HoldingsChannel.com
Godsey & Gibb Associates Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 133,540 -2,515 $21,061
     MSFT133,540-2,515$21,061
COSTCO WHSL CORP NEW 57,077 -1,362 $16,274
     COST57,077-1,362$16,274
AGILENT TECHNOLOGIES INC 215,250 -5,100 $15,416
     A215,250-5,100$15,416
VISA INC 95,653 -3,596 $15,412
     V95,653-3,596$15,412
BLACKROCK INC 34,599 -1,074 $15,223
     BLK34,599-1,074$15,223
ORACLE CORP 312,320 +2,404 $15,094
     ORCL312,320+2,404$15,094
MERCK & CO. INC 186,595 -1,655 $14,357
     MRK186,595-1,655$14,357
HOME DEPOT INC 76,342 -2,684 $14,254
     HD76,342-2,684$14,254
ALLIANT ENERGY CORP 286,540 -6,429 $13,837
     LNT286,540-6,429$13,837
DOMINION ENERGY INC 191,231 -6,070 $13,805
     D191,231-6,070$13,805
FASTENAL CO 441,461 -15,698 $13,796
     FAST441,461-15,698$13,796
DUKE ENERGY CORP NEW 170,301 -3,354 $13,774
     DUK170,301-3,354$13,774
PROCTER & GAMBLE CO 124,664 -1,940 $13,713
     PG124,664-1,940$13,713
NOVARTIS A G 166,207 -1,464 $13,704
     NVS166,207-1,464$13,704
PEPSICO INC 114,050 -1,711 $13,697
     PEP114,050-1,711$13,697
VMWARE INC 111,777 +1,930 $13,536
     VMW111,777+1,930$13,536
EATON CORP PLC 173,999 -9,605 $13,518
     ETN173,999-9,605$13,518
COMCAST CORP NEW 386,176 -11,650 $13,277
     CMCSA386,176-11,650$13,277
BCE INC 324,318 -7,163 $13,252
     BCE324,318-7,163$13,252
STRYKER CORP 78,173 -1,331 $13,015
     SYK78,173-1,331$13,015
KIMBERLY CLARK CORP 99,975 -1,740 $12,784
     KMB99,975-1,740$12,784
COCA COLA CO 285,091 -10,753 $12,615
     KO285,091-10,753$12,615
MICROCHIP TECHNOLOGY INC 183,181 -5,843 $12,420
     MCHP183,181-5,843$12,420
UNITED PARCEL SERVICE INC 129,658 -296 $12,113
     UPS129,658-296$12,113
DISNEY WALT CO 125,188 -1,091 $12,093
     DIS125,188-1,091$12,093
STARBUCKS CORP 182,894 +1,830 $12,023
     SBUX182,894+1,830$12,023
UNITED TECHNOLOGIES CORP 125,081 -3,578 $11,799
     UTX125,081-3,578$11,799
ROYAL BK CDA 184,739 -5,430 $11,371
     RY184,739-5,430$11,371
ARCHER DANIELS MIDLAND CO 322,637 -9,945 $11,350
     ADM322,637-9,945$11,350
PAYCHEX INC 179,884 -3,923 $11,318
     PAYX179,884-3,923$11,318
PNC FINL SVCS GROUP INC 117,271 -2,219 $11,225
     PNC117,271-2,219$11,225
V F CORP 207,518 -2,461 $11,223
     VFC207,518-2,461$11,223
TORONTO DOMINION BK ONT 251,922 -3,240 $10,679
     TD251,922-3,240$10,679
TRUIST FINL CORP 343,496 -3,027 $10,593
     TFC343,496-3,027$10,593
CHEVRON CORP NEW 135,692 +587 $9,832
     CVX135,692+587$9,832
HANESBRANDS INC 869,765 +5,050 $6,845
     HBI869,765+5,050$6,845
EOG RES INC 181,134 +13,300 $6,506
     EOG181,134+13,300$6,506
ISHARES TR (IBDQ) 185,640 +58,285 $4,635
     IBDQ185,640+58,285$4,635
SCHLUMBERGER LTD 343,222 +16,854 $4,630
     SLB343,222+16,854$4,630
ISHARES TR (IBDP) 187,125 +43,540 $4,626
     IBDP187,125+43,540$4,626
ISHARES TR (IBDN) 138,665 +54,735 $3,438
     IBDN138,665+54,735$3,438
OCCIDENTAL PETE CORP 296,326 +196,520 $3,431
     OXY296,326+196,520$3,431
ISHARES TR (IBDR) 120,215 +53,955 $2,951
     IBDR120,215+53,955$2,951
SPDR S&P 500 ETF TR (SPY) 10,901 -40 $2,810
     SPY10,901-40$2,810
ISHARES TR (IBDO) 107,625 +49,700 $2,691
     IBDO107,625+49,700$2,691
INTEL CORP 37,050 -1,265 $2,005
     INTC37,050-1,265$2,005
APPLE INC 6,589 -30 $1,675
     AAPL6,589-30$1,675
WALMART INC 12,975 +9 $1,474
     WMT12,975+9$1,474
ISHARES TR (HDV) 18,890 -1,368 $1,352
     HDV18,890-1,368$1,352
BERKSHIRE HATHAWAY INC DEL      $951
     BRK.B5,202+1,652$951

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 03/31/2020: $525,141
At 12/31/2019: $712,759

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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