HoldingsChannel.com
HGK Asset Management Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Johnson & Johnson 56,328 -525 $7,386
     JNJ56,328-525$7,386
Bristol Myers Squib 123,109 -1,449 $6,862
     BMY123,109-1,449$6,862
Abbvie Inc 81,402 -3,986 $6,202
     ABBV81,402-3,986$6,202
UnitedHealth Group 24,848 +914 $6,197
     UNH24,848+914$6,197
International Busin 53,694 -335 $5,956
     IBM53,694-335$5,956
J.M. Smucker Co. 51,444 -10,368 $5,710
     SJM51,444-10,368$5,710
Intel Corp. 105,452 -8,349 $5,707
     INTC105,452-8,349$5,707
Cisco Systems Inc. 144,767 +4,491 $5,691
     CSCO144,767+4,491$5,691
McKesson Corp. 42,055 -4,981 $5,688
     MCK42,055-4,981$5,688
JPMorgan Chase & Co 62,782 +2,384 $5,652
     JPM62,782+2,384$5,652
Constellation Brand 39,311 +1,229 $5,636
     STZ39,311+1,229$5,636
Allstate Corp. 60,156 +3,155 $5,518
     ALL60,156+3,155$5,518
Boston Scientific C 167,322 +34,179 $5,460
     BSX167,322+34,179$5,460
Comcast Corp. Cl A 157,293 +6,402 $5,408
     CMCSA157,293+6,402$5,408
Chevron Corp. 74,455 +11,033 $5,395
     CVX74,455+11,033$5,395
CVS Caremark Corp. 90,473 -1,460 $5,368
     CVS90,473-1,460$5,368
Automatic Data Proc 38,239 +38,239 $5,227
     ADP38,239+38,239$5,227
Kimberly Clark Corp 40,515 -4,200 $5,181
     KMB40,515-4,200$5,181
Public Service Ente 114,878 +22,299 $5,159
     PEG114,878+22,299$5,159
MetLife Inc. 162,976 +9,303 $4,982
     MET162,976+9,303$4,982
Eaton Corp. PLC 62,784 -6,729 $4,878
     ETN62,784-6,729$4,878
Raytheon Co. 36,629 +4,647 $4,804
     RTN36,629+4,647$4,804
Discovery Commun In 245,849 +26,516 $4,779
     DISCA245,849+26,516$4,779
Universal Health Se 47,708 +63 $4,727
     UHS47,708+63$4,727
State Street Corp. 87,331 -1,045 $4,652
     STT87,331-1,045$4,652
Dover Corp. 55,349 -4,206 $4,646
     DOV55,349-4,206$4,646
ConocoPhillips 149,772 +34,694 $4,613
     COP149,772+34,694$4,613
Carlisle Cos. 36,553 +3,621 $4,579
     CSL36,553+3,621$4,579
Cabot Oil & Gas Cor 255,157 -100,851 $4,386
     COG255,157-100,851$4,386
Consolidated Edison 56,040 -11,961 $4,371
     ED56,040-11,961$4,371
Newell Rubbermaid I 328,772 +2,022 $4,366
     NWL328,772+2,022$4,366
International Flavo 42,645 -423 $4,353
     IFF42,645-423$4,353
Lear Corp. 53,490 +4,401 $4,346
     LEA53,490+4,401$4,346
Marathon Petroleum 183,896 +72,389 $4,344
     MPC183,896+72,389$4,344
RPM International I 72,761 -490 $4,329
     RPM72,761-490$4,329
Welltower Inc 93,901 +15,851 $4,299
     WELL93,901+15,851$4,299
Snap On Inc. 38,613 -150 $4,202
     SNA38,613-150$4,202
Citigroup Inc. 97,071 +380 $4,089
     C97,071+380$4,089
Goldman Sachs Group 26,324 -393 $4,069
     GS26,324-393$4,069
Wells Fargo & Co. 132,962 +12,167 $3,816
     WFC132,962+12,167$3,816
Nucor Corp. 100,046 -1,438 $3,604
     NUE100,046-1,438$3,604
Capital One Financi 68,105 -3,526 $3,434
     COF68,105-3,526$3,434
VIACOM CL B 240,737 +240,737 $3,373
     CBS240,737+240,737$3,373
Discover Financial 94,123 +94,123 $3,357
     DFS94,123+94,123$3,357
Citizens Financial 175,627 +21,238 $3,304
     CFG175,627+21,238$3,304
Simon Property Grou 57,679 +8,804 $3,164
     SPG57,679+8,804$3,164
McDonald s Corp. 13,583 -145 $2,246
     MCD13,583-145$2,246
Apple Inc. 5,855 -13,790 $1,489
     AAPL5,855-13,790$1,489
Visa Inc. 8,905 -190 $1,435
     V8,905-190$1,435
Lowe s Cos. 16,347 +156 $1,407
     LOW16,347+156$1,407

See Full List: All Stocks Held By HGK Asset Management Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By HGK Asset Management Inc.

Size ($ in 1000's)
At 03/31/2020: $263,350
At 12/31/2019: $380,199

HGK Asset Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from HGK Asset Management Inc. 13F filings. Link to 13F filings: SEC filings

HGK Asset Management Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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