Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Microsoft Corp | 33,619 | -6,493 | $12,642 |
MSFT | 33,619 | -6,493 | $12,642 |
Lilly Eli & Co | 18,467 | -3,715 | $10,765 |
LLY | 18,467 | -3,715 | $10,765 |
Merck & Co Inc | 62,510 | -9,225 | $6,815 |
MRK | 62,510 | -9,225 | $6,815 |
McKesson Corp | 14,279 | -2,385 | $6,611 |
MCK | 14,279 | -2,385 | $6,611 |
Amgen Inc | 22,571 | -3,175 | $6,501 |
AMGN | 22,571 | -3,175 | $6,501 |
Pulte Group Inc | 59,709 | -12,150 | $6,163 |
PHM | 59,709 | -12,150 | $6,163 |
JP Morgan Chase & Co | 35,327 | -7,500 | $6,009 |
JPM | 35,327 | -7,500 | $6,009 |
Deere & Company | 13,458 | -1,470 | $5,381 |
DE | 13,458 | -1,470 | $5,381 |
Intel Corp | 100,003 | -19,050 | $5,025 |
INTC | 100,003 | -19,050 | $5,025 |
PNC Finl Svcs Group Inc | 31,993 | -2,800 | $4,954 |
PNC | 31,993 | -2,800 | $4,954 |
Paychex Inc | 39,520 | -9,275 | $4,707 |
PAYX | 39,520 | -9,275 | $4,707 |
ConocoPhillips | 37,681 | -7,750 | $4,374 |
COP | 37,681 | -7,750 | $4,374 |
Caterpillar Inc Del | 14,767 | -2,573 | $4,366 |
CAT | 14,767 | -2,573 | $4,366 |
RTX Corporation | 51,299 | -8,453 | $4,316 |
RTX | 51,299 | -8,453 | $4,316 |
Chevron Corporation | 26,322 | -4,700 | $3,926 |
CVX | 26,322 | -4,700 | $3,926 |
Genuine Parts Co | 27,916 | -175 | $3,866 |
GPC | 27,916 | -175 | $3,866 |
International Business Mach | 23,177 | -4,780 | $3,791 |
IBM | 23,177 | -4,780 | $3,791 |
Bank of America Corp | 112,043 | -19,350 | $3,772 |
BAC | 112,043 | -19,350 | $3,772 |
Coca Cola Co | 63,623 | -12,750 | $3,749 |
KO | 63,623 | -12,750 | $3,749 |
United Parcel Service Inc | 23,428 | -4,050 | $3,684 |
UPS | 23,428 | -4,050 | $3,684 |
Johnson & Johnson | 23,191 | -5,025 | $3,635 |
JNJ | 23,191 | -5,025 | $3,635 |
Cisco Sys Inc | 69,233 | -12,600 | $3,498 |
CSCO | 69,233 | -12,600 | $3,498 |
Emerson Elec Co | 35,249 | -7,300 | $3,431 |
EMR | 35,249 | -7,300 | $3,431 |
Pfizer Inc | 117,283 | -19,917 | $3,377 |
PFE | 117,283 | -19,917 | $3,377 |
Duke Energy Corp | 34,267 | -7,224 | $3,325 |
DUK | 34,267 | -7,224 | $3,325 |
Bristol Myers Squibb Co | 64,618 | -8,150 | $3,316 |
BMY | 64,618 | -8,150 | $3,316 |
Medtronic Inc | 39,920 | -7,450 | $3,289 |
MDT | 39,920 | -7,450 | $3,289 |
Waters Corp | 9,400 | -400 | $3,095 |
WAT | 9,400 | -400 | $3,095 |
Enbridge Inc | 85,778 | -12,241 | $3,090 |
ENB | 85,778 | -12,241 | $3,090 |
Oracle Corp | 29,100 | -11,400 | $3,068 |
ORCL | 29,100 | -11,400 | $3,068 |
Verizon Communications | 80,592 | -13,261 | $3,038 |
VZ | 80,592 | -13,261 | $3,038 |
CVS Health Corp | 38,386 | -5,925 | $3,031 |
CVS | 38,386 | -5,925 | $3,031 |
Dow Inc | 54,785 | -8,950 | $3,004 |
DOW | 54,785 | -8,950 | $3,004 |
Weyerhaeuser Co | 81,221 | -24,686 | $2,824 |
WY | 81,221 | -24,686 | $2,824 |
Waste Management Inc Del | 15,725 | -4,275 | $2,816 |
WM | 15,725 | -4,275 | $2,816 |
AT&T Inc | 159,375 | -27,030 | $2,674 |
T | 159,375 | -27,030 | $2,674 |
Hershey Foods Corp | 13,848 | -3,457 | $2,582 |
HSY | 13,848 | -3,457 | $2,582 |
Phillips 66 | 19,146 | -3,850 | $2,549 |
PSX | 19,146 | -3,850 | $2,549 |
Fiserv Inc | 18,942 | +18,942 | $2,516 |
FI | 18,942 | +18,942 | $2,516 |
MetLife Inc | 37,525 | -9,200 | $2,482 |
MET | 37,525 | -9,200 | $2,482 |
Allstate Corp | 17,545 | -6,350 | $2,456 |
ALL | 17,545 | -6,350 | $2,456 |
Wells Fargo & Co New | 48,043 | -10,000 | $2,365 |
WFC | 48,043 | -10,000 | $2,365 |
General Mtrs Corp | 63,100 | -6,875 | $2,267 |
GM | 63,100 | -6,875 | $2,267 |
3M Co | 20,704 | -2,527 | $2,263 |
MMM | 20,704 | -2,527 | $2,263 |
Procter & Gamble Co | 14,679 | -5,250 | $2,151 |
PG | 14,679 | -5,250 | $2,151 |
DuPont De Nemours Inc | 27,139 | -6,719 | $2,088 |
DD | 27,139 | -6,719 | $2,088 |
Chubb Corp | 9,084 | -1,337 | $2,053 |
CB | 9,084 | -1,337 | $2,053 |
PPL Corp | 72,798 | -13,727 | $1,973 |
PPL | 72,798 | -13,727 | $1,973 |
Baxter Intl Inc | 48,504 | -7,325 | $1,875 |
BAX | 48,504 | -7,325 | $1,875 |
Verisign Inc | 9,061 | -2,564 | $1,866 |
VRSN | 9,061 | -2,564 | $1,866 |
See Full List: All Stocks Held By Argyle Capital Management Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Argyle Capital Management Inc.
Size ($ in 1000's)
At 12/31/2023: $241,311 At 09/30/2023: $273,012 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 |