HoldingsChannel.com
HGK Asset Management Inc. Top Holdings
As of  09/30/2020

   EntityAmountChange
 06/30/2020 to 09/30/2020
Position Size
($ in 1000's)
Johnson & Johnson 35,446 -13,019 $5,277
     JNJ35,446-13,019$5,277
JPMorgan Chase & Co 54,333 -16,602 $5,231
     JPM54,333-16,602$5,231
MetLife Inc. 131,993 -51,697 $4,906
     MET131,993-51,697$4,906
Constellation Brand 25,666 -15,074 $4,864
     STZ25,666-15,074$4,864
Verizon Communicati 80,319 +66,992 $4,778
     VZ80,319+66,992$4,778
International Busin 37,174 -14,153 $4,523
     IBM37,174-14,153$4,523
The Allstate Corp. 46,381 -17,261 $4,366
     ALL46,381-17,261$4,366
Bristol Myers Squib 71,881 -26,353 $4,334
     BMY71,881-26,353$4,334
Comcast Corp. Cl A 93,134 -63,519 $4,308
     CMCSA93,134-63,519$4,308
Snap On Inc. 28,899 -12,564 $4,252
     SNA28,899-12,564$4,252
Genuine Parts Co. 44,490 -20,110 $4,234
     GPC44,490-20,110$4,234
Dover Corp. 38,789 -16,500 $4,202
     DOV38,789-16,500$4,202
Eaton Corp. PLC 41,150 -21,409 $4,199
     ETN41,150-21,409$4,199
Carlisle Cos. 33,436 -11,639 $4,092
     CSL33,436-11,639$4,092
State Street Corp. 68,302 -25,469 $4,052
     STT68,302-25,469$4,052
VIACOM CL B 144,538 -95,225 $4,049
     VIAC144,538-95,225$4,049
Consolidated Edison 51,811 -22,546 $4,031
     ED51,811-22,546$4,031
Abbvie Inc 45,469 -21,613 $3,983
     ABBV45,469-21,613$3,983
Hershey Co. 27,428 -2,979 $3,932
     HSY27,428-2,979$3,932
Discovery Commun In 180,265 -65,719 $3,924
     DISCA180,265-65,719$3,924
Welltower Inc 70,747 -22,854 $3,897
     WELL70,747-22,854$3,897
UnitedHealth Group 12,319 -7,461 $3,841
     UNH12,319-7,461$3,841
Discover Financial 65,638 -28,480 $3,793
     DFS65,638-28,480$3,793
Kimberly Clark Corp 25,680 -13,804 $3,792
     KMB25,680-13,804$3,792
Home Depot Inc. 13,623 -7,645 $3,783
     HD13,623-7,645$3,783
Entergy Corp. 37,882 -16,595 $3,733
     ETR37,882-16,595$3,733
J.M. Smucker Co. 32,161 -22,019 $3,715
     SJM32,161-22,019$3,715
Boston Scientific C 96,010 -63,864 $3,669
     BSX96,010-63,864$3,669
General Dynamics Co 25,983 -9,143 $3,597
     GD25,983-9,143$3,597
Cisco Systems Inc. 91,287 -31,948 $3,596
     CSCO91,287-31,948$3,596
Universal Health Se 33,046 -19,243 $3,537
     UHS33,046-19,243$3,537
RPM International I 42,585 -29,696 $3,528
     RPM42,585-29,696$3,528
Dominion Resources 44,312 -20,087 $3,498
     D44,312-20,087$3,498
Intel Corp. 67,056 -18,726 $3,472
     INTC67,056-18,726$3,472
Lear Corp. 31,324 -17,440 $3,416
     LEA31,324-17,440$3,416
Amdocs Ltd. 59,227 -14,528 $3,400
     DOX59,227-14,528$3,400
Automatic Data Proc 24,349 -11,060 $3,396
     ADP24,349-11,060$3,396
Capital One Financi 46,924 -20,720 $3,372
     COF46,924-20,720$3,372
McKesson Corp. 22,300 -11,930 $3,321
     MCK22,300-11,930$3,321
CVS Caremark Corp. 56,720 -33,139 $3,312
     CVS56,720-33,139$3,312
Simon Property Grou 50,852 -10,868 $3,289
     SPG50,852-10,868$3,289
Citizens Financial 128,482 -57,260 $3,248
     CFG128,482-57,260$3,248
International Flavo 26,439 -12,030 $3,237
     IFF26,439-12,030$3,237
Citigroup Inc. 72,364 -26,747 $3,120
     C72,364-26,747$3,120
Chevron Corp. 42,679 -18,231 $3,073
     CVX42,679-18,231$3,073
Nucor Corp. 64,095 -27,770 $2,875
     NUE64,095-27,770$2,875
McDonald s Corp. 13,068 -5 $2,868
     MCD13,068-5$2,868
Marathon Petroleum 96,419 -44,151 $2,829
     MPC96,419-44,151$2,829
ConocoPhillips 77,279 -41,171 $2,538
     COP77,279-41,171$2,538
Lowe s Cos. 15,250 -197 $2,529
     LOW15,250-197$2,529

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 09/30/2020: $249,083
At 06/30/2020: $310,219

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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