Welch Group, LLC - Q1 2017 holdings

$531 Million is the total value of Welch Group, LLC's 130 reported holdings in Q1 2017. The portfolio turnover from Q4 2016 to Q1 2017 was 11.1% .

 Value Shares↓ Weighting
JNJ BuyJohnson & Johnson$17,264,000
+9.2%
138,611
+1.0%
3.25%
+5.1%
HD BuyHome Depot Inc$17,184,000
+9.5%
117,033
+0.0%
3.23%
+5.4%
LMT BuyLockheed Martin Corp$17,168,000
+7.4%
64,157
+0.3%
3.23%
+3.4%
MMM Buy3m Company$16,665,000
+7.5%
87,098
+0.3%
3.14%
+3.5%
PEP BuyPepsico Incorporated$16,631,000
+8.9%
148,677
+1.9%
3.13%
+4.9%
XOM BuyExxon Mobil Corporation$16,404,000
-5.3%
200,026
+4.2%
3.09%
-8.9%
INTC BuyIntel Corp$16,335,000
-0.5%
452,870
+0.0%
3.07%
-4.2%
PG BuyProcter & Gamble$16,312,000
+7.9%
181,544
+0.9%
3.07%
+3.9%
T BuyA T & T Inc New$16,158,000
-1.5%
388,873
+0.8%
3.04%
-5.1%
UTX BuyUnited Technologies Corp$16,130,000
+3.1%
143,744
+0.7%
3.04%
-0.7%
MCD BuyMc Donalds Corp$16,092,000
+7.7%
124,154
+1.2%
3.03%
+3.7%
EMR BuyEmerson Electric Co$16,090,000
+7.4%
268,799
+0.1%
3.03%
+3.5%
ABBV BuyAbbvie Inc Com USD0.01$16,022,000
+6.4%
245,893
+2.3%
3.02%
+2.4%
NEE BuyNextEra Energy Inc$15,840,000
+9.6%
123,391
+2.0%
2.98%
+5.6%
LEG BuyLeggett & Platt Inc$15,689,000
+5.5%
311,775
+2.5%
2.95%
+1.6%
KMB BuyKimberly-Clark Corp$15,635,000
+20.8%
118,783
+4.7%
2.94%
+16.3%
ED BuyConsolidated Edison Inc$15,580,000
+7.3%
200,615
+1.8%
2.93%
+3.3%
CINF BuyCincinnati Financial Cp$15,552,000
-3.6%
215,197
+1.0%
2.93%
-7.2%
CL BuyColgate-Palmolive Co$15,418,000
+16.8%
210,660
+4.4%
2.90%
+12.5%
PAYX BuyPaychex Inc$15,376,000
-3.2%
261,047
+0.0%
2.89%
-6.8%
SO BuyThe Southern Company$15,347,000
+5.4%
308,301
+4.1%
2.89%
+1.4%
VZ BuyVerizon Communications$14,560,000
-5.4%
298,664
+3.5%
2.74%
-9.0%
NVS BuyNovartis A G Spon Adr$14,079,000
+15.1%
189,563
+12.9%
2.65%
+10.8%
GIS BuyGeneral Mills Inc$13,941,000
-1.0%
236,252
+3.6%
2.62%
-4.7%
UL BuyUnilever Plc Adr New$13,459,000
+30.7%
272,779
+7.8%
2.53%
+25.8%
RDSB BuyRoyal Dutch Shell B Adrf$9,963,000
-0.4%
178,456
+3.4%
1.88%
-4.1%
PRA BuyProassurance Corporation$2,197,000
+55.9%
36,473
+45.5%
0.41%
+50.2%
TMK BuyTorchmark Corporation$2,120,000
+7.1%
27,522
+2.6%
0.40%
+3.1%
AAPL BuyApple Inc$2,117,000
+26.3%
14,737
+1.8%
0.40%
+21.3%
WFC BuyWells Fargo & Co New$883,000
+4.1%
15,865
+3.1%
0.17%0.0%
GLD BuyStreettracks Gold TRUST$862,000
+19.2%
7,263
+10.1%
0.16%
+14.9%
PM BuyPhilip Morris Intl Inc$773,000
+26.5%
6,843
+2.4%
0.14%
+21.8%
JPM BuyJP Morgan Chase & Co$604,000
+43.8%
6,871
+41.1%
0.11%
+39.0%
GS BuyGoldman Sachs Group Inc$410,000
+36.2%
1,784
+42.0%
0.08%
+30.5%
KMI BuyKinder Morgan Inc$342,000
+29.5%
15,752
+23.5%
0.06%
+23.1%
GOOGL BuyGoogle Inc Class A$319,000
+13.5%
376
+6.2%
0.06%
+9.1%
V BuyVisa Inc Cl A$299,000
+23.6%
3,370
+8.9%
0.06%
+19.1%
DIS BuyDisney Walt Co$289,000
+26.2%
2,551
+16.3%
0.05%
+20.0%
PFE BuyPfizer Incorporated$283,000
+12.7%
8,263
+6.9%
0.05%
+8.2%
AMZN BuyAmazon Com Inc$256,000
+31.3%
289
+11.2%
0.05%
+26.3%
BAC BuyBank Of America Corp$237,000
+7.2%
10,035
+0.4%
0.04%
+4.7%
GILD BuyGilead Sciences Inc$194,000
+3.7%
2,857
+9.7%
0.04%0.0%
MA BuyMastercard Inc$183,000
+10.2%
1,625
+1.2%
0.03%
+6.2%
QCOM BuyQualcomm Inc$174,000
-10.3%
3,037
+2.3%
0.03%
-13.2%
ORCL BuyOracle Corporation$170,000
+23.2%
3,814
+6.7%
0.03%
+18.5%
GOOG BuyGoogle Inc Class C$159,000
+18.7%
192
+10.3%
0.03%
+15.4%
TJX BuyT J X Co. Inc$151,000
+18.0%
1,907
+11.7%
0.03%
+12.0%
TIF BuyTiffany & Co New$147,000
+23.5%
1,541
+0.6%
0.03%
+21.7%
BBT NewBb&T Corporation$151,0003,368
+100.0%
0.03%
MCK BuyMckesson Corporation$141,000
+29.4%
948
+22.6%
0.03%
+28.6%
CLX BuyClorox Company$143,000
+16.3%
1,057
+3.5%
0.03%
+12.5%
ACN BuyAccenture$137,000
+3.8%
1,145
+1.6%
0.03%0.0%
CMCSA BuyComcast Corp New Cl A$135,000
+9.8%
3,594
+101.0%
0.02%
+4.2%
PDN BuyPowershares RAFI Small/Mid Cap$130,000
+11.1%
4,442
+2.1%
0.02%
+4.3%
FBHS NewFortune Brands Hm & Sec$112,0001,838
+100.0%
0.02%
SLCA NewU S Silica Hldgs Inc$113,0002,357
+100.0%
0.02%
ASPS NewAltisource Port Solu$108,0002,934
+100.0%
0.02%
RY NewRoyal Bk Cda Montreal$101,0001,388
+100.0%
0.02%
MO BuyAltria Group Inc$31,000
-89.0%
4,413
+5.8%
0.01%
-89.1%
SDRL NewSeadrill Ltd$18,00011,000
+100.0%
0.00%
Original filings

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

  • View 13F-HR filed 2017-05-02
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Abbvie Inc Com USD0.0142Q3 20233.8%
NEXTERA ENERGY INC42Q3 20233.6%
LOCKHEED MARTIN CORP42Q3 20233.5%
The Southern Company42Q3 20233.5%
GALLAGHER ARTHUR J & CO42Q3 20233.5%
Pepsico Incorporated42Q3 20233.2%
Exxon Mobil Corporation42Q3 20233.7%
Chevron Corporation42Q3 20233.7%
MCDONALDS CORP42Q3 20233.5%
JOHNSON & JOHNSON42Q3 20233.3%

View Welch Group, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-09
13F-HR2024-01-23
13F-HR2023-10-18
13F-HR2023-07-18
13F-HR2023-04-13
13F-HR2023-01-30
13F-HR2022-10-13
13F-HR2022-07-21
13F-HR2022-04-29
13F-HR2022-01-26

View Welch Group, LLC's complete filings history.

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