BOYS ARNOLD & CO INC - Q2 2013 holdings

$461 Million is the total value of BOYS ARNOLD & CO INC's 182 reported holdings in Q2 2013. The portfolio turnover from Q1 2013 to Q2 2013 was - .

 Value Shares↓ Weighting
LOW NewLOWES COS INC$21,004,000513,552
+100.0%
4.56%
XOM NewEXXON MOBIL CORP$17,088,000189,129
+100.0%
3.71%
BEN NewFRANKLIN RES INC$16,324,000120,014
+100.0%
3.54%
UTX NewUNITED TECHNOLOGIES CORP$12,157,000130,810
+100.0%
2.64%
IVV NewISHARES TRcore s&p500 etf$11,596,00072,078
+100.0%
2.52%
GE NewGENERAL ELECTRIC CO$10,197,000439,719
+100.0%
2.21%
CVX NewCHEVRON CORP NEW$9,940,00083,999
+100.0%
2.16%
PG NewPROCTER & GAMBLE CO$9,202,000119,527
+100.0%
2.00%
IBM NewINTERNATIONAL BUSINESS MACHS$9,145,00047,850
+100.0%
1.98%
JNJ NewJOHNSON & JOHNSON$9,133,000106,375
+100.0%
1.98%
TIP NewISHARES TRbarclys tips bd$8,709,00077,751
+100.0%
1.89%
IWM NewISHARES TRrussell 2000$7,538,00077,712
+100.0%
1.64%
T NewAT&T INC$7,051,000199,178
+100.0%
1.53%
GVI NewISHARES TRbarclys inter gv$6,969,00063,450
+100.0%
1.51%
MUB NewISHARES TRs&p ntl amtfree$6,778,00064,524
+100.0%
1.47%
IWB NewISHARES TRrussell 1000$6,381,00070,957
+100.0%
1.38%
AXP NewAMERICAN EXPRESS CO$6,014,00080,450
+100.0%
1.30%
CVS NewCVS CAREMARK CORPORATION$5,715,00099,943
+100.0%
1.24%
EFA NewISHARES TRmsci eafe index$5,703,00099,521
+100.0%
1.24%
MSFT NewMICROSOFT CORP$5,679,000164,381
+100.0%
1.23%
EEM NewISHARES TRmsci emerg mkt$5,682,000147,593
+100.0%
1.23%
AFL NewAFLAC INC$5,575,00095,927
+100.0%
1.21%
PFE NewPFIZER INC$5,540,000197,773
+100.0%
1.20%
KO NewCOCA COLA CO$5,491,000136,887
+100.0%
1.19%
SUB NewISHARES TRs&p sh ntl amtfr$5,450,00051,763
+100.0%
1.18%
XLF NewSELECT SECTOR SPDR TRsbi int-finl$5,425,000278,991
+100.0%
1.18%
DEM NewWISDOMTREE TRUSTemerg mkts etf$5,294,000109,538
+100.0%
1.15%
IDV NewISHARES TRdj intl sel divd$5,256,000165,140
+100.0%
1.14%
DIS NewDISNEY WALT CO$5,055,00080,044
+100.0%
1.10%
USIG NewISHARES TRbarclys cr bd$5,045,00046,951
+100.0%
1.10%
PEP NewPEPSICO INC$4,999,00061,117
+100.0%
1.08%
HDV NewISHARES TRhgh div eqt fd$4,963,00074,806
+100.0%
1.08%
WMT NewWAL-MART STORES INC$4,613,00061,927
+100.0%
1.00%
SLB NewSCHLUMBERGER LTD$4,589,00064,042
+100.0%
1.00%
GBF NewISHARES TRbarclys govt cr$4,536,00041,135
+100.0%
0.98%
USB NewUS BANCORP DEL$4,381,000121,178
+100.0%
0.95%
JPM NewJPMORGAN CHASE & CO$4,301,00081,472
+100.0%
0.93%
ORCL NewORACLE CORP$4,257,000138,627
+100.0%
0.92%
AAPL NewAPPLE INC$4,076,00010,279
+100.0%
0.88%
QCOM NewQUALCOMM INC$4,011,00065,653
+100.0%
0.87%
ADP NewAUTOMATIC DATA PROCESSING IN$3,982,00057,831
+100.0%
0.86%
LQD NewISHARES TRiboxx inv cpbd$3,935,00034,620
+100.0%
0.85%
BOND NewPIMCO ETF TRtotl retn etf$3,813,00036,149
+100.0%
0.83%
CPB NewCAMPBELL SOUP CO$3,737,00083,425
+100.0%
0.81%
PM NewPHILIP MORRIS INTL INC$3,725,00043,004
+100.0%
0.81%
HD NewHOME DEPOT INC$3,702,00047,789
+100.0%
0.80%
GT NewGOODYEAR TIRE & RUBR CO$3,603,000235,485
+100.0%
0.78%
BRKA NewBERKSHIRE HATHAWAY INC DELcl a$3,541,00021
+100.0%
0.77%
MMM New3M CO$3,522,00032,209
+100.0%
0.76%
DHR NewDANAHER CORP DEL$3,457,00054,618
+100.0%
0.75%
BKLN NewPOWERSHARES ETF TRUST IIsenior ln port$3,290,000132,916
+100.0%
0.71%
TJX NewTJX COS INC NEW$3,253,00064,986
+100.0%
0.71%
AGG NewISHARES TRcore totusbd etf$3,225,00030,081
+100.0%
0.70%
ESRX NewEXPRESS SCRIPTS HLDG CO$3,151,00051,041
+100.0%
0.68%
XLB NewSELECT SECTOR SPDR TRsbi materials$3,051,00079,566
+100.0%
0.66%
MRK NewMERCK & CO INC NEW$3,025,00065,130
+100.0%
0.66%
ABT NewABBOTT LABS$3,003,00086,098
+100.0%
0.65%
IGSB NewISHARES TRbarclys 1-3yr cr$2,749,00026,171
+100.0%
0.60%
IGIB NewISHARES TRbarclys inter cr$2,673,00024,816
+100.0%
0.58%
INTC NewINTEL CORP$2,621,000108,163
+100.0%
0.57%
VZ NewVERIZON COMMUNICATIONS INC$2,579,00051,239
+100.0%
0.56%
NEE NewNEXTERA ENERGY INC$2,528,00031,028
+100.0%
0.55%
GILD NewGILEAD SCIENCES INC$2,444,00047,675
+100.0%
0.53%
EWC NewISHARES INCmsci cda index$2,424,00092,695
+100.0%
0.53%
TXN NewTEXAS INSTRS INC$2,418,00069,390
+100.0%
0.52%
DD NewDU PONT E I DE NEMOURS & CO$2,378,00045,286
+100.0%
0.52%
MCD NewMCDONALDS CORP$2,363,00023,867
+100.0%
0.51%
SDY NewSPDR SERIES TRUSTs&p divid etf$2,340,00035,294
+100.0%
0.51%
DUK NewDUKE ENERGY CORP NEW$2,281,00033,793
+100.0%
0.50%
EMR NewEMERSON ELEC CO$2,142,00039,273
+100.0%
0.46%
VTI NewVANGUARD INDEX FDStotal stk mkt$2,054,00024,842
+100.0%
0.45%
BRCM NewBROADCOM CORPcl a$2,049,00060,645
+100.0%
0.44%
ROK NewROCKWELL AUTOMATION INC$1,991,00023,945
+100.0%
0.43%
BRKB NewBERKSHIRE HATHAWAY INC DELcl b new$1,870,00016,709
+100.0%
0.41%
COP NewCONOCOPHILLIPS$1,846,00030,509
+100.0%
0.40%
VIG NewVANGUARD SPECIALIZED PORTFOLdiv app etf$1,838,00027,758
+100.0%
0.40%
GD NewGENERAL DYNAMICS CORP$1,668,00021,297
+100.0%
0.36%
ABBV NewABBVIE INC$1,650,00039,916
+100.0%
0.36%
VB NewVANGUARD INDEX FDSsmall cp etf$1,618,00017,265
+100.0%
0.35%
AEP NewAMERICAN ELEC PWR INC$1,553,00034,687
+100.0%
0.34%
4945SC NewKINDER MORGAN ENERGY PARTNERut ltd partner$1,440,00016,857
+100.0%
0.31%
IJH NewISHARES TRcore s&p mcp etf$1,416,00012,256
+100.0%
0.31%
XLU NewSELECT SECTOR SPDR TRsbi int-utils$1,393,00037,007
+100.0%
0.30%
WAG NewWALGREEN CO$1,384,00031,317
+100.0%
0.30%
COST NewCOSTCO WHSL CORP NEW$1,360,00012,302
+100.0%
0.30%
XLK NewSELECT SECTOR SPDR TRtechnology$1,303,00042,600
+100.0%
0.28%
NS NewNUSTAR ENERGY LP$1,219,00026,700
+100.0%
0.26%
KMB NewKIMBERLY CLARK CORP$1,200,00012,353
+100.0%
0.26%
CSCO NewCISCO SYS INC$1,187,00048,760
+100.0%
0.26%
SHY NewISHARES TRbarclys 1-3 yr$1,182,00014,028
+100.0%
0.26%
CL NewCOLGATE PALMOLIVE CO$1,182,00020,625
+100.0%
0.26%
MO NewALTRIA GROUP INC$1,155,00033,023
+100.0%
0.25%
BBT NewBB&T CORP$1,138,00033,584
+100.0%
0.25%
COL NewROCKWELL COLLINS INC$1,101,00017,369
+100.0%
0.24%
OEF NewISHARES TRs&p 100 idx fd$1,085,00015,075
+100.0%
0.24%
SYK NewSTRYKER CORP$979,00015,134
+100.0%
0.21%
YUM NewYUM BRANDS INC$942,00013,580
+100.0%
0.20%
GIS NewGENERAL MLS INC$885,00018,244
+100.0%
0.19%
IR NewINGERSOLL-RAND PLC$881,00015,860
+100.0%
0.19%
IVW NewISHARES TRs&p500 grw$866,00010,304
+100.0%
0.19%
RDSA NewROYAL DUTCH SHELL PLCspons adr a$837,00013,114
+100.0%
0.18%
AMGN NewAMGEN INC$839,0008,507
+100.0%
0.18%
BSV NewVANGUARD BD INDEX FD INCshort trm bond$825,00010,300
+100.0%
0.18%
HPQ NewHEWLETT PACKARD CO$816,00032,915
+100.0%
0.18%
IWN NewISHARES TRrusl 2000 valu$795,0009,250
+100.0%
0.17%
PX NewPRAXAIR INC$791,0006,865
+100.0%
0.17%
CLX NewCLOROX CO DEL$782,0009,400
+100.0%
0.17%
GSK NewGLAXOSMITHKLINE PLCsponsored adr$785,00015,700
+100.0%
0.17%
DVY NewISHARES TRdj sel div inx$771,00012,043
+100.0%
0.17%
WFC NewWELLS FARGO & CO NEW$730,00017,678
+100.0%
0.16%
UNH NewUNITEDHEALTH GROUP INC$715,00010,921
+100.0%
0.16%
LLY NewLILLY ELI & CO$709,00014,440
+100.0%
0.15%
EMB NewISHARES TRjpmorgan usd$710,0006,486
+100.0%
0.15%
CAT NewCATERPILLAR INC DEL$700,0008,483
+100.0%
0.15%
MDT NewMEDTRONIC INC$697,00013,551
+100.0%
0.15%
XLP NewSELECT SECTOR SPDR TRsbi cons stpls$643,00016,211
+100.0%
0.14%
AOK NewISHARES TRs&p consr all$606,00019,700
+100.0%
0.13%
IYT NewISHARES TRtransp ave idx$604,0005,500
+100.0%
0.13%
DRI NewDARDEN RESTAURANTS INC$605,00011,991
+100.0%
0.13%
BMY NewBRISTOL MYERS SQUIBB CO$598,00013,371
+100.0%
0.13%
FISV NewFISERV INC$581,0006,650
+100.0%
0.13%
HYG NewISHARES TRhigh yld corp$575,0006,330
+100.0%
0.12%
NKE NewNIKE INCcl b$569,0008,932
+100.0%
0.12%
BA NewBOEING CO$557,0005,437
+100.0%
0.12%
STT NewSTATE STR CORP$551,0008,450
+100.0%
0.12%
IVE NewISHARES TRs&p 500 value$553,0007,295
+100.0%
0.12%
BP NewBP PLCsponsored adr$554,00013,268
+100.0%
0.12%
ITW NewILLINOIS TOOL WKS INC$534,0007,725
+100.0%
0.12%
NUE NewNUCOR CORP$531,00012,250
+100.0%
0.12%
TEL NewTE CONNECTIVITY LTD$516,00011,328
+100.0%
0.11%
DOW NewDOW CHEM CO$503,00015,631
+100.0%
0.11%
SPXS NewDIREXION SHS ETF TRdrx s&p500bear$503,00046,000
+100.0%
0.11%
DEO NewDIAGEO P L Cspon adr new$498,0004,328
+100.0%
0.11%
STI NewSUNTRUST BKS INC$491,00015,559
+100.0%
0.11%
VAR NewVARIAN MED SYS INC$489,0007,245
+100.0%
0.11%
ELD NewWISDOMTREE TRem lcl debt fd$489,00010,186
+100.0%
0.11%
VEU NewVANGUARD INTL EQUITY INDEX Fallwrld ex us$477,00010,785
+100.0%
0.10%
GOOGL NewGOOGLE INCcl a$475,000540
+100.0%
0.10%
RY NewROYAL BK CDA MONTREAL QUE$471,0008,081
+100.0%
0.10%
FLS NewFLOWSERVE CORP$468,0008,674
+100.0%
0.10%
TGT NewTARGET CORP$459,0006,661
+100.0%
0.10%
SO NewSOUTHERN CO$435,0009,850
+100.0%
0.09%
IYC NewISHARES TRcons srvc idx$426,0004,150
+100.0%
0.09%
VWO NewVANGUARD INTL EQUITY INDEX Fftse emr mkt etf$417,00010,756
+100.0%
0.09%
IJK NewISHARES TRs&p mc 400 grw$409,0003,176
+100.0%
0.09%
BAC NewBANK OF AMERICA CORPORATION$405,00031,529
+100.0%
0.09%
NSC NewNORFOLK SOUTHERN CORP$407,0005,598
+100.0%
0.09%
WSBC NewWESBANCO INC$396,00015,000
+100.0%
0.09%
CI NewCIGNA CORPORATION$397,0005,477
+100.0%
0.09%
KRFT NewKRAFT FOODS GROUP INC$389,0006,963
+100.0%
0.08%
C NewCITIGROUP INC$368,0007,664
+100.0%
0.08%
DAL NewDELTA AIR LINES INC DEL$365,00019,500
+100.0%
0.08%
TRV NewTRAVELERS COMPANIES INC$364,0004,553
+100.0%
0.08%
FITB NewFIFTH THIRD BANCORP$352,00019,477
+100.0%
0.08%
MOO NewMARKET VECTORS ETF TRagribus etf$342,0006,688
+100.0%
0.07%
XLE NewSELECT SECTOR SPDR TRsbi int-energy$327,0004,175
+100.0%
0.07%
PGF NewPOWERSHARES ETF TRUSTfinl pfd ptfl$328,00018,350
+100.0%
0.07%
ETP NewENERGY TRANSFER PRTNRS L Punit ltd partn$320,0006,335
+100.0%
0.07%
IJR NewISHARES TRcore s&p scp etf$310,0003,435
+100.0%
0.07%
SYY NewSYSCO CORP$310,0009,085
+100.0%
0.07%
AET NewAETNA INC NEW$306,0004,822
+100.0%
0.07%
EMC NewE M C CORP MASS$299,00012,675
+100.0%
0.06%
UNP NewUNION PAC CORP$273,0001,770
+100.0%
0.06%
EFX NewEQUIFAX INC$273,0004,625
+100.0%
0.06%
J NewJACOBS ENGR GROUP INC DEL$270,0004,900
+100.0%
0.06%
WBK NewWESTPAC BKG CORPsponsored adr$253,0001,920
+100.0%
0.06%
HYD NewMARKET VECTORS ETF TRhg yld mun etf$253,0008,263
+100.0%
0.06%
WFM NewWHOLE FOODS MKT INC$247,0004,800
+100.0%
0.05%
PNR NewPENTAIR LTD$241,0004,170
+100.0%
0.05%
PNC NewPNC FINL SVCS GROUP INC$233,0003,200
+100.0%
0.05%
ETN NewEATON CORP PLC$231,0003,505
+100.0%
0.05%
MWE NewMARKWEST ENERGY PARTNERS L Punit ltd partn$227,0003,400
+100.0%
0.05%
GDX NewMARKET VECTORS ETF TRgold miner etf$219,0008,950
+100.0%
0.05%
SON NewSONOCO PRODS CO$222,0006,428
+100.0%
0.05%
MAS NewMASCO CORP$214,00011,000
+100.0%
0.05%
XLV NewSELECT SECTOR SPDR TRsbi healthcare$206,0004,336
+100.0%
0.04%
PNY NewPIEDMONT NAT GAS INC$209,0006,183
+100.0%
0.04%
XLY NewSELECT SECTOR SPDR TRsbi cons discr$206,0003,644
+100.0%
0.04%
OII NewOCEANEERING INTL INC$202,0002,800
+100.0%
0.04%
F NewFORD MTR CO DEL$197,00012,711
+100.0%
0.04%
NUGT NewDIREXION SHS ETF TRdly glmnrbu3xnew$164,00028,000
+100.0%
0.04%
FTR NewFRONTIER COMMUNICATIONS CORP$53,00013,070
+100.0%
0.01%
Original filings

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

  • View 13F-HR filed 2013-07-29
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
LOWES COS INC28Q1 202014.2%
ISHARES TR28Q1 20208.2%
APPLE INC28Q1 20205.8%
EXXON MOBIL CORP28Q1 20203.7%
ISHARES TR28Q1 20202.5%
ISHARES TR28Q1 20202.2%
JOHNSON & JOHNSON28Q1 20202.2%
PROCTER & GAMBLE CO28Q1 20202.0%
GENERAL ELECTRIC CO28Q1 20202.6%
ISHARES TR28Q1 20202.4%

View BOYS ARNOLD & CO INC's complete holdings history.

Latest significant ownerships (13-D/G)
BOYS ARNOLD & CO INC Q2 2013 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
iSHARES TRUSTFebruary 05, 200946,1144.6%

View BOYS ARNOLD & CO INC's complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2020-08-13
13F-HR2020-04-24
13F-HR2020-01-30
13F-HR2019-10-24
13F-HR2019-08-01
13F-HR2019-05-03
13F-HR2019-02-01
13F-HR2018-10-31
13F-HR2018-08-02
13F-HR2018-04-30

View BOYS ARNOLD & CO INC's complete filings history.

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