HoldingsChannel.com
HGK Asset Management Inc. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Marathon Petroleum 133,485 +17,211 $8,109
     MPC133,485+17,211$8,109
Chevron Corp. 63,897 -470 $7,578
     CVX63,897-470$7,578
Marathon Oil Corp. 325,461 +325,461 $7,577
     MRO325,461+325,461$7,577
JPMorgan Chase & Co 64,058 -460 $7,539
     JPM64,058-460$7,539
CVS Caremark Corp. 117,868 -870 $7,434
     CVS117,868-870$7,434
Bristol Myers Squib 146,509 -500 $7,429
     BMY146,509-500$7,429
Devon Energy Corp. 182,896 +15,692 $7,305
     DVN182,896+15,692$7,305
Citigroup Inc. 105,665 -947 $7,299
     C105,665-947$7,299
Johnson & Johnson 56,353 -60 $7,291
     JNJ56,353-60$7,291
MetLife Inc. 154,560 -18,382 $7,289
     MET154,560-18,382$7,289
Raytheon Co. 36,436 +856 $7,148
     RTN36,436+856$7,148
Abbvie Inc 93,690 +28,760 $7,094
     ABBV93,690+28,760$7,094
Simon Property Grou 44,828 +9,388 $6,977
     SPG44,828+9,388$6,977
Walt Disney Co. 53,027 +2,346 $6,910
     DIS53,027+2,346$6,910
Comcast Corp. Cl A 152,531 -1,090 $6,876
     CMCSA152,531-1,090$6,876
International Busin 47,250 -4,765 $6,871
     IBM47,250-4,765$6,871
General Dynamics Co 32,754 +32,754 $6,705
     GD32,754+32,754$6,705
Newell Rubbermaid I 357,131 -2,270 $6,685
     NWL357,131-2,270$6,685
Capital One Financi 72,391 -5,427 $6,586
     COF72,391-5,427$6,586
Apple Inc. 29,101 -5,778 $6,518
     AAPL29,101-5,778$6,518
CenterPoint Energy 214,175 +2,852 $6,464
     CNP214,175+2,852$6,464
Universal Health Se 42,967 -5,927 $6,391
     UHS42,967-5,927$6,391
Constellation Brand 30,690 -90 $6,361
     STZ30,690-90$6,361
American Int l Grou 119,459 +119,459 $6,360
     AIG119,459+119,459$6,360
HCA Healthcare INC 45,638 +45,638 $6,349
     HCA45,638+45,638$6,349
Entergy Corp. 77,878 +77,878 $6,318
     ETR77,878+77,878$6,318
Exxon Mobil Corp. 74,135 +74,135 $6,303
     XOM74,135+74,135$6,303
Discovery Commun In 231,386 +27,171 $6,162
     DISCA231,386+27,171$6,162
Hasbro Inc. 58,308 +58,308 $6,129
     HAS58,308+58,308$6,129
Welltower Inc 67,045 -7,756 $6,078
     WELL67,045-7,756$6,078
ConocoPhillips 106,124 +22,986 $6,047
     COP106,124+22,986$6,047
Dover Corp. 60,320 -370 $6,005
     DOV60,320-370$6,005
State Street Corp. 100,749 +11,500 $5,963
     STT100,749+11,500$5,963
Cabot Oil & Gas Cor 338,318 +169,985 $5,944
     COG338,318+169,985$5,944
Wells Fargo & Co. 117,660 +117,660 $5,935
     WFC117,660+117,660$5,935
Allstate Corp. 54,492 -4,095 $5,922
     ALL54,492-4,095$5,922
Intel Corp. 114,881 -750 $5,920
     INTC114,881-750$5,920
Eaton Corp. PLC 70,898 +8,478 $5,895
     ETN70,898+8,478$5,895
Public Service Ente 93,846 -4,828 $5,826
     PEG93,846-4,828$5,826
Cisco Systems Inc. 117,789 +4,260 $5,820
     CSCO117,789+4,260$5,820
Citizens Financial 163,870 -18,069 $5,796
     CFG163,870-18,069$5,796
AvalonBay Communiti 26,376 -1,453 $5,680
     AVB26,376-1,453$5,680
UnitedHealth Group 25,767 -445 $5,600
     UNH25,767-445$5,600
Goldman Sachs Group 26,864 -3,763 $5,567
     GS26,864-3,763$5,567
Kimberly Clark Corp 38,444 -260 $5,461
     KMB38,444-260$5,461
International Flavo 44,406 +7,160 $5,448
     IFF44,406+7,160$5,448
Archer Daniels Midl 131,832 -850 $5,414
     ADM131,832-850$5,414
BERKSHIRE HATHAWAY      $5,388
     BRK.B25,163+25,163$5,388
Snap On Inc. 34,276 -212 $5,366
     SNA34,276-212$5,366
Nucor Corp. 102,973 -740 $5,242
     NUE102,973-740$5,242

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 09/30/2019: $441,813
At 06/30/2019: $344,104

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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