HoldingsChannel.com
Fruth Investment Management Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
STARBUCKS CORP 87,199 -900 $7,710
     SBUX87,199-900$7,710
MASTERCARD INC 26,481 -100 $7,191
     MA26,481-100$7,191
GRAINGER WW INC 21,811 -313 $6,481
     GWW21,811-313$6,481
LINDE PLC COM 32,577 -100 $6,310
     LIN32,577-100$6,310
HERSHEY FOODS CORP 35,630 -475 $5,522
     HSY35,630-475$5,522
AIR PRODUCTS & CHEMICALS 23,767 -213 $5,272
     APD23,767-213$5,272
AUTO DATA PROCESSING 29,299 -250 $4,729
     ADP29,299-250$4,729
PEPSICO INCORPORATED 32,747 -288 $4,489
     PEP32,747-288$4,489
TEXAS INSTRUMENTS INC 34,451 -713 $4,452
     TXN34,451-713$4,452
EXXON MOBIL CORP 61,116 -404 $4,315
     XOM61,116-404$4,315
CHEVRONTEXACO CORP 34,190 +200 $4,054
     CVX34,190+200$4,054
SYSCO CORP. 50,061 -650 $3,974
     SYY50,061-650$3,974
JOHNSON & JOHNSON 28,823 -325 $3,729
     JNJ28,823-325$3,729
TRACTOR SUPPLY COMPANY 40,590 -200 $3,670
     TSCO40,590-200$3,670
MICROSOFT CORP 25,556 -100 $3,553
     MSFT25,556-100$3,553
AGILENT TECHNOLOGIES 44,351 -188 $3,398
     A44,351-188$3,398
BROADRIDGE FINANCIAL 27,150 -500 $3,378
     BR27,150-500$3,378
BROWN FORMAN CORP CL B      $3,364
     BF.B53,588-75$3,364
MC CORMICK & CO NEW VT 21,365 -100 $3,339
     MKC21,365-100$3,339
DISNEY WALT HOLDING CO 25,293 +221 $3,296
     DIS25,293+221$3,296
EMERSON ELECTRIC 48,730 -250 $3,258
     EMR48,730-250$3,258
INTL FLAVOR & FRAGRANCES 26,201 +12 $3,214
     IFF26,201+12$3,214
KIMBERLY CLARK CORP 21,852 -100 $3,104
     KMB21,852-100$3,104
ABBOTT LABORATORIES 35,647 -100 $2,982
     ABT35,647-100$2,982
UNION PACIFIC CORP 18,276 -25 $2,960
     UNP18,276-25$2,960
INGERSOLL RAND COMPANY 23,660 -184 $2,915
     IR23,660-184$2,915
FIDELITY NATL INFO SVCS 21,955 +7 $2,914
     FIS21,955+7$2,914
LAUDER ESTEE CORP CL A 13,972 UNCH $2,779
     EL13,972UNCH$2,779
VERSUM MATLS INC COM 52,140 -2,525 $2,759
     VSM52,140-2,525$2,759
APPLE INC 10,989 -5 $2,461
     AAPL10,989-5$2,461
KEYSIGHT TECHNOLOGIES INC COM 25,199 -19 $2,450
     KEYS25,199-19$2,450
SONOCO PRODUCTS INC 40,775 -450 $2,373
     SON40,775-450$2,373
ABBVIE INC COM 30,915 -150 $2,340
     ABBV30,915-150$2,340
DARDEN RESTURANTS INC 19,675 -375 $2,325
     DRI19,675-375$2,325
MIDDLEBY CORP THE 19,375 -200 $2,264
     MIDD19,375-200$2,264
CHESAPEAKE UTIL CORP 23,676 -38 $2,256
     CPK23,676-38$2,256
GORMAN RUPP CO COM 62,611 +119 $2,178
     GRC62,611+119$2,178
DOW CHEMICAL 44,984 +1,417 $2,143
     DOW44,984+1,417$2,143
ALBANY INT L CORP. 23,300 -100 $2,100
     AIN23,300-100$2,100
CINTAS CORP 7,351 UNCH $1,970
     CTAS7,351UNCH$1,970
HOME DEPOT INC 8,248 UNCH $1,913
     HD8,248UNCH$1,913
STERIS PLC 13,126 UNCH $1,896
     COM13,126UNCH$1,896
CASEYS GENERAL STORES INC 11,730 -75 $1,890
     CASY11,730-75$1,890
DEERE & CO 10,950 -63 $1,847
     DE10,950-63$1,847
ADVANSIX INC COM 70,876 -150 $1,822
     ASIX70,876-150$1,822
WESTROCK CO COM 49,381 +700 $1,799
     WRK49,381+700$1,799
NORFOLK SOUTHERN CORP 9,965 -65 $1,790
     NSC9,965-65$1,790
COSTCO WHOLSALE CORP NEW 5,991 UNCH $1,726
     COST5,991UNCH$1,726
COCA COLA COMPANY 31,428 -100 $1,710
     KO31,428-100$1,710
HONEYWELL INC. 9,847 UNCH $1,666
     HON9,847UNCH$1,666

See Full List: All Stocks Held By Fruth Investment Management
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Fruth Investment Management

Size ($ in 1000's)
At 09/30/2019: $249,180
At 06/30/2019: $249,627

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

Fruth Investment Management Top Holdings 13F Filings | www.HoldingsChannel.com

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