HoldingsChannel.com
Fruth Investment Management Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MASTERCARD INC 24,381 UNCH $7,209
     MA24,381UNCH$7,209
GRAINGER WW INC 21,554 +285 $6,771
     GWW21,554+285$6,771
LINDE PLC COM 31,563 -30 $6,694
     LIN31,563-30$6,694
STARBUCKS CORP 86,824 -750 $6,389
     SBUX86,824-750$6,389
AIR PRODUCTS & CHEMICALS 23,992 +185 $5,793
     APD23,992+185$5,793
TRACTOR SUPPLY COMPANY 39,757 -100 $5,239
     TSCO39,757-100$5,239
MICROSOFT CORP 25,079 -200 $5,103
     MSFT25,079-200$5,103
AUTO DATA PROCESSING 30,217 +600 $4,499
     ADP30,217+600$4,499
HERSHEY FOODS CORP 33,564 -150 $4,350
     HSY33,564-150$4,350
TEXAS INSTRUMENTS INC 33,176 +75 $4,212
     TXN33,176+75$4,212
AGILENT TECHNOLOGIES 47,301 -150 $4,179
     A47,301-150$4,179
PEPSICO INCORPORATED 31,602 -325 $4,179
     PEP31,602-325$4,179
CHEVRONTEXACO CORP 46,367 -215 $4,137
     CVX46,367-215$4,137
JOHNSON & JOHNSON 27,785 -250 $3,907
     JNJ27,785-250$3,907
EXXON MOBIL CORP 86,413 -16 $3,864
     XOM86,413-16$3,864
MC CORMICK & CO NEW VT 21,524 +409 $3,861
     MKC21,524+409$3,861
APPLE INC 9,934 -450 $3,623
     AAPL9,934-450$3,623
BROWN FORMAN CORP CL B      $3,394
     BF.B53,324UNCH$3,394
ABBOTT LABORATORIES 36,007 +450 $3,292
     ABT36,007+450$3,292
KIMBERLY CLARK CORP 22,249 -10 $3,144
     KMB22,249-10$3,144
BROADRIDGE FINANCIAL 24,329 -1,134 $3,070
     BR24,329-1,134$3,070
UNION PACIFIC CORP 18,051 -100 $3,051
     UNP18,051-100$3,051
ABBVIE INC COM 31,037 +486 $3,047
     ABBV31,037+486$3,047
INTL FLAVOR & FRAGRANCES 24,876 +300 $3,046
     IFF24,876+300$3,046
DISNEY WALT HOLDING CO 26,826 +2 $2,991
     DIS26,826+2$2,991
FIDELITY NATL INFO SVCS 21,576 -62 $2,893
     FIS21,576-62$2,893
EMERSON ELECTRIC 46,483 -200 $2,883
     EMR46,483-200$2,883
LAUDER ESTEE CORP CL A 14,642 +670 $2,762
     EL14,642+670$2,762
SYSCO CORP. 47,594 -300 $2,601
     SYY47,594-300$2,601
KEYSIGHT TECHNOLOGIES INC COM 25,575 -50 $2,577
     KEYS25,575-50$2,577
SONOCO PRODUCTS INC 43,967 -400 $2,299
     SON43,967-400$2,299
HOME DEPOT INC 9,041 -100 $2,264
     HD9,041-100$2,264
GORMAN RUPP CO COM 68,438 -384 $2,127
     GRC68,438-384$2,127
DOW CHEMICAL 51,642 -242 $2,104
     DOW51,642-242$2,104
DEERE & CO 13,150 UNCH $2,066
     DE13,150UNCH$2,066
TRANE TECHNOLOGIES PLC 22,955 -250 $2,042
     TT22,955-250$2,042
STERIS PLC 13,200 UNCH $2,025
     COM13,200UNCH$2,025
CHESAPEAKE UTIL CORP 22,664 UNCH $1,903
     CPK22,664UNCH$1,903
CINTAS CORP 7,076 UNCH $1,884
     CTAS7,076UNCH$1,884
NEWMONT GOLDCORP 30,399 +492 $1,876
     NEM30,399+492$1,876
COSTCO WHOLSALE CORP NEW 6,016 -17 $1,824
     COST6,016-17$1,824
GENERAL MILLS INC 28,807 -300 $1,775
     GIS28,807-300$1,775
EATON CORPORATION 19,860 -172 $1,737
     COM19,860-172$1,737
NORFOLK SOUTHERN CORP 9,865 UNCH $1,731
     NSC9,865UNCH$1,731
CASEYS GENERAL STORES INC 11,524 -51 $1,723
     CASY11,524-51$1,723
ANALOG DEVICES INC 13,669 +710 $1,676
     ADI13,669+710$1,676
MINE SAFTEY APPLIANCE CO 14,400 UNCH $1,647
     MSA14,400UNCH$1,647
COCA COLA COMPANY 35,277 +1,441 $1,576
     KO35,277+1,441$1,576
LOWES COMPANIES INC 11,600 UNCH $1,567
     LOW11,600UNCH$1,567
MIDDLEBY CORP THE 19,050 UNCH $1,503
     MIDD19,050UNCH$1,503

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 06/30/2020: $237,231
At 03/31/2020: $195,424

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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