HoldingsChannel.com
HGK Asset Management Inc. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MetLife Inc. 172,942 -1,399 $8,590
     MET172,942-1,399$8,590
Chevron Corp. 64,367 -975 $8,010
     CVX64,367-975$8,010
Johnson & Johnson 56,413 -5,953 $7,857
     JNJ56,413-5,953$7,857
Citigroup Inc. 106,612 -2,356 $7,466
     C106,612-2,356$7,466
JPMorgan Chase & Co 64,518 -1,142 $7,213
     JPM64,518-1,142$7,213
International Busin 52,015 +236 $7,173
     IBM52,015+236$7,173
Walt Disney Co. 50,681 -12,867 $7,077
     DIS50,681-12,867$7,077
Capital One Financi 77,818 -1,635 $7,061
     COF77,818-1,635$7,061
Apple Inc. 34,879 -4,229 $6,903
     AAPL34,879-4,229$6,903
Bristol Myers Squib 147,009 +8,058 $6,667
     BMY147,009+8,058$6,667
Marathon Petroleum 116,274 +9,781 $6,497
     MPC116,274+9,781$6,497
Comcast Corp. Cl A 153,621 -3,458 $6,495
     CMCSA153,621-3,458$6,495
McKesson Corp. 48,319 -6,314 $6,494
     MCK48,319-6,314$6,494
CVS Caremark Corp. 118,738 +3,966 $6,470
     CVS118,738+3,966$6,470
Citizens Financial 181,939 -1,642 $6,433
     CFG181,939-1,642$6,433
UnitedHealth Group 26,212 -323 $6,396
     UNH26,212-323$6,396
Universal Health Se 48,894 +4,506 $6,375
     UHS48,894+4,506$6,375
Boston Scientific C 147,915 +147,915 $6,357
     BSX147,915+147,915$6,357
Discovery Commun In 204,215 +204,215 $6,269
     DISCA204,215+204,215$6,269
Goldman Sachs Group 30,627 -714 $6,266
     GS30,627-714$6,266
Cisco Systems Inc. 113,529 -17,119 $6,213
     CSCO113,529-17,119$6,213
Raytheon Co. 35,580 +1,750 $6,187
     RTN35,580+1,750$6,187
Welltower Inc 74,801 -6,816 $6,099
     WELL74,801-6,816$6,099
Dover Corp. 60,690 -4,513 $6,081
     DOV60,690-4,513$6,081
Constellation Brand 30,780 -7,912 $6,062
     STZ30,780-7,912$6,062
CenterPoint Energy 211,323 -1,351 $6,050
     CNP211,323-1,351$6,050
Allstate Corp. 58,587 -12,713 $5,958
     ALL58,587-12,713$5,958
Carlisle Cos. 42,284 -6,252 $5,937
     CSL42,284-6,252$5,937
Public Service Ente 98,674 -2,088 $5,804
     PEG98,674-2,088$5,804
RPM International I 94,725 -2,117 $5,789
     RPM94,725-2,117$5,789
Nucor Corp. 103,713 -465 $5,715
     NUE103,713-465$5,715
Snap On Inc. 34,488 -5,816 $5,713
     SNA34,488-5,816$5,713
Simon Property Grou 35,440 +2,029 $5,662
     SPG35,440+2,029$5,662
AvalonBay Communiti 27,829 -2,626 $5,654
     AVB27,829-2,626$5,654
Newell Rubbermaid I 359,401 -13,244 $5,542
     NWL359,401-13,244$5,542
Intel Corp. 115,631 -15,873 $5,535
     INTC115,631-15,873$5,535
Lear Corp. 39,614 -3,786 $5,517
     LEA39,614-3,786$5,517
Archer Daniels Midl 132,682 -1,538 $5,413
     ADM132,682-1,538$5,413
International Flavo 37,246 -9,337 $5,404
     IFF37,246-9,337$5,404
J.M. Smucker Co. 45,681 -4,902 $5,262
     SJM45,681-4,902$5,262
Eaton Corp. PLC 62,420 +62,420 $5,198
     ETN62,420+62,420$5,198
Kimberly Clark Corp 38,704 -4,782 $5,158
     KMB38,704-4,782$5,158
ConocoPhillips 83,138 -1,065 $5,071
     COP83,138-1,065$5,071
State Street Corp. 89,249 -1,848 $5,003
     STT89,249-1,848$5,003
Devon Energy Corp. 167,204 -15,228 $4,769
     DVN167,204-15,228$4,769
Occidental Petroleu 94,140 +7,295 $4,733
     OXY94,140+7,295$4,733
Abbvie Inc 64,930 +58,618 $4,722
     ABBV64,930+58,618$4,722
CenturyLink Inc. 369,586 -20,918 $4,346
     CTL369,586-20,918$4,346
Cabot Oil & Gas Cor 168,333 +52,206 $3,865
     COG168,333+52,206$3,865
McDonald s Corp. 13,981 -462 $2,903
     MCD13,981-462$2,903

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 06/30/2019: $344,104
At 03/31/2019: $331,875

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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