HoldingsChannel.com
Fruth Investment Management Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
STARBUCKS CORP 87,199 UNCH $7,666
     SBUX87,199UNCH$7,666
MASTERCARD INC 24,981 -1,500 $7,459
     MA24,981-1,500$7,459
GRAINGER WW INC 21,479 -332 $7,271
     GWW21,479-332$7,271
LINDE PLC COM 31,746 -831 $6,758
     LIN31,746-831$6,758
AIR PRODUCTS & CHEMICALS 23,660 -107 $5,559
     APD23,660-107$5,559
HERSHEY FOODS CORP 34,433 -1,197 $5,060
     HSY34,433-1,197$5,060
AUTO DATA PROCESSING 29,092 -207 $4,960
     ADP29,092-207$4,960
EXXON MOBIL CORP 66,944 +5,828 $4,671
     XOM66,944+5,828$4,671
PEPSICO INCORPORATED 32,205 -542 $4,401
     PEP32,205-542$4,401
TEXAS INSTRUMENTS INC 34,051 -400 $4,368
     TXN34,051-400$4,368
CHEVRONTEXACO CORP 35,584 +1,394 $4,288
     CVX35,584+1,394$4,288
SYSCO CORP. 49,444 -617 $4,229
     SYY49,444-617$4,229
JOHNSON & JOHNSON 27,800 -1,023 $4,055
     JNJ27,800-1,023$4,055
AGILENT TECHNOLOGIES 47,451 +3,100 $4,048
     A47,451+3,100$4,048
MICROSOFT CORP 25,345 -211 $3,996
     MSFT25,345-211$3,996
TRACTOR SUPPLY COMPANY 40,157 -433 $3,752
     TSCO40,157-433$3,752
DISNEY WALT HOLDING CO 25,292 -1 $3,657
     DIS25,292-1$3,657
EMERSON ELECTRIC 47,793 -937 $3,644
     EMR47,793-937$3,644
MC CORMICK & CO NEW VT 21,265 -100 $3,609
     MKC21,265-100$3,609
BROWN FORMAN CORP CL B      $3,601
     BF.B53,276-312$3,601
BROADRIDGE FINANCIAL 26,908 -242 $3,324
     BR26,908-242$3,324
INTL FLAVOR & FRAGRANCES 25,551 -650 $3,296
     IFF25,551-650$3,296
UNION PACIFIC CORP 18,151 -125 $3,281
     UNP18,151-125$3,281
APPLE INC 10,889 -100 $3,197
     AAPL10,889-100$3,197
INGERSOLL RAND COMPANY 23,180 -480 $3,081
     IR23,180-480$3,081
ABBOTT LABORATORIES 35,004 -643 $3,040
     ABT35,004-643$3,040
FIDELITY NATL INFO SVCS 21,738 -217 $3,023
     FIS21,738-217$3,023
KIMBERLY CLARK CORP 21,962 +110 $3,020
     KMB21,962+110$3,020
LAUDER ESTEE CORP CL A 13,972 UNCH $2,885
     EL13,972UNCH$2,885
SONOCO PRODUCTS INC 43,867 +3,092 $2,707
     SON43,867+3,092$2,707
ABBVIE INC COM 30,551 -364 $2,704
     ABBV30,551-364$2,704
DOW CHEMICAL 47,384 +2,400 $2,593
     DOW47,384+2,400$2,593
KEYSIGHT TECHNOLOGIES INC COM 24,875 -324 $2,552
     KEYS24,875-324$2,552
GORMAN RUPP CO COM 66,095 +3,484 $2,478
     GRC66,095+3,484$2,478
WESTROCK CO COM 50,755 +1,374 $2,177
     WRK50,755+1,374$2,177
CHESAPEAKE UTIL CORP 22,714 -962 $2,176
     CPK22,714-962$2,176
DARDEN RESTURANTS INC 19,475 -200 $2,122
     DRI19,475-200$2,122
MIDDLEBY CORP THE 19,325 -50 $2,116
     MIDD19,325-50$2,116
STERIS PLC 13,026 -100 $1,985
     COM13,026-100$1,985
NORFOLK SOUTHERN CORP 9,965 UNCH $1,934
     NSC9,965UNCH$1,934
CINTAS CORP 7,176 -175 $1,930
     CTAS7,176-175$1,930
DEERE & CO 10,950 UNCH $1,897
     DE10,950UNCH$1,897
MINE SAFTEY APPLIANCE CO 14,850 -100 $1,876
     MSA14,850-100$1,876
EATON CORPORATION 19,544 -100 $1,851
     COM19,544-100$1,851
CASEYS GENERAL STORES INC 11,575 -155 $1,840
     CASY11,575-155$1,840
KIRBY CORP 20,489 +2,393 $1,834
     KEX20,489+2,393$1,834
HOME DEPOT INC 8,088 -160 $1,766
     HD8,088-160$1,766
COCA COLA COMPANY 31,886 +458 $1,764
     KO31,886+458$1,764
ALBANY INT L CORP. 23,200 -100 $1,761
     AIN23,200-100$1,761
COSTCO WHOLSALE CORP NEW 5,991 UNCH $1,760
     COST5,991UNCH$1,760

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 12/31/2019: $263,840
At 09/30/2019: $249,180

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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