American National Registered Investment Advisor, Inc. - Q2 2019 holdings

$178 Million is the total value of American National Registered Investment Advisor, Inc.'s 211 reported holdings in Q2 2019. The portfolio turnover from Q1 2019 to Q2 2019 was 0.0% .

 Value Shares↓ Weighting
AMZN  Amazon.com, Inc.$6,336,000
+6.2%
3,3510.0%3.55%
+7.3%
HD  Home Depot, Inc.$2,543,000
+8.4%
12,2280.0%1.42%
+9.4%
BA  Boeing Company$2,113,000
-4.6%
5,8050.0%1.18%
-3.7%
ADBE  Adobe Inc$2,052,000
+10.5%
6,9670.0%1.15%
+11.5%
GOOG  Alphabet Inc Class C$2,035,000
-7.9%
1,8830.0%1.14%
-6.9%
HON  Honeywell International, Inc.$2,015,000
+9.9%
11,5410.0%1.13%
+10.9%
GOOGL  Alphabet Inc Class A$2,002,000
-8.0%
1,8490.0%1.12%
-7.1%
NOC  Northrop Grumman Corp.$2,002,000
+19.8%
6,1970.0%1.12%
+21.0%
V  Visa Inc$1,865,000
+11.1%
10,7450.0%1.04%
+12.2%
CSCO  Cisco Systems$1,833,000
+1.1%
33,5880.0%1.03%
+2.1%
TMO  Thermo Fisher Scientific Inc$1,793,000
+7.3%
6,1060.0%1.00%
+8.4%
DIS  Walt Disney Co.$1,676,000
+25.8%
12,0000.0%0.94%
+27.1%
CMCSA  Comcast Corp$1,649,000
+5.7%
39,0300.0%0.92%
+6.7%
ORCL  Oracle Corp.$1,612,000
+6.1%
28,2980.0%0.90%
+7.1%
WMT  Walmart Stores Inc$1,578,000
+13.3%
14,2850.0%0.88%
+14.5%
UNP  Union Pacific$1,439,000
+1.1%
8,5120.0%0.81%
+2.2%
NFLX  Netflix Inc$1,400,000
+3.0%
3,8120.0%0.78%
+4.1%
MMC  Marsh & McLennan Companies, In$1,394,000
+6.2%
13,9750.0%0.78%
+7.3%
TGT  Target Corp.$1,300,000
+8.0%
15,0060.0%0.73%
+9.1%
AXP  American Express$1,248,000
+12.9%
10,1100.0%0.70%
+14.2%
WFC  Wells Fargo Co.$1,224,000
-2.0%
25,8580.0%0.69%
-1.0%
CRM  Salesforce.com Inc$1,180,000
-4.1%
7,7750.0%0.66%
-3.2%
NOW  Servicenow Inc$1,138,000
+11.5%
4,1440.0%0.64%
+12.5%
PRU  Prudential Financial, Inc.$1,054,000
+9.9%
10,4370.0%0.59%
+11.1%
CHD  Church & Dwight Co.$1,043,000
+2.6%
14,2750.0%0.58%
+3.7%
MS  Morgan Stanley, Dean Witter, D$1,038,000
+3.8%
23,6980.0%0.58%
+4.9%
C  Citigroup Inc.$1,023,000
+12.5%
14,6100.0%0.57%
+13.7%
LOW  Lowe's Co.$998,000
-7.8%
9,8940.0%0.56%
-7.0%
NEE  NextEra Energy Inc$963,000
+5.9%
4,7000.0%0.54%
+7.1%
ZTS  Zoetis$936,000
+12.8%
8,2440.0%0.52%
+13.9%
GS  Goldman Sachs Group$926,000
+6.6%
4,5270.0%0.52%
+7.7%
STZ  Constellation Brands$925,000
+12.3%
4,6980.0%0.52%
+13.3%
ACN  Accenture PLC CL A$909,000
+5.0%
4,9200.0%0.51%
+6.0%
ATVI  Activision Blizzard Inc$900,000
+3.7%
19,0540.0%0.50%
+4.6%
TSS  Total System Services$879,000
+35.0%
6,8560.0%0.49%
+36.6%
AVGO  Broadcom Inc$877,000
-4.4%
3,0490.0%0.49%
-3.3%
QCOM  Qualcomm Inc.$802,000
+33.2%
10,5480.0%0.45%
+34.7%
ABT  Abbott Labs$801,000
+5.3%
9,5250.0%0.45%
+6.4%
COST  Costco Co.$794,000
+9.1%
3,0050.0%0.44%
+10.1%
NVDA  NVIDIA Corp.$764,000
-8.5%
4,6500.0%0.43%
-7.6%
MAR  Marriott International$752,000
+12.2%
5,3600.0%0.42%
+13.4%
PFG  Principal Financial Group$736,000
+15.4%
12,7060.0%0.41%
+16.7%
MDLZ  Mondelez International Inc$723,000
+7.9%
13,4230.0%0.40%
+8.9%
GE  General Electric Co.$720,000
+5.1%
68,5570.0%0.40%
+6.3%
DG  Dollar General$708,000
+13.3%
5,2380.0%0.40%
+14.4%
PTC  PTC Inc$705,000
-2.6%
7,8530.0%0.40%
-1.7%
CELG  Celgene Corp.$699,000
-2.1%
7,5720.0%0.39%
-1.0%
PPG  PPG Industries, Inc.$696,000
+3.4%
5,9650.0%0.39%
+4.6%
PODD  Insulet Corp$687,000
+25.6%
5,7550.0%0.38%
+26.6%
COLM  Columbia Sportswear Co$673,000
-3.7%
6,7110.0%0.38%
-2.8%
EOG  EOG Resources$672,000
-2.0%
7,2100.0%0.38%
-1.0%
TRV  The Travelers Companies, Inc.$670,000
+8.9%
4,4830.0%0.38%
+10.3%
IBM  International Business Machine$665,000
-2.2%
4,8210.0%0.37%
-1.1%
MKC  McCormick & Co.$631,000
+2.9%
4,0710.0%0.35%
+4.1%
CMI  Cummins Inc$609,000
+8.6%
3,5550.0%0.34%
+9.6%
CVS  CVS Health Corp$602,000
+1.2%
11,0390.0%0.34%
+2.1%
SBUX  Starbucks Corp.$596,000
+12.7%
7,1150.0%0.33%
+13.6%
ATO  Atmos Energy Corp.$596,000
+2.4%
5,6500.0%0.33%
+3.4%
TMUS  T Mobile US Inc$587,000
+7.3%
7,9150.0%0.33%
+8.2%
APC  Anadarko Petroleum Corp.$579,000
+55.2%
8,2090.0%0.32%
+57.0%
COF  Capital One Financial$573,000
+11.0%
6,3180.0%0.32%
+12.2%
NTR  Nutrien LTD$565,000
+1.4%
10,5660.0%0.32%
+2.6%
EXC  Exelon Corp.$564,000
-4.4%
11,7650.0%0.32%
-3.4%
MET  Metlife Inc$561,000
+16.6%
11,2980.0%0.31%
+17.6%
VRTX  Vertex Pharmaceuticals Inc$553,000
-0.4%
3,0150.0%0.31%
+0.6%
ALGN  Align Technology$542,000
-3.6%
1,9780.0%0.30%
-2.6%
CAT  Caterpillar Inc.$539,000
+0.6%
3,9550.0%0.30%
+1.7%
NI  Nisource Inc.$533,000
+0.6%
18,4970.0%0.30%
+1.7%
FDX  Fedex Corp.$525,000
-9.5%
3,1980.0%0.29%
-8.7%
LNG  Cheniere Energy Inc$522,0000.0%7,6300.0%0.29%
+1.0%
MDT  Medtronic Inc$515,000
+7.1%
5,2830.0%0.29%
+8.2%
DK  Delek US Holding Inc$498,000
+11.2%
12,2950.0%0.28%
+12.0%
EXPE  Expedia Group Inc$498,000
+11.9%
3,7400.0%0.28%
+13.0%
CI  Cigna Corp$496,000
-2.0%
3,1470.0%0.28%
-1.1%
DISCA  Discovery Inc$485,000
+13.6%
15,8000.0%0.27%
+14.8%
TAP  Molson Coors Brewing Company$479,000
-6.1%
8,5470.0%0.27%
-5.3%
APD  Air Products & Chemicals, Inc.$478,000
+18.6%
2,1120.0%0.27%
+19.6%
ALXN  Alexion Pharmaceuticals Inc$477,000
-3.0%
3,6400.0%0.27%
-2.2%
ALL  Allstate Corp$472,000
+8.0%
4,6370.0%0.26%
+9.1%
UDR  UDR Inc$471,000
-1.3%
10,4820.0%0.26%
-0.4%
EA  Electronic Arts Inc.$469,000
-0.4%
4,6310.0%0.26%
+0.8%
BBT  BB&T Corporation$465,000
+5.7%
9,4580.0%0.26%
+7.0%
SLB  Schlumberger Ltd.$455,000
-8.8%
11,4420.0%0.26%
-7.9%
TTWO  Take-Two Interactive Software$448,000
+20.1%
3,9500.0%0.25%
+21.3%
AWK  American Water Works Co Inc$433,000
+11.3%
3,7350.0%0.24%
+12.5%
EXP  Eagle Materials Inc$417,000
+10.0%
4,5000.0%0.23%
+11.4%
KR  Kroger Co$402,000
-11.8%
18,5350.0%0.22%
-11.1%
HPQ  HP Inc$402,000
+7.2%
19,3250.0%0.22%
+8.2%
CTSH  Cognizant Tech Solutions Corp.$397,000
-12.6%
6,2600.0%0.22%
-11.5%
GTLS  Chart Industries Inc$397,000
-15.2%
5,1650.0%0.22%
-14.2%
FLS  Flowserve Corp.$394,000
+16.6%
7,4770.0%0.22%
+17.6%
MPC  Marathon Petroleum Corp.$394,000
-6.6%
7,0500.0%0.22%
-5.6%
RXN  Rexnord Corp$391,000
+20.3%
12,9300.0%0.22%
+21.7%
AGN  Allergan PLC$381,000
+14.4%
2,2760.0%0.21%
+15.7%
PANW  Palo Alto Networks Inc$382,000
-16.0%
1,8750.0%0.21%
-15.1%
HOLX  Hologic Inc$377,000
-0.8%
7,8500.0%0.21%0.0%
EVRG  Evergy Inc$371,000
+3.6%
6,1700.0%0.21%
+4.5%
GLW  Corning Inc.$369,000
+0.3%
11,1180.0%0.21%
+1.5%
JD  JD.com Inc$367,000
+0.5%
12,1050.0%0.21%
+1.5%
NFG  National Fuel Gas Co.$364,000
-13.5%
6,9000.0%0.20%
-12.8%
PPL  PPL Corp.$360,000
-2.2%
11,6070.0%0.20%
-1.0%
VLO  Valero Energy Corp.$353,000
+0.9%
4,1250.0%0.20%
+2.1%
BXP  Boston Properties Inc$348,000
-3.6%
2,7000.0%0.20%
-2.5%
ALB  Albemarle Corp$332,000
-14.0%
4,7100.0%0.19%
-13.1%
MU  Micron Technology Inc.$329,000
-6.5%
8,5250.0%0.18%
-5.6%
WBA  Walgreens Boots Alliance Inc$323,000
-13.4%
5,9030.0%0.18%
-12.6%
LVS  Las Vegas Sands$321,000
-3.0%
5,4250.0%0.18%
-2.2%
TSCO  Tractor Supply Company$319,000
+11.1%
2,9330.0%0.18%
+12.6%
BMRN  Biomarin Pharmaceutical Inc$319,000
-3.6%
3,7250.0%0.18%
-2.7%
PEG  Public Service Enterprise Grou$318,000
-0.9%
5,4000.0%0.18%0.0%
MTX  Minerals Technologies Inc$292,000
-9.0%
5,4650.0%0.16%
-7.9%
ARCC  Ares Capital Corp$291,000
+4.7%
16,2000.0%0.16%
+5.8%
DVA  Davita Inc$288,000
+3.6%
5,1150.0%0.16%
+4.5%
SEE  Sealed Air Corp.$284,000
-7.2%
6,6500.0%0.16%
-6.5%
DGX  Quest Diagnostics Inc$270,000
+13.4%
2,6500.0%0.15%
+14.4%
WMB  Williams Cos.$269,000
-2.5%
9,6000.0%0.15%
-1.3%
FTV  Fortive Corp$252,000
-3.1%
3,0970.0%0.14%
-2.1%
HAL  Halliburton Co.$251,000
-22.3%
11,0170.0%0.14%
-21.2%
WY  Weyerhaeuser Co.$249,0000.0%9,4400.0%0.14%
+1.4%
MRC  MRC Global Inc$249,000
-2.0%
14,5350.0%0.14%
-0.7%
BDX  Becton Dickinson and Co$248,000
+0.8%
9840.0%0.14%
+1.5%
VMC  Vulcan Materials$239,000
+16.0%
1,7380.0%0.13%
+17.5%
PM  Philip Morris International In$232,000
-11.1%
2,9500.0%0.13%
-10.3%
CPE  Callon Petroleum Co$229,000
-12.6%
34,7660.0%0.13%
-11.7%
CMA  Comerica, Inc.$218,000
-0.9%
3,0000.0%0.12%0.0%
KIM  Kimco Realty Corp.$185,0000.0%10,0000.0%0.10%
+1.0%
FCX  Freeport-McMoRan Inc$139,000
-10.3%
11,9950.0%0.08%
-9.3%
VGR  Vector Group Ltd$136,000
-9.9%
13,9710.0%0.08%
-9.5%
Other managers

Other managers that, in addition to the filing manager(s), that filed the EDGAR filing(s):

  • American National Insurance Company #1
Original filings

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

  • View 13F-HR filed 2019-08-05
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INC36Q1 20226.5%
MICROSOFT CORP36Q1 20226.6%
JPMORGAN CHASE & CO36Q1 20221.9%
HOME DEPOT INC36Q1 20221.7%
JOHNSON & JOHNSON36Q1 20221.7%
AT&T INC36Q1 20221.8%
EXXON MOBIL CORP36Q1 20222.1%
Boeing Company36Q1 20222.0%
PFIZER INC36Q1 20221.4%
Procter & Gamble, Inc.36Q1 20221.4%

View American National Registered Investment Advisor, Inc.'s complete holdings history.

Latest filings
TypeFiled
13F-HR2022-05-13
13F-HR2022-02-09
13F-HR2021-11-15
13F-HR2021-08-10
13F-HR2021-05-13
13F-HR2021-02-16
13F-HR2020-11-13
13F-HR2020-08-13
13F-HR2020-05-01
13F-HR2020-02-12

View American National Registered Investment Advisor, Inc.'s complete filings history.

Compare quarters

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