LCNB CORP - Q4 2020 holdings

$176 Million is the total value of LCNB CORP's 153 reported holdings in Q4 2020. The portfolio turnover from Q3 2020 to Q4 2020 was 1.6% .

 Value Shares↓ Weighting
IEFA SellIShares Inc. TR Core MSCI EAFE ETFinternational equity etf$11,279,000
+12.5%
163,249
-1.9%
6.39%
-2.5%
PG SellProcter & Gamble Co.$8,860,000
-3.6%
63,673
-3.7%
5.02%
-16.4%
LCNB SellLCNB Corp.$7,858,000
+6.9%
534,950
-0.7%
4.45%
-7.3%
MSFT SellMicrosoft Corp.$6,924,000
+2.6%
31,131
-2.9%
3.92%
-11.0%
AAPL SellApple Inc.$5,263,000
+11.8%
39,667
-2.4%
2.98%
-3.1%
SPY SellSPDR S&P 500 Trust ETFexchange traded fund$3,600,000
+11.3%
9,628
-0.3%
2.04%
-3.5%
IEMG SellIShares Inc. Core MSCI Emerging Markets ETFinternational equity etf$3,154,000
+12.2%
50,843
-4.5%
1.79%
-2.8%
IWV SellIShares TR Russell 3000 ETFexchange traded fund$2,681,000
-2.2%
11,992
-14.4%
1.52%
-15.2%
DIS SellDisney Walt Co.$2,524,000
+43.2%
13,933
-1.9%
1.43%
+24.1%
IJH SellIShares TR Core S&P Mid Cap ETFexchange traded fund$2,447,000
+13.7%
10,645
-8.3%
1.39%
-1.4%
CINF SellCincinnati Financial Corp$2,330,000
+9.6%
26,663
-2.2%
1.32%
-5.0%
ABT SellAbbott Laboratories$1,921,000
-2.0%
17,544
-2.6%
1.09%
-15.1%
USB SellU.S. Bancorp$1,845,000
+29.2%
39,593
-0.6%
1.04%
+12.0%
USMV SellIShares Edge MSCI Min Vol USA ETFexchange traded fund$1,833,000
-32.0%
27,007
-36.2%
1.04%
-41.0%
LOW SellLowes Co Inc.$1,832,000
-7.4%
11,411
-4.3%
1.04%
-19.7%
NKE SellNike Inc.$1,789,000
+11.3%
12,645
-1.2%
1.01%
-3.5%
INTC SellIntel Corp.$1,770,000
-19.0%
35,533
-15.8%
1.00%
-29.8%
XLK SellTechnology Select Sector SPDR TRexchange traded fund$1,757,000
+6.0%
13,510
-4.9%
1.00%
-8.1%
JPM SellJP Morgan Chase Co.$1,746,000
+29.9%
13,743
-1.6%
0.99%
+12.5%
CVX SellChevron Corporation$1,550,000
+9.0%
18,349
-7.1%
0.88%
-5.6%
SBUX SellStarbucks Corp.$1,453,000
+23.7%
13,579
-0.7%
0.82%
+7.2%
BIV SellVanguard Intermediate Term Bond Index Fund Inc.$1,345,000
-1.7%
14,485
-1.0%
0.76%
-14.8%
TJX SellTJX Companies Inc.$1,203,000
+19.3%
17,609
-2.7%
0.68%
+3.5%
LRCX SellLam Research Corp.$1,166,000
+35.7%
2,468
-4.6%
0.66%
+17.6%
NVS SellNovartis AG ADR$1,151,000
+5.1%
12,187
-3.2%
0.65%
-8.9%
TROW SellT Rowe Price Group Inc.$1,120,000
+14.9%
7,398
-2.8%
0.64%
-0.3%
HON SellHoneywell International Inc.$1,089,000
+28.0%
5,121
-1.0%
0.62%
+11.0%
DTD SellWisdomTree US Total Dividend Fundexchange traded fund$1,071,000
+6.5%
10,219
-4.6%
0.61%
-7.8%
IWR SellIShares TR Russell Mid Cap ETFexchange traded fund$1,066,000
+19.2%
15,555
-0.1%
0.60%
+3.4%
EFA SellIShares TR MSCI EAFE ETFinternational equity etf$996,000
+7.4%
13,658
-6.2%
0.56%
-6.9%
KO SellCoca-Cola Company$961,000
+10.6%
17,527
-0.4%
0.54%
-4.0%
LMT SellLockheed Martin Corp.$940,000
-17.0%
2,649
-10.4%
0.53%
-28.1%
ETN SellEaton Corp.$939,000
+15.1%
7,814
-2.3%
0.53%
-0.2%
DUK SellDuke Energy Holding Corp.$931,000
+3.3%
10,165
-0.1%
0.53%
-10.4%
UPS SellUnited Parcel Service Inc$929,000
-0.7%
5,514
-1.9%
0.53%
-14.1%
IVV SellIShares Core S&P 500 ETFexchange traded fund$908,000
-13.4%
2,418
-22.5%
0.51%
-25.0%
GIS SellGeneral Mills Inc.$889,000
-7.4%
15,123
-2.8%
0.50%
-19.7%
ENB SellEnbridge Inc.$875,000
+9.4%
27,342
-0.2%
0.50%
-5.2%
T SellAT&T Inc.$873,0000.0%30,358
-0.8%
0.50%
-13.3%
MA SellMastercard Inc.$821,000
-7.4%
2,301
-12.3%
0.46%
-19.8%
IWM SellIShares TR Russell 2000 ETFexchange traded fund$804,000
+26.0%
4,100
-3.8%
0.46%
+9.4%
FDX SellFed Ex Corp.$782,000
-3.6%
3,013
-6.5%
0.44%
-16.4%
CSCO SellCisco Systems Inc.$675,000
+9.6%
15,076
-3.5%
0.38%
-5.2%
PYPL SellPayPal Holdings Inc.$647,000
+11.7%
2,763
-6.0%
0.37%
-2.9%
ABBV SellAbbvie Inc.$645,000
+20.8%
6,022
-1.2%
0.36%
+4.6%
BAX SellBaxter International Inc.$595,000
-1.5%
7,410
-1.3%
0.34%
-14.7%
BMY SellBristol-Myers Squibb Co$588,000
+2.6%
9,481
-0.2%
0.33%
-11.2%
DHR SellDanaher Corp.$582,000
-4.1%
2,618
-7.1%
0.33%
-16.9%
LIN SellLinde PLC$530,000
-1.7%
2,012
-11.1%
0.30%
-14.8%
ORCL SellOracle Corporation$524,000
+2.7%
8,101
-5.3%
0.30%
-10.8%
EMR SellEmerson Electric Co.$515,000
+16.8%
6,410
-4.8%
0.29%
+1.4%
CAT SellCaterpillar Inc.$430,000
+16.8%
2,365
-4.1%
0.24%
+1.2%
TXN SellTexas Instruments Inc.$401,000
+13.6%
2,441
-1.1%
0.23%
-1.7%
TSCO SellTractor Supply Co.$363,000
-3.5%
2,580
-1.5%
0.21%
-16.3%
VFC SellV F Corp.$296,000
+19.8%
3,469
-1.1%
0.17%
+4.3%
CMCSA SellComcast Corp.$277,000
+10.8%
5,294
-1.9%
0.16%
-3.7%
CAH SellCardinal Health Inc.$267,000
+11.7%
4,992
-2.0%
0.15%
-3.2%
CVS SellCVS Health Corporation$265,000
+9.5%
3,882
-6.2%
0.15%
-5.1%
BKNG SellBooking Holdings Inc.$249,000
+22.1%
112
-5.9%
0.14%
+6.0%
D SellDominion Energy Inc.$234,000
-12.0%
3,118
-7.4%
0.13%
-23.6%
DVY SellIShares TR Select Dividend ETFexchange traded fund$212,000
-3.6%
2,203
-18.5%
0.12%
-16.7%
RF SellRegions Financial Corp.$171,000
+33.6%
10,604
-4.5%
0.10%
+15.5%
CLX ExitClorox Co.$0-975
-100.0%
-0.13%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2021-02-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
LCNB CORP28Q3 202316.8%
ISHARES TR CORE MSCI EAFE ETF28Q3 20237.1%
PROCTER & GAMBLE CO28Q3 20236.0%
MICROSOFT CORP28Q3 20234.6%
ISHARES INC CORE MSCI EMERGINING MARKETS ETF28Q3 20233.2%
CINCINNATI FINL CORP28Q3 20232.8%
CHEVRON CORPORATION28Q3 20232.6%
US BANCORP28Q3 20232.3%
JOHNSON & JOHNSON28Q3 20231.9%
PEPSICO INC28Q3 20231.6%

View LCNB CORP's complete holdings history.

Latest significant ownerships (13-D/G)
LCNB CORP Q4 2020 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
LCNB CORPFebruary 06, 2019627,1904.7%

View LCNB CORP's complete significant-ownership history.

Latest filings
TypeFiled
10-Q2024-05-10
13F-HR2024-05-10
8-K2024-04-29
8-K2024-04-26
8-K2024-04-12
DEF 14A2024-03-18
10-K2024-03-15
42024-03-05
42024-03-05
42024-03-05

View LCNB CORP's complete filings history.

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