HoldingsChannel.com
Fruth Investment Management Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MASTERCARD INC 24,381 -600 $5,889
     MA24,381-600$5,889
STARBUCKS CORP 87,574 +375 $5,757
     SBUX87,574+375$5,757
LINDE PLC COM 31,593 -153 $5,465
     LIN31,593-153$5,465
GRAINGER WW INC 21,269 -210 $5,285
     GWW21,269-210$5,285
AIR PRODUCTS & CHEMICALS 23,807 +147 $4,752
     APD23,807+147$4,752
HERSHEY FOODS CORP 33,714 -719 $4,467
     HSY33,714-719$4,467
AUTO DATA PROCESSING 29,617 +525 $4,048
     ADP29,617+525$4,048
MICROSOFT CORP 25,279 -66 $3,986
     MSFT25,279-66$3,986
PEPSICO INCORPORATED 31,927 -278 $3,834
     PEP31,927-278$3,834
JOHNSON & JOHNSON 28,035 +235 $3,676
     JNJ28,035+235$3,676
AGILENT TECHNOLOGIES 47,451 UNCH $3,398
     A47,451UNCH$3,398
CHEVRONTEXACO CORP 46,582 +10,998 $3,375
     CVX46,582+10,998$3,375
TRACTOR SUPPLY COMPANY 39,857 -300 $3,369
     TSCO39,857-300$3,369
TEXAS INSTRUMENTS INC 33,101 -950 $3,307
     TXN33,101-950$3,307
EXXON MOBIL CORP 86,429 +19,485 $3,281
     XOM86,429+19,485$3,281
MC CORMICK & CO NEW VT 21,115 -150 $2,981
     MKC21,115-150$2,981
BROWN FORMAN CORP CL B      $2,960
     BF.B53,324+48$2,960
KIMBERLY CLARK CORP 22,259 +297 $2,846
     KMB22,259+297$2,846
ABBOTT LABORATORIES 35,557 +553 $2,805
     ABT35,557+553$2,805
APPLE INC 10,384 -505 $2,640
     AAPL10,384-505$2,640
FIDELITY NATL INFO SVCS 21,638 -100 $2,632
     FIS21,638-100$2,632
DISNEY WALT HOLDING CO 26,824 +1,532 $2,591
     DIS26,824+1,532$2,591
UNION PACIFIC CORP 18,151 UNCH $2,560
     UNP18,151UNCH$2,560
INTL FLAVOR & FRAGRANCES 24,576 -975 $2,508
     IFF24,576-975$2,508
BROADRIDGE FINANCIAL 25,463 -1,445 $2,414
     BR25,463-1,445$2,414
ABBVIE INC COM 30,551 UNCH $2,327
     ABBV30,551UNCH$2,327
LAUDER ESTEE CORP CL A 13,972 UNCH $2,226
     EL13,972UNCH$2,226
EMERSON ELECTRIC 46,683 -1,110 $2,224
     EMR46,683-1,110$2,224
SYSCO CORP. 47,894 -1,550 $2,185
     SYY47,894-1,550$2,185
GORMAN RUPP CO COM 68,822 +2,727 $2,147
     GRC68,822+2,727$2,147
KEYSIGHT TECHNOLOGIES INC COM 25,625 +750 $2,144
     KEYS25,625+750$2,144
SONOCO PRODUCTS INC 44,367 +500 $2,056
     SON44,367+500$2,056
CHESAPEAKE UTIL CORP 22,664 -50 $1,942
     CPK22,664-50$1,942
TRANE TECHNOLOGIES PLC 23,205 +23,205 $1,916
     TT23,205+23,205$1,916
STERIS PLC 13,200 +174 $1,847
     COM13,200+174$1,847
DEERE & CO 13,150 +2,200 $1,816
     DE13,150+2,200$1,816
COSTCO WHOLSALE CORP NEW 6,033 +42 $1,720
     COST6,033+42$1,720
HOME DEPOT INC 9,141 +1,053 $1,706
     HD9,141+1,053$1,706
EATON CORPORATION 20,032 +488 $1,556
     COM20,032+488$1,556
GENERAL MILLS INC 29,107 UNCH $1,535
     GIS29,107UNCH$1,535
CASEYS GENERAL STORES INC 11,575 UNCH $1,533
     CASY11,575UNCH$1,533
DOW CHEMICAL 51,884 +4,500 $1,517
     DOW51,884+4,500$1,517
COCA COLA COMPANY 33,836 +1,950 $1,497
     KO33,836+1,950$1,497
MINE SAFTEY APPLIANCE CO 14,400 -450 $1,457
     MSA14,400-450$1,457
WESTROCK CO COM 51,576 +821 $1,457
     WRK51,576+821$1,457
NORFOLK SOUTHERN CORP 9,865 -100 $1,440
     NSC9,865-100$1,440
HONEYWELL INC. 10,347 +500 $1,384
     HON10,347+500$1,384
NEWMONT GOLDCORP 29,907 -125 $1,354
     NEM29,907-125$1,354
3M COMPANY 9,285 +200 $1,267
     MMM9,285+200$1,267
CINTAS CORP 7,076 -100 $1,225
     CTAS7,076-100$1,225

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 03/31/2020: $195,424
At 12/31/2019: $263,840

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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