HoldingsChannel.com
Godsey & Gibb Associates Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
ISHARES TR (EFAV) 412,551 +11,564 $29,968
     EFAV412,551+11,564$29,968
MICROSOFT CORP 173,611 -6,870 $23,257
     MSFT173,611-6,870$23,257
VISA INC 120,111 -1,530 $20,845
     V120,111-1,530$20,845
DISNEY WALT CO 136,992 -1,430 $19,130
     DIS136,992-1,430$19,130
STARBUCKS CORP 225,246 -15,515 $18,882
     SBUX225,246-15,515$18,882
HOME DEPOT INC 90,424 -155 $18,805
     HD90,424-155$18,805
STRYKER CORP 90,139 +1,605 $18,531
     SYK90,139+1,605$18,531
COSTCO WHSL CORP NEW 69,367 -2,380 $18,331
     COST69,367-2,380$18,331
V F CORP 205,422 +574 $17,944
     VFC205,422+574$17,944
ORACLE CORP 309,344 +2,676 $17,623
     ORCL309,344+2,676$17,623
VMWARE INC 104,180 -3,570 $17,420
     VMW104,180-3,570$17,420
MERCK & CO INC 205,856 -549 $17,261
     MRK205,856-549$17,261
BB&T CORP 347,957 +5,027 $17,095
     BBT347,957+5,027$17,095
COMCAST CORP NEW 400,000 +3,067 $16,912
     CMCSA400,000+3,067$16,912
PROCTER AND GAMBLE CO 152,690 +1,633 $16,742
     PG152,690+1,633$16,742
UNITED TECHNOLOGIES CORP 127,964 +3,039 $16,661
     UTX127,964+3,039$16,661
CHEVRON CORP NEW 132,093 +5,310 $16,438
     CVX132,093+5,310$16,438
PNC FINL SVCS GROUP INC 119,503 +509 $16,405
     PNC119,503+509$16,405
MICROCHIP TECHNOLOGY INC 188,726 +3,705 $16,363
     MCHP188,726+3,705$16,363
BLACKROCK INC 34,832 +1,109 $16,347
     BLK34,832+1,109$16,347
COCA COLA CO 319,112 -5,429 $16,249
     KO319,112-5,429$16,249
AGILENT TECHNOLOGIES INC 216,240 +10,000 $16,147
     A216,240+10,000$16,147
PEPSICO INC 123,006 +1,042 $16,130
     PEP123,006+1,042$16,130
PFIZER INC 361,478 +4,474 $15,659
     PFE361,478+4,474$15,659
FASTENAL CO 470,936 +251,558 $15,348
     FAST470,936+251,558$15,348
DUKE ENERGY CORP NEW 172,771 +10,104 $15,245
     DUK172,771+10,104$15,245
DOMINION ENERGY INC 195,829 +9,423 $15,142
     D195,829+9,423$15,142
EATON CORP PLC 180,831 +8,049 $15,060
     ETN180,831+8,049$15,060
PAYCHEX INC 181,784 -6,620 $14,959
     PAYX181,784-6,620$14,959
ALLIANT ENERGY CORP 304,002 +11,190 $14,920
     LNT304,002+11,190$14,920
BCE INC 327,467 +10,823 $14,893
     BCE327,467+10,823$14,893
NOVARTIS A G 162,169 +7,077 $14,808
     NVS162,169+7,077$14,808
ROYAL BK CDA MONTREAL QUE 185,997 +6,786 $14,768
     RY185,997+6,786$14,768
TORONTO DOMINION BK ONT 250,917 +10,401 $14,644
     TD250,917+10,401$14,644
HANESBRANDS INC 831,742 +57,954 $14,323
     HBI831,742+57,954$14,323
EOG RES INC 152,559 +8,415 $14,212
     EOG152,559+8,415$14,212
SCHLUMBERGER LTD 350,199 +35,265 $13,917
     SLB350,199+35,265$13,917
UNITED PARCEL SERVICE INC 127,225 +7,035 $13,139
     UPS127,225+7,035$13,139
ARCHER DANIELS MIDLAND CO 319,959 +16,260 $13,054
     ADM319,959+16,260$13,054
OCCIDENTAL PETE CORP 216,266 +22,811 $10,874
     OXY216,266+22,811$10,874
SPDR S&P 500 ETF TR (SPY) 10,440 -602 $3,059
     SPY10,440-602$3,059
INTEL CORP 44,132 -5,660 $2,113
     INTC44,132-5,660$2,113
ISHARES TR (HDV) 18,939 +416 $1,790
     HDV18,939+416$1,790
WALMART INC 13,576 +25 $1,500
     WMT13,576+25$1,500
AMAZON COM INC 756 +47 $1,432
     AMZN756+47$1,432
APPLE INC 6,628 -460 $1,312
     AAPL6,628-460$1,312
MCDONALDS CORP 6,230 -575 $1,294
     MCD6,230-575$1,294
JOHNSON & JOHNSON 6,113 -1,203 $851
     JNJ6,113-1,203$851
EXXON MOBIL CORP 10,250 -15 $785
     XOM10,250-15$785
BERKSHIRE HATHAWAY INC DEL      $765
     BRK.B3,587-235$765

See Full List: All Stocks Held By Godsey & Gibb Associates
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Godsey & Gibb Associates

Size ($ in 1000's)
At 06/30/2019: $694,069
At 03/31/2019: $658,986

Godsey & Gibb Associates holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Godsey & Gibb Associates 13F filings. Link to 13F filings: SEC filings

Godsey & Gibb Associates Top Holdings 13F Filings | www.HoldingsChannel.com

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