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Size ($ in 1000's)
At 12/31/2023: $746,023 At 09/30/2023: $702,349
Richard C. Young & CO. LTD. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Richard C. Young & CO. LTD. 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, below is a summary of the Richard C. Young & CO. LTD. top holdings by largest position size, as per the latest 13f filing made by Richard C. Young & CO. LTD..
In the Richard C. Young & CO. LTD.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Richard C. Young & CO. LTD. in that top holding, then the share count change between reporting periods, and finally the Richard C. Young & CO. LTD. top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
World Gold TR |
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$36,396 | SPRD GLD Minis | 889,654 | +11,586 | $36,396 | SPDR Gold Trust (GLD) |
137,965 |
-2,494 |
$26,375 | GLD | 137,965 | -2,494 | $26,375 | Visa Inc |
87,280 |
+784 |
$22,723 | V | 87,280 | +784 | $22,723 | Merck & Co Inc |
195,929 |
+1,859 |
$21,360 | MRK | 195,929 | +1,859 | $21,360 | Texas Instrs Inc |
116,974 |
+2,116 |
$19,939 | TXN | 116,974 | +2,116 | $19,939 | CVS Health Corp |
242,497 |
+3,295 |
$19,148 | CVS | 242,497 | +3,295 | $19,148 | Procter & Gamble Co |
118,687 |
+2,077 |
$17,392 | PG | 118,687 | +2,077 | $17,392 | Exxon Mobil Corp |
173,633 |
+1,966 |
$17,360 | XOM | 173,633 | +1,966 | $17,360 | Automatic Data Processing In |
73,796 |
+222 |
$17,192 | ADP | 73,796 | +222 | $17,192 | Lowes Cos Inc |
76,296 |
+1,202 |
$16,980 | LOW | 76,296 | +1,202 | $16,980 | Caterpillar Inc Del |
57,058 |
+1,537 |
$16,870 | CAT | 57,058 | +1,537 | $16,870 | Norfolk Southern Corp |
70,074 |
-1,028 |
$16,564 | NSC | 70,074 | -1,028 | $16,564 | iShares Silver Trust (SLV) |
740,702 |
+3,725 |
$16,132 | SLV | 740,702 | +3,725 | $16,132 | Southern Co |
215,797 |
+3,871 |
$15,132 | SO | 215,797 | +3,871 | $15,132 | Cisco SYS Inc |
291,170 |
+8,705 |
$14,710 | CSCO | 291,170 | +8,705 | $14,710 | Phillips 66 |
107,177 |
+3,246 |
$14,270 | PSX | 107,177 | +3,246 | $14,270 | Chevron Corp New |
94,691 |
+2,919 |
$14,124 | CVX | 94,691 | +2,919 | $14,124 | L3 Harris Technologies Inc |
66,598 |
+66,598 |
$14,027 | LHX | 66,598 | +66,598 | $14,027 | Illinois Tool WKS Inc |
53,272 |
-732 |
$13,954 | ITW | 53,272 | -732 | $13,954 | Novartis AG |
137,156 |
-2,967 |
$13,849 | NVS | 137,156 | -2,967 | $13,849 | Air Products & Chems Inc |
49,956 |
+1,951 |
$13,678 | APD | 49,956 | +1,951 | $13,678 | Kimberly Clark Corp |
111,092 |
+1,835 |
$13,499 | KMB | 111,092 | +1,835 | $13,499 | Analog Devices Inc |
67,517 |
+1,021 |
$13,406 | ADI | 67,517 | +1,021 | $13,406 | AT&T Inc |
798,900 |
+26,189 |
$13,406 | T | 798,900 | +26,189 | $13,406 | United Parcel Service Inc |
81,239 |
-1,032 |
$12,773 | UPS | 81,239 | -1,032 | $12,773 | Verizon Communications Inc |
337,054 |
+10,698 |
$12,707 | VZ | 337,054 | +10,698 | $12,707 | Aflac Inc |
152,075 |
+152,075 |
$12,546 | AFL | 152,075 | +152,075 | $12,546 | McDonalds Corp |
42,275 |
+659 |
$12,535 | MCD | 42,275 | +659 | $12,535 | Kinder Morgan Inc Del |
704,860 |
+26,654 |
$12,434 | KMI | 704,860 | +26,654 | $12,434 | Fortis Inc |
294,192 |
+3,011 |
$12,100 | FTS | 294,192 | +3,011 | $12,100 | Valero Energy Corp |
88,737 |
-1,322 |
$11,536 | VLO | 88,737 | -1,322 | $11,536 | Unilever PLC ADR |
235,523 |
+600 |
$11,418 | UL | 235,523 | +600 | $11,418 | Johnson & Johnson |
72,197 |
+841 |
$11,316 | JNJ | 72,197 | +841 | $11,316 | Emerson Elec Co |
113,662 |
+5,277 |
$11,063 | EMR | 113,662 | +5,277 | $11,063 | Williams Cos Inc |
316,501 |
+10,521 |
$11,024 | WMB | 316,501 | +10,521 | $11,024 | Oracle Corp |
104,480 |
+4,816 |
$11,015 | ORCL | 104,480 | +4,816 | $11,015 | Hershey Co |
58,882 |
+1,536 |
$10,978 | HSY | 58,882 | +1,536 | $10,978 | International Business Machs |
65,849 |
-1,743 |
$10,770 | IBM | 65,849 | -1,743 | $10,770 | Union Pac Corp |
43,703 |
+2,447 |
$10,734 | UNP | 43,703 | +2,447 | $10,734 | Medtronic PLC |
126,228 |
-6,394 |
$10,399 | MDT | 126,228 | -6,394 | $10,399 | Smucker J M Co |
81,257 |
+54,737 |
$10,269 | SJM | 81,257 | +54,737 | $10,269 | PNC Finl Svcs Group Inc |
61,022 |
-99 |
$9,449 | PNC | 61,022 | -99 | $9,449 | General Dynamics Corp |
35,162 |
+3,020 |
$9,131 | GD | 35,162 | +3,020 | $9,131 | Wal Mart Stores Inc |
57,825 |
+2,314 |
$9,116 | WMT | 57,825 | +2,314 | $9,116 | Home Depot Inc |
25,931 |
-56 |
$8,986 | HD | 25,931 | -56 | $8,986 | Cummins Inc |
36,365 |
+1,979 |
$8,712 | CMI | 36,365 | +1,979 | $8,712 | Kenvue Inc |
362,167 |
+7,549 |
$7,797 | KVUE | 362,167 | +7,549 | $7,797 | Kroger Co |
150,418 |
-1,494 |
$6,876 | KR | 150,418 | -1,494 | $6,876 | Fidelity Covington Trust |
104,648 |
+104,648 |
$6,770 | FHLC | 104,648 | +104,648 | $6,770 | Colgate Palmolive Co |
81,306 |
-1,871 |
$6,481 | CL | 81,306 | -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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