HoldingsChannel.com
KLCM Advisors Inc. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
AT&T Inc. 644,517 -6,247 $19,484
     T644,517-6,247$19,484
Bristol Myers Squibb 301,182 -15,698 $17,710
     BMY301,182-15,698$17,710
Allegheny Technologies Inc. 1,692,766 -72,475 $17,249
     ATI1,692,766-72,475$17,249
Oracle Corp. 310,257 -17,668 $17,148
     ORCL310,257-17,668$17,148
Cisco Systems 361,851 -12,206 $16,877
     CSCO361,851-12,206$16,877
IBM 129,956 -8,472 $15,695
     IBM129,956-8,472$15,695
Kinder Morgan Inc. 1,013,693 -91,250 $15,378
     KMI1,013,693-91,250$15,378
Citigroup Inc. 288,849 -8,371 $14,760
     C288,849-8,371$14,760
Merck & Co Inc. 185,354 -9,038 $14,333
     MRK185,354-9,038$14,333
Pfizer Inc. 436,032 -32,446 $14,258
     PFE436,032-32,446$14,258
Dow Inc. 327,387 -157,517 $13,344
     DOW327,387-157,517$13,344
Du Pont E I De Nemours 250,646 -22,293 $13,317
     DD250,646-22,293$13,317
MetLife Inc. 326,588 -25,146 $11,927
     MET326,588-25,146$11,927
Wells Fargo & Co. 459,564 +124,672 $11,765
     WFC459,564+124,672$11,765
United Parcel Service Cl B 105,540 -82,654 $11,734
     UPS105,540-82,654$11,734
Walt Disney Hldg. Co. 94,527 -5,945 $10,541
     DIS94,527-5,945$10,541
Bank of America 371,782 -12,547 $8,830
     BAC371,782-12,547$8,830
Cognizant Tech Solutions 152,392 -13,638 $8,659
     CTSH152,392-13,638$8,659
American Express Co. 85,908 +85,908 $8,178
     AXP85,908+85,908$8,178
General Motors Corp. 254,806 -6,369 $6,447
     GM254,806-6,369$6,447
J P Morgan Chase 64,052 +49,308 $6,025
     JPM64,052+49,308$6,025
Boeing Co. 32,311 +679 $5,923
     BA32,311+679$5,923
Southwest Airlines Co 141,174 -11,100 $4,825
     LUV141,174-11,100$4,825
Cinemark Holdings Inc. 415,025 +188,675 $4,794
     CNK415,025+188,675$4,794
Exxon Mobil Corp. 79,340 +451 $3,548
     XOM79,340+451$3,548
O I Glass Inc. 388,644 -35,301 $3,490
     OI388,644-35,301$3,490
US Bancorp 94,558 +37,675 $3,482
     USB94,558+37,675$3,482
Union Pacific Corp. 20,197 UNCH $3,415
     UNP20,197UNCH$3,415
Apple Inc. 7,088 -59 $2,586
     AAPL7,088-59$2,586
Modine Manufacturing Co. 445,390 -34,700 $2,459
     MOD445,390-34,700$2,459
Fiserv Inc. 24,240 UNCH $2,366
     FISV24,240UNCH$2,366
WEC Energy Group Inc. 25,434 UNCH $2,229
     WEC25,434UNCH$2,229
Johnson & Johnson 13,590 -139 $1,911
     JNJ13,590-139$1,911
3M Company 11,056 +2,999 $1,725
     MMM11,056+2,999$1,725
Microsoft Corp. 8,292 +679 $1,687
     MSFT8,292+679$1,687
MGIC Investment Corp. 199,185 +10,000 $1,631
     MTG199,185+10,000$1,631
International Paper Company 44,096 -3,175 $1,553
     IP44,096-3,175$1,553
Berkley W R Corp. 23,976 UNCH $1,374
     WRB23,976UNCH$1,374
Fidelity National Information 9,805 UNCH $1,315
     FIS9,805UNCH$1,315
Pepsico Inc. 9,913 UNCH $1,311
     PEP9,913UNCH$1,311
Procter & Gamble Co. 9,613 UNCH $1,149
     PG9,613UNCH$1,149
Walgreens Boots Alliance Inc. 26,269 +280 $1,114
     WBA26,269+280$1,114
Fastenal Company 25,600 UNCH $1,097
     FAST25,600UNCH$1,097
Agnico Eagle Mines Ltd. 17,000 +3,000 $1,089
     AEM17,000+3,000$1,089
Smith & Wesson Brands Inc. 50,000 +50,000 $1,076
     SWBI50,000+50,000$1,076
Cigna Corp. 5,573 UNCH $1,046
     CI5,573UNCH$1,046
Philip Morris International In 14,372 UNCH $1,007
     PM14,372UNCH$1,007
AbbVie Inc. 9,490 UNCH $932
     ABBV9,490UNCH$932
Eli Lilly & Co. 5,613 UNCH $922
     LLY5,613UNCH$922
Abbott Labs 9,496 +99 $868
     ABT9,496+99$868

See Full List: All Stocks Held By KLCM Advisors Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By KLCM Advisors Inc.

Size ($ in 1000's)
At 06/30/2020: $351,546
At 03/31/2020: $315,728

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

KLCM Advisors Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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