/31 562.917 K $ 24.96 %
2026/03/31 ABT ABBOTT LABORATORIES 0.16% 2.819 M $ 27453 1999/06/30 -620.941 K $ -18.05 %
2026/03/31 BMY BRISTOL-MYERS SQUIBB CO 0.16% 2.794 M $ 46066 1999/06/30 309.076 K $ 12.44 %
2026/03/31 AIT APPLIED INDL TECHNOLOGIES IN 0.16% 2.694 M $ 10155 2007/06/30 88.920 K $ 3.33 %
2026/03/31 BK BANK NEW YORK MELLON CORP 0.15% 2.510 M $ 21158 2007/06/30 53.667 K $ 2.19 %
2026/03/31 HON HONEYWELL INTL INC 0.14% 2.490 M $ 11018 2003/06/30 340.711 K $ 15.86 %
2026/03/31 GBIL GOLDMAN SACHS ETF TR 0.14% 2.490 M $ 24849 2023/06/30 5.569 K $ 0.25 %
2026/03/31 COST COSTCO WHOLESALE CORPORATION 0.14% 2.369 M $ 2377 2018/06/30 315.379 K $ 15.55 %
2026/03/31 LLY ELI LILLY & CO 0.13% 2.322 M $ 2525 2020/03/31 -382.162 K $ -14.41 %
2026/03/31 MU MICRON TECHNOLOGY INC 0.13% 2.176 M $ 6441 2023/09/30 349.498 K $ 18.37 %
2026/03/31 VOO VANGUARD INDEX FDS 0.13% 2.171 M $ 3633 2016/09/30 -75.162 K $ -4.72 %
2026/03/31 TT TRANE TECHNOLOGIES PLC 0.13% 2.160 M $ 5183 2020/03/31 142.739 K $ 7.08 %
2026/03/31 VZ VERIZON COMMUNICATIONS INC 0.12% 2.011 M $ 40064 2014/03/31 384.917 K $ 23.25 %
2026/03/31 RSP INVESCO EXCHANGE TRADED FD T 0.11% 1.952 M $ 10171 2021/09/30 4.245 K $ 0.19 %
2026/03/31 WTS WATTS WATER TECHNOLOGIES INC 0.11% 1.930 M $ 6650 2006/03/31 94.895 K $ 5.17 %
2026/03/31 CB CHUBB LTD SWITZ 0.11% 1.874 M $ 5749 2015/12/31 89.695 K $ 4.42 %
2026/03/31 QQQ INVESCO QQQ TR 0.11% 1.869 M $ 3238 2019/12/31 -111.278 K $ -6.04 %
2026/03/31 RPM RPM INTL INC 0.11% 1.829 M $ 18398 1999/12/31 -85.527 K $ -4.42 %
2026/03/31 TSLA TESLA INC 0.11% 1.826 M $ 4912 2020/03/31 -382.598 K $ -17.34 %
2026/03/31 IEX IDEX CORP 0.10% 1.802 M $ 9509 2007/09/30 110.399 K $ 6.52 %
2026/03/31 DELL DELL TECHNOLOGIES INC 0.10% 1.722 M $ 10491 2022/12/31 496.867 K $ 30.39 %
2026/03/31 CMI CUMMINS INC 0.10% 1.713 M $ 3184 2016/09/30 87.782 K $ 5.40 %
2026/03/31 NVS NOVARTIS AG 0.10% 1.645 M $ 10767 2013/03/31 160.212 K $ 10.79 %
2026/03/31 V VISA INC 0.09% 1.636 M $ 5414 2015/09/30 -262.174 K $ -13.82 %