Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $746,023
At 09/30/2023: $702,349

Richard C. Young & CO. LTD. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Richard C. Young & CO. LTD. 13F filings. Link to 13F filings: SEC filings

Richard C. Young & CO. LTD. Top Holdings
As of  12/31/2023, below is a summary of the Richard C. Young & CO. LTD. top holdings by largest position size, as per the latest 13f filing made by Richard C. Young & CO. LTD.. In the Richard C. Young & CO. LTD.-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 Richard C. Young & CO. LTD. in that top holding, then the share count change between reporting periods, and finally the Richard C. Young & CO. LTD. top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
World Gold TR      $36,396
     SPRD GLD Minis889,654+11,586$36,396
SPDR Gold Trust (GLD) 137,965 -2,494 $26,375
     GLD137,965-2,494$26,375
Visa Inc 87,280 +784 $22,723
     V87,280+784$22,723
Merck & Co Inc 195,929 +1,859 $21,360
     MRK195,929+1,859$21,360
Texas Instrs Inc 116,974 +2,116 $19,939
     TXN116,974+2,116$19,939
CVS Health Corp 242,497 +3,295 $19,148
     CVS242,497+3,295$19,148
Procter & Gamble Co 118,687 +2,077 $17,392
     PG118,687+2,077$17,392
Exxon Mobil Corp 173,633 +1,966 $17,360
     XOM173,633+1,966$17,360
Automatic Data Processing In 73,796 +222 $17,192
     ADP73,796+222$17,192
Lowes Cos Inc 76,296 +1,202 $16,980
     LOW76,296+1,202$16,980
Caterpillar Inc Del 57,058 +1,537 $16,870
     CAT57,058+1,537$16,870
Norfolk Southern Corp 70,074 -1,028 $16,564
     NSC70,074-1,028$16,564
iShares Silver Trust (SLV) 740,702 +3,725 $16,132
     SLV740,702+3,725$16,132
Southern Co 215,797 +3,871 $15,132
     SO215,797+3,871$15,132
Cisco SYS Inc 291,170 +8,705 $14,710
     CSCO291,170+8,705$14,710
Phillips 66 107,177 +3,246 $14,270
     PSX107,177+3,246$14,270
Chevron Corp New 94,691 +2,919 $14,124
     CVX94,691+2,919$14,124
L3 Harris Technologies Inc 66,598 +66,598 $14,027
     LHX66,598+66,598$14,027
Illinois Tool WKS Inc 53,272 -732 $13,954
     ITW53,272-732$13,954
Novartis AG 137,156 -2,967 $13,849
     NVS137,156-2,967$13,849
Air Products & Chems Inc 49,956 +1,951 $13,678
     APD49,956+1,951$13,678
Kimberly Clark Corp 111,092 +1,835 $13,499
     KMB111,092+1,835$13,499
Analog Devices Inc 67,517 +1,021 $13,406
     ADI67,517+1,021$13,406
AT&T Inc 798,900 +26,189 $13,406
     T798,900+26,189$13,406
United Parcel Service Inc 81,239 -1,032 $12,773
     UPS81,239-1,032$12,773
Verizon Communications Inc 337,054 +10,698 $12,707
     VZ337,054+10,698$12,707
Aflac Inc 152,075 +152,075 $12,546
     AFL152,075+152,075$12,546
McDonalds Corp 42,275 +659 $12,535
     MCD42,275+659$12,535
Kinder Morgan Inc Del 704,860 +26,654 $12,434
     KMI704,860+26,654$12,434
Fortis Inc 294,192 +3,011 $12,100
     FTS294,192+3,011$12,100
Valero Energy Corp 88,737 -1,322 $11,536
     VLO88,737-1,322$11,536
Unilever PLC ADR 235,523 +600 $11,418
     UL235,523+600$11,418
Johnson & Johnson 72,197 +841 $11,316
     JNJ72,197+841$11,316
Emerson Elec Co 113,662 +5,277 $11,063
     EMR113,662+5,277$11,063
Williams Cos Inc 316,501 +10,521 $11,024
     WMB316,501+10,521$11,024
Oracle Corp 104,480 +4,816 $11,015
     ORCL104,480+4,816$11,015
Hershey Co 58,882 +1,536 $10,978
     HSY58,882+1,536$10,978
International Business Machs 65,849 -1,743 $10,770
     IBM65,849-1,743$10,770
Union Pac Corp 43,703 +2,447 $10,734
     UNP43,703+2,447$10,734
Medtronic PLC 126,228 -6,394 $10,399
     MDT126,228-6,394$10,399
Smucker J M Co 81,257 +54,737 $10,269
     SJM81,257+54,737$10,269
PNC Finl Svcs Group Inc 61,022 -99 $9,449
     PNC61,022-99$9,449
General Dynamics Corp 35,162 +3,020 $9,131
     GD35,162+3,020$9,131
Wal Mart Stores Inc 57,825 +2,314 $9,116
     WMT57,825+2,314$9,116
Home Depot Inc 25,931 -56 $8,986
     HD25,931-56$8,986
Cummins Inc 36,365 +1,979 $8,712
     CMI36,365+1,979$8,712
Kenvue Inc 362,167 +7,549 $7,797
     KVUE362,167+7,549$7,797
Kroger Co 150,418 -1,494 $6,876
     KR150,418-1,494$6,876
Fidelity Covington Trust 104,648 +104,648 $6,770
     FHLC104,648+104,648$6,770
Colgate Palmolive Co 81,306 -1,871 $6,481
     CL81,306-1,871$6,481

See Full List: All Stocks Held By Richard C. Young & CO. LTD.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Richard C. Young & CO. LTD.

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