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Size ($ in 1000's)
At 03/31/2024: $423,335 At 12/31/2023: $0
American National Bank & Trust Co. VA holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from American National Bank & Trust Co. VA 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, below is a summary of the American National Bank & Trust Co. VA top holdings by largest position size, as per the latest 13f filing made by American National Bank & Trust Co. VA.
In the American National Bank & Trust Co. VA-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by American National Bank & Trust Co. VA in that top holding, then the share count change between reporting periods, and finally the American National Bank & Trust Co. VA top holding position size
for that row.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
MICROSOFT CORPORATION |
66,104 |
+66,104 |
$27,810 | MSFT | 66,104 | +66,104 | $27,810 | APPLE INC |
116,344 |
+116,344 |
$19,951 | AAPL | 116,344 | +116,344 | $19,951 | NVIDIA CORPORATION |
17,256 |
+17,256 |
$15,592 | NVDA | 17,256 | +17,256 | $15,592 | SPDR S&P 500 ETF TR TR UNIT (SPY) |
24,907 |
+24,907 |
$13,028 | SPY | 24,907 | +24,907 | $13,028 | BERKSHIRE HATHAWAY INC DEL CL B NEW |
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$12,900 | BRK.B | 30,677 | +30,677 | $12,900 | ALPHABET INC. CLASS C |
82,797 |
+82,797 |
$12,607 | GOOG | 82,797 | +82,797 | $12,607 | AMAZON.COM INC |
66,209 |
+66,209 |
$11,943 | AMZN | 66,209 | +66,209 | $11,943 | META PLATFORMS FORMERLY FACEBOOK INC |
21,379 |
+21,379 |
$10,381 | META | 21,379 | +21,379 | $10,381 | ABBVIE INC |
55,983 |
+55,983 |
$10,194 | ABBV | 55,983 | +55,983 | $10,194 | J P MORGAN CHASE & CO |
49,333 |
+49,333 |
$9,881 | JPM | 49,333 | +49,333 | $9,881 | VISA INC COM CL A |
33,284 |
+33,284 |
$9,288 | V | 33,284 | +33,284 | $9,288 | TJX COMPANIES INC |
82,121 |
+82,121 |
$8,329 | TJX | 82,121 | +82,121 | $8,329 | MASTERCARD INC |
16,280 |
+16,280 |
$7,840 | MA | 16,280 | +16,280 | $7,840 | PROCTER & GAMBLE CO COM |
47,060 |
+47,060 |
$7,635 | PG | 47,060 | +47,060 | $7,635 | LOWES COMPANY INC |
29,563 |
+29,563 |
$7,530 | LOW | 29,563 | +29,563 | $7,530 | THERMO FISHER SCIENTIFIC INC |
12,570 |
+12,570 |
$7,306 | TMO | 12,570 | +12,570 | $7,306 | MERCK & CO NEW |
54,867 |
+54,867 |
$7,240 | MRK | 54,867 | +54,867 | $7,240 | AMETEK INC NEW COM |
38,152 |
+38,152 |
$6,978 | AME | 38,152 | +38,152 | $6,978 | CHEVRON CORPORATION |
44,238 |
+44,238 |
$6,978 | CVX | 44,238 | +44,238 | $6,978 | NXP SEMICONDUCTORS |
27,249 |
+27,249 |
$6,751 | NXPI | 27,249 | +27,249 | $6,751 | ROPER INDS INC NEW |
11,259 |
+11,259 |
$6,314 | ROP | 11,259 | +11,259 | $6,314 | LINDE PLC NVP |
13,129 |
+13,129 |
$6,096 | LIN | 13,129 | +13,129 | $6,096 | AMERICAN NATL BANKSHARES INC COM (AMNB) |
123,490 |
+123,490 |
$5,897 | AMNB | 123,490 | +123,490 | $5,897 | RTX CORPORATION FORMERLY RAYTHEON TECH |
59,305 |
+59,305 |
$5,784 | RTX | 59,305 | +59,305 | $5,784 | ANALOG DEVICES INC |
29,126 |
+29,126 |
$5,761 | ADI | 29,126 | +29,126 | $5,761 | BROOKFIELD CORP NVP |
136,556 |
+136,556 |
$5,716 | BN | 136,556 | +136,556 | $5,716 | ISHARES MSCI EAFE ETF (EFA) |
69,976 |
+69,976 |
$5,588 | EFA | 69,976 | +69,976 | $5,588 | ASML HOLDING NV |
5,688 |
+5,688 |
$5,520 | ASML | 5,688 | +5,688 | $5,520 | ABBOTT LABORATORIES |
46,431 |
+46,431 |
$5,277 | ABT | 46,431 | +46,431 | $5,277 | PEPSICO INC COM |
30,049 |
+30,049 |
$5,259 | PEP | 30,049 | +30,049 | $5,259 | S&P GLOBAL INC |
12,324 |
+12,324 |
$5,243 | SPGI | 12,324 | +12,324 | $5,243 | CONSTELLATION BRANDS CLASS A |
18,910 |
+18,910 |
$5,139 | STZ | 18,910 | +18,910 | $5,139 | BROADCOM INC |
3,814 |
+3,814 |
$5,055 | AVGO | 3,814 | +3,814 | $5,055 | ACCENTURE PLC |
14,096 |
+14,096 |
$4,886 | ACN | 14,096 | +14,096 | $4,886 | NEXTERA ENERGY INC |
75,392 |
+75,392 |
$4,817 | NEE | 75,392 | +75,392 | $4,817 | UNION PACIFIC CORP |
19,542 |
+19,542 |
$4,806 | UNP | 19,542 | +19,542 | $4,806 | ELEVANCE HEALTH INC FORMERLY ANTHEM |
8,942 |
+8,942 |
$4,637 | ELV | 8,942 | +8,942 | $4,637 | HONEYWELL INTL INC COM |
22,303 |
+22,303 |
$4,578 | HON | 22,303 | +22,303 | $4,578 | DIAGEO PLC SPON ADR NEW |
29,795 |
+29,795 |
$4,432 | DEO | 29,795 | +29,795 | $4,432 | INTEL CORPORATION |
98,896 |
+98,896 |
$4,367 | INTC | 98,896 | +98,896 | $4,367 | FIRST BANCORP |
112,742 |
+112,742 |
$4,071 | FBNC | 112,742 | +112,742 | $4,071 | MARKEL GROUP INC FORMERLY MARKEL CO |
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$4,059 | COMMON STOCK | 2,668 | +2,668 | $4,059 | MEDTRONIC PLC |
43,562 |
+43,562 |
$3,796 | MDT | 43,562 | +43,562 | $3,796 | NORTHROP GRUMMAN CORP |
7,230 |
+7,230 |
$3,461 | NOC | 7,230 | +7,230 | $3,461 | XYLEM INC |
26,672 |
+26,672 |
$3,447 | XYL | 26,672 | +26,672 | $3,447 | DOLLAR GEN CORP NEW COM |
21,398 |
+21,398 |
$3,339 | DG | 21,398 | +21,398 | $3,339 | CHEMED CORPORATON |
4,864 |
+4,864 |
$3,122 | CHE | 4,864 | +4,864 | $3,122 | PNC BANK CORP |
17,710 |
+17,710 |
$2,862 | PNC | 17,710 | +17,710 | $2,862 | COSTCO WHOLESALE CORP |
3,385 |
+3,385 |
$2,480 | COST | 3,385 | +3,385 | $2,480 | JOHNSON & JOHNSON COM |
15,197 |
+15,197 |
$2,404 | JNJ | 15,197 | +15,197 | $2,404 |
See Full List: All Stocks Held By American National Bank & Trust Co. VA
— Including: Biggest new positions Biggest exits
See Details: Top 10 Stocks Held By American National Bank & Trust Co. VA
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