HoldingsChannel.com
American National Registered Investment Advisor Inc. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Microsoft Corp 62,666 UNCH $8,712
     MSFT62,666UNCH$8,712
Apple Inc 30,698 UNCH $6,875
     AAPL30,698UNCH$6,875
Amazon.com Inc. 3,351 UNCH $5,817
     AMZN3,351UNCH$5,817
JPMorgan Chase & Co. 28,214 UNCH $3,321
     JPM28,214UNCH$3,321
Facebook Inc 16,520 UNCH $2,942
     FB16,520UNCH$2,942
Home Depot Inc. 12,228 UNCH $2,837
     HD12,228UNCH$2,837
Johnson & Johnson 19,695 UNCH $2,548
     JNJ19,695UNCH$2,548
Visa Inc 13,750 +3,005 $2,365
     V13,750+3,005$2,365
Northrop Grumman Corp. 6,197 UNCH $2,323
     NOC6,197UNCH$2,323
Alphabet Inc Class C 1,883 UNCH $2,295
     GOOG1,883UNCH$2,295
Alphabet Inc Class A 1,849 UNCH $2,258
     GOOGL1,849UNCH$2,258
Boeing Company 5,805 UNCH $2,209
     BA5,805UNCH$2,209
Procter & Gamble Inc 17,038 UNCH $2,119
     PG17,038UNCH$2,119
McDonald&apos s Corp. 9,778 UNCH $2,099
     MCD9,778UNCH$2,099
AT&T Inc. 55,084 UNCH $2,084
     T55,084UNCH$2,084
Honeywell International Inc. 11,541 UNCH $1,953
     HON11,541UNCH$1,953
Intel Corp. 37,456 UNCH $1,930
     INTC37,456UNCH$1,930
Adobe Inc 6,967 UNCH $1,925
     ADBE6,967UNCH$1,925
Merck & Co. Inc. 22,580 UNCH $1,901
     MRK22,580UNCH$1,901
MasterCard Inc 6,720 +6,720 $1,825
     MA6,720+6,720$1,825
Exxon Mobil Corp. 25,593 UNCH $1,807
     XOM25,593UNCH$1,807
Thermo Fisher Scientific Inc 6,106 UNCH $1,778
     TMO6,106UNCH$1,778
Comcast Corp 39,030 UNCH $1,759
     CMCSA39,030UNCH$1,759
Pfizer Inc. 48,281 UNCH $1,735
     PFE48,281UNCH$1,735
Walmart Stores Inc 14,285 UNCH $1,695
     WMT14,285UNCH$1,695
Lilly Eli & Co. 15,026 UNCH $1,680
     LLY15,026UNCH$1,680
PepsiCo Inc. 12,123 UNCH $1,662
     PEP12,123UNCH$1,662
Cisco Systems 33,588 UNCH $1,660
     CSCO33,588UNCH$1,660
Target Corp. 15,006 UNCH $1,604
     TGT15,006UNCH$1,604
Chevron Corp. 13,330 UNCH $1,581
     CVX13,330UNCH$1,581
Walt Disney Co. 12,000 UNCH $1,564
     DIS12,000UNCH$1,564
Oracle Corp. 28,298 UNCH $1,557
     ORCL28,298UNCH$1,557
Verizon Communications Inc 24,990 UNCH $1,508
     VZ24,990UNCH$1,508
Coca Cola 26,875 UNCH $1,463
     KO26,875UNCH$1,463
Marsh & McLennan Companies In 13,975 UNCH $1,398
     MMC13,975UNCH$1,398
Union Pacific 8,512 UNCH $1,379
     UNP8,512UNCH$1,379
Wells Fargo Co. 25,858 UNCH $1,304
     WFC25,858UNCH$1,304
PayPal Holdings Inc 12,550 +12,550 $1,300
     PYPL12,550+12,550$1,300
United Health Group Inc. 5,880 UNCH $1,278
     UNH5,880UNCH$1,278
PNC Financial Services Group 9,032 UNCH $1,266
     PNC9,032UNCH$1,266
United Technologies 9,049 UNCH $1,235
     UTX9,049UNCH$1,235
Danaher Corp. 8,378 UNCH $1,210
     DHR8,378UNCH$1,210
American Express 10,110 UNCH $1,196
     AXP10,110UNCH$1,196
Salesforce.com Inc 7,775 UNCH $1,154
     CRM7,775UNCH$1,154
NextEra Energy Inc 4,700 UNCH $1,095
     NEE4,700UNCH$1,095
Church & Dwight Co. 14,275 UNCH $1,074
     CHD14,275UNCH$1,074
Servicenow Inc 4,144 UNCH $1,052
     NOW4,144UNCH$1,052
Arthur J. Gallagher & Co. 11,632 UNCH $1,042
     AJG11,632UNCH$1,042
Zoetis 8,244 UNCH $1,027
     ZTS8,244UNCH$1,027
Southern Co. 16,615 UNCH $1,026
     SO16,615UNCH$1,026

See Full List: All Stocks Held By American National Registered Investment Advisor Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By American National Registered Investment Advisor Inc.

Size ($ in 1000's)
At 09/30/2019: $181,833
At 06/30/2019: $178,401

Combined Holding Report Includes:
American National Registered Investment Advisor Inc.
American National Insurance Company

American National Registered Investment Advisor Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from American National Registered Investment Advisor Inc. 13F filings. Link to 13F filings: SEC filings

American National Registered Investment Advisor Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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