HoldingsChannel.com
All Stocks Held By Lynch & Associates IN
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
UNITED PARCEL SERVICE INC 202,426 -1,215 $23,696
     UPS202,426-1,215$23,696
MICROSOFT CORP 146,502 -2,285 $23,103
     MSFT146,502-2,285$23,103
JOHNSON & JOHNSON 98,229 +205 $14,329
     JNJ98,229+205$14,329
INTEL CORP 212,094 +528 $12,694
     INTC212,094+528$12,694
PROCTER & GAMBLE CO 101,429 -598 $12,668
     PG101,429-598$12,668
ISHARES CORE S&P 500 INDEX (IVV) 38,842 +84 $12,555
     IVV38,842+84$12,555
ISHARES CORE S&P MIDCAP 400 IN (IJH) 58,818 +1,818 $12,106
     IJH58,818+1,818$12,106
MERCK & CO INC 104,905 +5,135 $9,541
     MRK104,905+5,135$9,541
WAL MART STORES INC 75,065 -555 $8,921
     WMT75,065-555$8,921
PFIZER INC 199,744 -3,525 $7,826
     PFE199,744-3,525$7,826
CISCO SYSTEMS INC 145,546 -3,176 $6,980
     CSCO145,546-3,176$6,980
BOEING CO 21,401 +93 $6,971
     BA21,401+93$6,971
EXXON MOBIL CORP 98,296 -10,935 $6,859
     XOM98,296-10,935$6,859
WELLS FARGO & CO 127,365 +4,835 $6,852
     WFC127,365+4,835$6,852
ABBVIE INC 76,009 +3,475 $6,730
     ABBV76,009+3,475$6,730
CHEVRON CORP 54,362 +1,325 $6,551
     CVX54,362+1,325$6,551
LOCKHEED MARTIN CORP 16,736 +180 $6,517
     LMT16,736+180$6,517
EMERSON ELEC CO 83,543 +1,007 $6,371
     EMR83,543+1,007$6,371
MCDONALDS CORP 31,381 -284 $6,201
     MCD31,381-284$6,201
WALT DISNEY CO 42,350 +2,620 $6,125
     DIS42,350+2,620$6,125
ABBOTT LABORATORIES 70,484 -790 $6,122
     ABT70,484-790$6,122
INTL BUS MACHINES CORP 45,186 -2,035 $6,057
     IBM45,186-2,035$6,057
U S BANCORP 101,635 -2,455 $6,026
     USB101,635-2,455$6,026
COCA COLA CO 104,898 +859 $5,806
     KO104,898+859$5,806
HONEYWELL INTL INC 31,979 -35 $5,660
     HON31,979-35$5,660
J P MORGAN CHASE & CO 38,968 +651 $5,432
     JPM38,968+651$5,432
STRYKER CORP 25,470 -231 $5,347
     SYK25,470-231$5,347
SYSCO CORP 60,859 -584 $5,206
     SYY60,859-584$5,206
DOW INC 92,508 +6,728 $5,063
     DOW92,508+6,728$5,063
ISHARES S&P SMALLCAP 600 INDEX (IJR) 56,317 +2,466 $4,722
     IJR56,317+2,466$4,722
BP PLC 114,614 +43 $4,326
     BP114,614+43$4,326
LOWES COMPANIES INC 34,580 -130 $4,141
     LOW34,580-130$4,141
UNITED TECHNOLOGIES CORP 26,749 +98 $4,006
     UTX26,749+98$4,006
NEXTERA ENERGY INC 15,938 +22 $3,860
     NEE15,938+22$3,860
FIRST SVGS FINL GROUP INC 54,237 UNCH $3,639
     FSFG54,237UNCH$3,639
3M COMPANY 19,602 +5,821 $3,458
     MMM19,602+5,821$3,458
WALGREENS BOOTS ALLIANCE INC 53,791 -23 $3,171
     WBA53,791-23$3,171
AT&T INC 79,775 +3,512 $3,118
     T79,775+3,512$3,118
VERIZON COMMUNICATIONS INC 49,651 +3,373 $3,049
     VZ49,651+3,373$3,049
DUKE ENERGY CORP 32,160 -201 $2,933
     DUK32,160-201$2,933
ISHARES CORE S&P TOTAL US STOC (ITOT) 39,984 +1,760 $2,906
     ITOT39,984+1,760$2,906
TJX COMPANIES INC 47,295 -235 $2,888
     TJX47,295-235$2,888
ILLINOIS TOOL WORKS INC 15,483 -110 $2,781
     ITW15,483-110$2,781
KIMBERLY CLARK CORP 18,047 +153 $2,482
     KMB18,047+153$2,482
BERKSHIRE HATHAWAY INC CL B      $2,047
     BRK.B9,036+1,145$2,047
COLGATE PALMOLIVE CO 28,804 -51 $1,983
     CL28,804-51$1,983
ROYAL DUTCH SHELL PLC      $1,883
     RDS.A31,925-3,075$1,883
INTL PAPER CO 40,394 +3,243 $1,860
     IP40,394+3,243$1,860
GENERAL MILLS INC 31,951 +5,961 $1,711
     GIS31,951+5,961$1,711
ALTRIA GROUP INC 31,542 -3,554 $1,574
     MO31,542-3,554$1,574
ISHARES CORE MSCI EMERGING MAR (IEMG) 28,052 +2,653 $1,508
     IEMG28,052+2,653$1,508
FIDELITY MCSI INFORMATION TECH 20,042 -36 $1,453
     FTEC20,042-36$1,453
TOTAL SA ADR 25,399 +1,945 $1,405
     TOT25,399+1,945$1,405
ISHARES CORE MSCI TOTAL INTERN (IXUS) 22,224 +693 $1,376
     IXUS22,224+693$1,376
PHILIP MORRIS INTERNATIONAL IN 14,435 -363 $1,228
     PM14,435-363$1,228
FIDELITY MSCI INDUSTRIALS INDE 25,680 +2,147 $1,080
     FIDU25,680+2,147$1,080
FIDELITY MSCI HEALTHCARE INDEX (FHLC) 21,325 +1,897 $1,061
     FHLC21,325+1,897$1,061
TECHNOLOGY SELECT SECTOR SPDR (XLK) 11,400 UNCH $1,045
     XLK11,400UNCH$1,045
GERMAN AMERICAN BANCORP 27,817 UNCH $991
     GABC27,817UNCH$991
GILEAD SCIENCES INC 15,235 +625 $990
     GILD15,235+625$990
FIDELITY MSCI FINANCIALS INDEX (FNCL) 20,502 +2,023 $911
     FNCL20,502+2,023$911
CSX CORP 12,453 +29 $901
     CSX12,453+29$901
ALLIANT ENERGY CORP 16,161 -15 $884
     LNT16,161-15$884
THE PROVIDENT BANCORP 68,500 +68,500 $853
     PVBC68,500+68,500$853
CVS CAREMARK CORP 11,009 +317 $818
     CVS11,009+317$818
BRISTOL MYERS SQUIBB CO 11,991 UNCH $770
     BMY11,991UNCH$770
GENERAL ELEC CO 67,331 -4,574 $751
     GE67,331-4,574$751
ELI LILLY & CO 5,664 UNCH $744
     LLY5,664UNCH$744
FIDELITY MSCI CONSUMER DISCRET 15,329 -751 $740
     FDIS15,329-751$740
FIDELITY MSCI CONSUMER STAPLES 19,577 +1,372 $738
     FSTA19,577+1,372$738
AMAZON COM 393 +5 $726
     AMZN393+5$726
HOME DEPOT INC 3,150 -175 $688
     HD3,150-175$688
CINCINNATI FINL CORP 5,712 +2,147 $601
     CINF5,712+2,147$601
FIDELITY MCSI ENERGY INDEX (FENY) 35,584 +1,831 $570
     FENY35,584+1,831$570
INDUSTRIAL SELECT SECTOR SPDR (XLI) 6,975 UNCH $568
     XLI6,975UNCH$568
HUNTINGTON BANCSHARES INC (HBAN) 35,200 -500 $531
     HBAN35,200-500$531
FINANCIAL SELECT SECTOR SPDR (XLF) 15,850 UNCH $488
     XLF15,850UNCH$488
AMERICAN ELEC PWR CO INC 5,142 UNCH $486
     AEP5,142UNCH$486
KEYCORP 23,650 UNCH $479
     KEY23,650UNCH$479
APPLE INC 1,605 -5 $471
     AAPL1,605-5$471
FIDELITY MSCI TELECOMMUNICATIO 12,069 +4,828 $432
     FCOM12,069+4,828$432
ISHARES RUSSELL 2000 INDEX (IWM) 2,577 UNCH $427
     IWM2,577UNCH$427
REGIONS FINANCIAL CORP 23,817 UNCH $409
     RF23,817UNCH$409
HEALTH CARE SELECT SECTOR SPDR (XLV) 3,950 UNCH $402
     XLV3,950UNCH$402
CONSOLIDATED EDISON INC 3,875 UNCH $351
     ED3,875UNCH$351
CONSUMER DISCRETIONARY SELECT 2,700 UNCH $339
     XLY2,700UNCH$339
NIKE INC 3,163 UNCH $320
     NKE3,163UNCH$320
NISOURCE INC 10,080 UNCH $281
     NI10,080UNCH$281
OLD NATL BANCORP 14,793 -200 $271
     ONB14,793-200$271
CONSUMER STAPLES SELECT SECTOR 4,225 UNCH $266
     XLP4,225UNCH$266
FIDELITY MCSI MATERIALS INDEX (FMAT) 7,698 -867 $264
     FMAT7,698-867$264
FACEBOOK INC 1,217 UNCH $250
     FB1,217UNCH$250
DUPONT DE NEMOURS INC 3,747 -666 $241
     DD3,747-666$241
FIRST COMMONWEALTH FINANCIAL 14,700 +250 $213
     FCF14,700+250$213
FIDELITY MSCI UTILITIES INDEX (FUTY) 4,987 +4,987 $211
     FUTY4,987+4,987$211
ENERGY SELECT SECTOR SPDR (XLE) 3,509 +3,509 $211
     XLE3,509+3,509$211
FIFTH THIRD BANCORP 6,592 +6,592 $203
     FITB6,592+6,592$203
HARBORONE BANCORP INC 15,011 -41,000 $165
     HONE15,011-41,000$165
BLUE RIVER BANCSHARES INC 38,072 +0 $0
     COM38,072UNCH$0

See Summary: Lynch & Associates IN Top Holdings
See Details: Top 10 Stocks Held By Lynch & Associates IN

EntityShares/Amount
Change
Position Value
Change
PVBC +68,500+$853
FUTY +4,987+$211
XLE +3,509+$211
FITB +6,592+$203
EntityShares/Amount
Change
Position Value
Change
BLUE RIVER BANCSHARES INC -38,072$UNCH
EntityShares/Amount
Change
Position Value
Change
DOW +6,728+$976
GIS +5,961+$278
MMM +5,821+$1,192
MRK +5,135+$1,142
WFC +4,835+$672
FCOM +4,828+$193
T +3,512+$232
ABBV +3,475+$1,238
VZ +3,373+$256
IP +3,243+$306
EntityShares/Amount
Change
Position Value
Change
HONE -41,000-$399
XOM -10,935-$854
GE -4,574+$108
MO -3,554+$139
PFE -3,525+$523
CSCO -3,176-$368
RDS -3,075-$177
USB -2,455+$266
MSFT -2,285+$2,417
Size ($ in 1000's)
At 12/31/2019: $347,964
At 09/30/2019: $326,969

Lynch & Associates IN holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Lynch & Associates IN 13F filings. Link to 13F filings: SEC filings

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