HoldingsChannel.com
Argyle Capital Management Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp 63,030 -10,478 $9,940
     MSFT63,030-10,478$9,940
Merck & Co Inc 87,517 -210 $6,734
     MRK87,517-210$6,734
Intel Corp 121,000 -750 $6,549
     INTC121,000-750$6,549
Amgen Inc 28,644 UNCH $5,807
     AMGN28,644UNCH$5,807
Lilly Eli & Co 36,632 -100 $5,082
     LLY36,632-100$5,082
Pfizer Inc 153,831 +335 $5,021
     PFE153,831+335$5,021
Verizon Communications 88,700 +579 $4,766
     VZ88,700+579$4,766
Johnson & Johnson 35,018 UNCH $4,592
     JNJ35,018UNCH$4,592
AT&T Inc 153,791 -373 $4,483
     T153,791-373$4,483
Bristol Myers Squibb Co 80,188 -150 $4,470
     BMY80,188-150$4,470
Baxter Intl Inc 52,187 UNCH $4,237
     BAX52,187UNCH$4,237
Medtronic Inc 44,900 UNCH $4,049
     COM44,900UNCH$4,049
JP Morgan Chase & Co 44,895 +550 $4,042
     JPM44,895+550$4,042
Coca Cola Co 89,067 UNCH $3,941
     KO89,067UNCH$3,941
Raytheon Co 27,895 -100 $3,658
     RTN27,895-100$3,658
Paychex Inc 57,280 UNCH $3,604
     PAYX57,280UNCH$3,604
United Parcel Service Inc 38,395 +745 $3,587
     UPS38,395+745$3,587
Cisco Sys Inc 88,970 +620 $3,497
     CSCO88,970+620$3,497
Duke Energy Corp 42,960 UNCH $3,475
     COM42,960UNCH$3,475
Deere & Company 23,295 UNCH $3,218
     DE23,295UNCH$3,218
PNC Finl Svcs Group Inc 32,711 +1,018 $3,131
     PNC32,711+1,018$3,131
International Business Mach 28,000 +675 $3,106
     IBM28,000+675$3,106
Waste Management Inc Del 32,650 -250 $3,022
     WM32,650-250$3,022
Procter & Gamble Co 27,016 UNCH $2,972
     PG27,016UNCH$2,972
3M Co 21,733 +2,355 $2,967
     MMM21,733+2,355$2,967
McKesson Corp 21,150 UNCH $2,861
     MCK21,150UNCH$2,861
Bank of America Corp 133,868 UNCH $2,842
     BAC133,868UNCH$2,842
Verisign Inc 15,400 UNCH $2,773
     VRSN15,400UNCH$2,773
Enbridge Inc 93,997 -393 $2,734
     ENB93,997-393$2,734
Hershey Foods Corp 20,156 UNCH $2,671
     HSY20,156UNCH$2,671
Oracle Corp 54,500 UNCH $2,634
     ORCL54,500UNCH$2,634
CVS Health Corp 42,948 -75 $2,548
     CVS42,948-75$2,548
Waters Corp 13,900 UNCH $2,530
     WAT13,900UNCH$2,530
Caterpillar Inc Del 21,715 +100 $2,520
     CAT21,715+100$2,520
Allstate Corp 26,920 UNCH $2,469
     ALL26,920UNCH$2,469
Genuine Parts Co 36,257 UNCH $2,441
     GPC36,257UNCH$2,441
Comcast Corp New 68,762 +300 $2,364
     CMCSA68,762+300$2,364
Emerson Elec Co 49,115 UNCH $2,340
     EMR49,115UNCH$2,340
Chevron Corporation 32,163 +400 $2,331
     CVX32,163+400$2,331
PPL Corp 91,102 +920 $2,248
     PPL91,102+920$2,248
Southern Co 39,259 UNCH $2,125
     SO39,259UNCH$2,125
ManTech Intl Corp 28,500 -100 $2,071
     MANT28,500-100$2,071
Pulte Group Inc 92,300 +250 $2,060
     PHM92,300+250$2,060
Flowers Foods Inc 95,484 UNCH $1,959
     FLO95,484UNCH$1,959
Weyerhaeuser Co 115,180 UNCH $1,952
     WY115,180UNCH$1,952
Dow Inc 65,734 +754 $1,922
     DOW65,734+754$1,922
Sonoco Products Co 39,266 UNCH $1,820
     SON39,266UNCH$1,820
Wells Fargo & Co New 63,233 +2,400 $1,815
     WFC63,233+2,400$1,815
ConocoPhillips 53,564 UNCH $1,650
     COP53,564UNCH$1,650
MetLife Inc 51,325 UNCH $1,569
     MET51,325UNCH$1,569

See Full List: All Stocks Held By Argyle Capital Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Argyle Capital Management Inc.

Size ($ in 1000's)
At 03/31/2020: $211,686
At 12/31/2019: $281,642

Argyle Capital Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Argyle Capital Management Inc. 13F filings. Link to 13F filings: SEC filings

Argyle Capital Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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