HoldingsChannel.com
Kanawha Capital Management LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
MICROSOFT CORP 230,643 -2,398 $27,202
     MSFT230,643-2,398$27,202
LOWES INC 199,393 -3,200 $21,828
     LOW199,393-3,200$21,828
JOHNSON&JOHNSON 146,774 -333 $20,518
     JNJ146,774-333$20,518
BECTON DICKINSON 73,342 -1,758 $18,316
     BDX73,342-1,758$18,316
PROCTER & GAMBLE CO 173,340 -2,244 $18,036
     PG173,340-2,244$18,036
AUTO DATA PROC 110,103 -2,065 $17,588
     ADP110,103-2,065$17,588
APPLE INC 91,163 +1,793 $17,316
     AAPL91,163+1,793$17,316
INTEL CORP 315,069 -2,218 $16,919
     INTC315,069-2,218$16,919
PEPSICO INC 132,439 +98 $16,230
     PEP132,439+98$16,230
UNITED TECH 124,641 +152 $16,065
     UTX124,641+152$16,065
MC DONALDS CORP 81,517 -592 $15,480
     MCD81,517-592$15,480
NIKE INC CL B 168,485 -3,541 $14,188
     NKE168,485-3,541$14,188
BERKSHIRE HATHAWAY B      $14,072
     BRK.B70,047-632$14,072
ISHARES CORE S&P MIDCAP (IJH) 72,174 +575 $13,670
     IJH72,174+575$13,670
ABBOTT LABS 169,189 -1,557 $13,525
     ABT169,189-1,557$13,525
DOMINION ENERGY 171,301 +1,697 $13,132
     D171,301+1,697$13,132
3M COMPANY 61,876 +289 $12,857
     MMM61,876+289$12,857
EXXON MOBIL 158,498 -2,664 $12,807
     XOM158,498-2,664$12,807
ILLINOIS TOOL WKS 88,098 +295 $12,645
     ITW88,098+295$12,645
VANGUARD FTSE DEV MARKETS (VEA) 300,476 +10,231 $12,280
     VEA300,476+10,231$12,280
CISCO SYSTEMS INC 226,913 -2,247 $12,251
     CSCO226,913-2,247$12,251
ABBVIE INC 151,187 -3,486 $12,184
     ABBV151,187-3,486$12,184
ISHARES RUSSELL 2000 (IWM) 79,416 +208 $12,158
     IWM79,416+208$12,158
ISHARES S&P 500 (IVV) 42,494 +3,314 $12,092
     IVV42,494+3,314$12,092
CHEVRON CORP 96,729 -1,248 $11,915
     CVX96,729-1,248$11,915
JP MORGAN CHASE 114,468 -453 $11,588
     JPM114,468-453$11,588
NORFOLK SOUTHRN 58,815 -1,244 $10,992
     NSC58,815-1,244$10,992
WELLS FARGO & CO 203,763 -620 $9,846
     WFC203,763-620$9,846
VERIZON 165,694 +161 $9,797
     VZ165,694+161$9,797
BB&T 208,750 -431 $9,713
     BBT208,750-431$9,713
ORACLE CORP 180,005 +70 $9,668
     ORCL180,005+70$9,668
ECOLAB INC 53,199 -237 $9,392
     ECL53,199-237$9,392
TARGET CORP 110,092 -148 $8,836
     TGT110,092-148$8,836
COCA COLA CO 168,967 -1,300 $7,918
     KO168,967-1,300$7,918
PFIZER INC 183,364 -3,042 $7,787
     PFE183,364-3,042$7,787
NORTHERN TRUST CORP 83,862 -1,135 $7,582
     NTRS83,862-1,135$7,582
DISNEY WALT 64,603 -573 $7,173
     DIS64,603-573$7,173
VANGUARD FTSE EMERGING MKTS (VWO) 167,148 +1,593 $7,104
     VWO167,148+1,593$7,104
ALPHABET CLASS A 5,869 -90 $6,907
     GOOGL5,869-90$6,907
AT&T 219,509 +10,629 $6,884
     T219,509+10,629$6,884
U.S. BANCORP 140,383 +1,228 $6,765
     USB140,383+1,228$6,765
VANGUARD REAL ESTATE ETF (VNQ) 76,797 +310 $6,674
     VNQ76,797+310$6,674
EMERSON ELECTRIC 93,709 +958 $6,416
     EMR93,709+958$6,416
COLGATE PALMOLIVE 86,532 -947 $5,931
     CL86,532-947$5,931
INTL BUS MACHINES 41,687 +1,539 $5,882
     IBM41,687+1,539$5,882
CHUBB LTD 40,570 -169 $5,683
     CB40,570-169$5,683
AIR PRODS & CHEM 29,257 -425 $5,587
     APD29,257-425$5,587
KIMBERLY CLARK 44,567 +1,696 $5,522
     KMB44,567+1,696$5,522
HOME DEPOT 28,593 +690 $5,487
     HD28,593+690$5,487
SOUTHERN CO 102,916 +792 $5,319
     SO102,916+792$5,319

See Full List: All Stocks Held By Kanawha Capital Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Kanawha Capital Management LLC

Size ($ in 1000's)
At 03/31/2019: $712,605
At 12/31/2018: $639,685

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

Kanawha Capital Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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