HoldingsChannel.com
All Stocks Held By McKinley Carter Wealth Services Inc.
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
ISHARES TR (IWB) 435,208 +14,894 $77,650
     IWB435,208+14,894$77,650
ISHARES TR (IJR) 428,481 +11,703 $35,928
     IJR428,481+11,703$35,928
ISHARES TR (IVV) 75,404 +4,283 $24,374
     IVV75,404+4,283$24,374
ISHARES TR (IYG) 131,774 -574 $20,006
     IYG131,774-574$20,006
ISHARES TR (MTUM) 91,614 -441 $11,503
     MTUM91,614-441$11,503
APPLE INC 32,485 +17 $9,539
     AAPL32,485+17$9,539
ISHARES TR (IWF) 39,298 -3,333 $6,913
     IWF39,298-3,333$6,913
SPDR SERIES TRUST (SPLG) 182,706 -7,756 $6,910
     SPLG182,706-7,756$6,910
FIRST TR EXCHANGE TRADED FD (FBT) 43,258 -1,617 $6,433
     FBT43,258-1,617$6,433
MICROSOFT CORP 40,302 +243 $6,356
     MSFT40,302+243$6,356
ISHARES TR (IWM) 35,176 +686 $5,828
     IWM35,176+686$5,828
COSTCO WHSL CORP NEW 17,198 -39 $5,055
     COST17,198-39$5,055
ISHARES TR (IJH) 24,353 +234 $5,012
     IJH24,353+234$5,012
HOME DEPOT INC 22,521 +81 $4,918
     HD22,521+81$4,918
FISERV INC 40,453 -652 $4,678
     FISV40,453-652$4,678
STARBUCKS CORP 51,581 +5,257 $4,535
     SBUX51,581+5,257$4,535
THERMO FISHER SCIENTIFIC INC 13,904 -39 $4,517
     TMO13,904-39$4,517
INTUIT 16,768 -87 $4,392
     INTU16,768-87$4,392
UNITEDHEALTH GROUP INC 14,838 +13 $4,362
     UNH14,838+13$4,362
ACCENTURE PLC IRELAND 20,625 +78 $4,343
     ACN20,625+78$4,343
PEPSICO INC 31,224 +215 $4,267
     PEP31,224+215$4,267
ECOLAB INC 21,997 +297 $4,245
     ECL21,997+297$4,245
O REILLY AUTOMOTIVE INC NEW 9,492 -225 $4,160
     ORLY9,492-225$4,160
UNITED TECHNOLOGIES CORP 27,703 +34 $4,149
     UTX27,703+34$4,149
ARK ETF TR (ARKK) 81,295 -8,134 $4,069
     ARKK81,295-8,134$4,069
GLOBAL PMTS INC 21,822 -411 $3,984
     GPN21,822-411$3,984
TJX COS INC NEW 64,770 +142 $3,955
     TJX64,770+142$3,955
BECTON DICKINSON & CO 14,207 -11 $3,864
     BDX14,207-11$3,864
ABBOTT LABS 44,072 -165 $3,828
     ABT44,072-165$3,828
ROPER TECHNOLOGIES INC 9,039 +153 $3,202
     ROP9,039+153$3,202
CACI INTL INC 12,790 +61 $3,197
     CACI12,790+61$3,197
ISHARES TR (IWP) 20,952 +3,016 $3,197
     IWP20,952+3,016$3,197
WASTE MGMT INC DEL 27,727 +1,000 $3,160
     WM27,727+1,000$3,160
CERNER CORP 40,915 +695 $3,003
     CERN40,915+695$3,003
VANGUARD INDEX FDS (VO) 16,681 -684 $2,972
     VO16,681-684$2,972
MASTERCARD INC 9,802 +178 $2,927
     MA9,802+178$2,927
PROCTER & GAMBLE CO 23,336 +307 $2,915
     PG23,336+307$2,915
DOLLAR TREE INC 30,898 +378 $2,906
     DLTR30,898+378$2,906
SYSCO CORP 33,446 +2,360 $2,861
     SYY33,446+2,360$2,861
ANTHEM INC 8,891 +406 $2,685
     ANTM8,891+406$2,685
VANGUARD WORLD FDS (VDC) 15,892 -171 $2,562
     VDC15,892-171$2,562
DARDEN RESTAURANTS INC 23,331 +152 $2,543
     DRI23,331+152$2,543
TRACTOR SUPPLY CO 26,792 +1,149 $2,503
     TSCO26,792+1,149$2,503
ISHARES TR (IWR) 39,273 +5 $2,341
     IWR39,273+5$2,341
LAUDER ESTEE COS INC 11,053 +701 $2,283
     EL11,053+701$2,283
EXXON MOBIL CORP 32,634 -2,872 $2,277
     XOM32,634-2,872$2,277
MCDONALDS CORP 10,801 +318 $2,134
     MCD10,801+318$2,134
VANGUARD INDEX FDS (VNQ) 22,844 +148 $2,120
     VNQ22,844+148$2,120
JPMORGAN CHASE & CO 14,845 +1,892 $2,069
     JPM14,845+1,892$2,069
AKAMAI TECHNOLOGIES INC 23,544 +1,514 $2,034
     AKAM23,544+1,514$2,034
JACOBS ENGR GROUP INC 22,320 +3,690 $2,005
     JEC22,320+3,690$2,005
AT&T INC 50,119 +1,641 $1,959
     T50,119+1,641$1,959
JOHNSON & JOHNSON 13,314 +671 $1,942
     JNJ13,314+671$1,942
DISNEY WALT CO 13,228 -85 $1,913
     DIS13,228-85$1,913
AARONS INC 31,563 +3,494 $1,803
     AAN31,563+3,494$1,803
ISHARES TR (IWD) 12,967 -501 $1,770
     IWD12,967-501$1,770
SPDR S&P MIDCAP 400 ETF TR (MDY) 4,591 -75 $1,723
     MDY4,591-75$1,723
BLACKROCK INC 3,213 +187 $1,615
     BLK3,213+187$1,615
SCHWAB STRATEGIC TR 20,691 +1,715 $1,589
     SCHX20,691+1,715$1,589
TARGET CORP 12,073 -447 $1,548
     TGT12,073-447$1,548
LOWES COS INC 12,803 +374 $1,533
     LOW12,803+374$1,533
3M CO 8,633 -330 $1,523
     MMM8,633-330$1,523
VANGUARD WORLD FDS (VFH) 19,418 -775 $1,481
     VFH19,418-775$1,481
PFIZER INC 37,622 +1,140 $1,474
     PFE37,622+1,140$1,474
VANGUARD INDEX FDS (VUG) 8,092 +86 $1,474
     VUG8,092+86$1,474
WISDOMTREE TR 15,812 -990 $1,463
     DTN15,812-990$1,463
ABBVIE INC 16,392 -20 $1,451
     ABBV16,392-20$1,451
CISCO SYS INC 30,001 +3,837 $1,439
     CSCO30,001+3,837$1,439
ALPHABET INC 1,040 +4 $1,393
     GOOGL1,040+4$1,393
SPDR SERIES TRUST (SPMD) 38,304 -3,760 $1,388
     SPMD38,304-3,760$1,388
AMAZON COM INC 676 -190 $1,249
     AMZN676-190$1,249
CATERPILLAR INC DEL 8,042 +477 $1,188
     CAT8,042+477$1,188
FACEBOOK INC 5,550 -69 $1,139
     FB5,550-69$1,139
US BANCORP DEL 19,213 +1,178 $1,139
     USB19,213+1,178$1,139
TEXAS INSTRS INC 8,528 +420 $1,094
     TXN8,528+420$1,094
INTEL CORP 18,026 +5,209 $1,079
     INTC18,026+5,209$1,079
GENERAL DYNAMICS CORP 5,813 +737 $1,025
     GD5,813+737$1,025
SOUTHERN CO 15,400 +783 $981
     SO15,400+783$981
MONDELEZ INTL INC 17,629 -643 $971
     MDLZ17,629-643$971
EMERSON ELEC CO 12,372 +594 $944
     EMR12,372+594$944
V F CORP 9,399 -3,449 $937
     VFC9,399-3,449$937
MEDTRONIC PLC 8,250 +630 $936
     MDT8,250+630$936
BERKSHIRE HATHAWAY INC DEL      $933
     BRK.B2,617-351$593
     BRK.A1UNCH$340
ISHARES TR (IUSG) 13,582 +2,055 $919
     IUSG13,582+2,055$919
ALTRIA GROUP INC 18,399 +344 $918
     MO18,399+344$918
COCA COLA CO 15,727 +294 $871
     KO15,727+294$871
WALGREENS BOOTS ALLIANCE INC 13,862 +448 $817
     WBA13,862+448$817
SIMON PPTY GROUP INC NEW 5,451 +520 $812
     SPG5,451+520$812
ISHARES TR (IWS) 8,482 -2,005 $804
     IWS8,482-2,005$804
UNITED BANKSHARES INC WEST V (UBSI) 20,476 +81 $792
     UBSI20,476+81$792
METLIFE INC 15,391 +1,206 $784
     MET15,391+1,206$784
VERIZON COMMUNICATIONS INC 12,706 -81 $780
     VZ12,706-81$780
VISA INC 4,142 -798 $778
     V4,142-798$778
TRAVELERS COMPANIES INC 5,350 +83 $733
     TRV5,350+83$733
NIKE INC 7,203 -465 $730
     NKE7,203-465$730
SPDR S&P 500 ETF TR (SPY) 2,114 -60 $680
     SPY2,114-60$680
FIRST TR EXCHANGE TRADED FD (EMLP) 25,731 -3,094 $656
     EMLP25,731-3,094$656
CHEVRON CORP NEW 5,396 +102 $650
     CVX5,396+102$650
WALMART INC 5,404 -91 $642
     WMT5,404-91$642
PHILIP MORRIS INTL INC 7,338 -1,440 $624
     PM7,338-1,440$624
ISHARES TR (IJT) 3,118 -100 $603
     IJT3,118-100$603
MERCK & CO INC 6,476 +652 $589
     MRK6,476+652$589
SHERWIN WILLIAMS CO 959 +1 $560
     SHW959+1$560
BOEING CO 1,689 +921 $550
     BA1,689+921$550
MVB FINANCIAL CORP 21,876 UNCH $545
     MVBF21,876UNCH$545
PROSHARES TR (NOBL) 7,187 +7,187 $543
     NOBL7,187+7,187$543
AMGEN INC 2,241 +186 $540
     AMGN2,241+186$540
ZOETIS INC 4,061 +8 $538
     ZTS4,061+8$538
COMCAST CORP NEW 11,456 +268 $515
     CMCSA11,456+268$515
ADOBE INC 1,554 +6 $513
     ADBE1,554+6$513
AIR PRODS & CHEMS INC 2,062 +11 $484
     APD2,062+11$484
LOCKHEED MARTIN CORP 1,223 +3 $476
     LMT1,223+3$476
DANAHER CORPORATION 3,088 -170 $474
     DHR3,088-170$474
EDWARDS LIFESCIENCES CORP 1,932 +2 $451
     EW1,932+2$451
CLOROX CO DEL 2,864 -383 $440
     CLX2,864-383$440
SPDR SERIES TRUST (SPYG) 10,388 -348 $435
     SPYG10,388-348$435
SPDR SERIES TRUST (SPSM) 13,121 -891 $428
     SPSM13,121-891$428
INTERNATIONAL BUSINESS MACHS 3,169 -78 $425
     IBM3,169-78$425
FIRST TR EXCHANGE TRADED FD (FDN) 3,005 UNCH $418
     FDN3,005UNCH$418
ALPHABET INC 305 -81 $408
     GOOG305-81$408
PULTE GROUP INC 10,439 UNCH $405
     PHM10,439UNCH$405
QUALCOMM INC 4,540 -4,894 $401
     QCOM4,540-4,894$401
BANK AMER CORP 10,817 +2,516 $381
     BAC10,817+2,516$381
HERSHEY CO 2,589 +6 $381
     HSY2,589+6$381
KIMBERLY CLARK CORP 2,605 +12 $358
     KMB2,605+12$358
VANGUARD INDEX FDS (VTI) 2,164 -15 $354
     VTI2,164-15$354
CINCINNATI FINL CORP 3,354 -67 $353
     CINF3,354-67$353
PROGRESSIVE CORP OHIO 4,870 +13 $353
     PGR4,870+13$353
CVS HEALTH CORP 4,451 -287 $331
     CVS4,451-287$331
DUKE ENERGY CORP NEW 3,625 -18 $331
     DUK3,625-18$331
SCHWAB STRATEGIC TR 5,491 -82 $330
     SCHM5,491-82$330
XCEL ENERGY INC 4,893 UNCH $311
     XEL4,893UNCH$311
EXPEDITORS INTL WASH INC 3,960 -651 $309
     EXPD3,960-651$309
COLGATE PALMOLIVE CO 4,390 -67 $302
     CL4,390-67$302
PAYCHEX INC 3,547 +9 $302
     PAYX3,547+9$302
NATIONAL RETAIL PPTYS INC 5,469 UNCH $293
     NNN5,469UNCH$293
AMERICAN ELEC PWR CO INC 3,001 -238 $284
     AEP3,001-238$284
EVERSOURCE ENERGY 3,338 -74 $284
     ES3,338-74$284
ISHARES TR (SUSA) 2,122 -104 $284
     SUSA2,122-104$284
TRUIST FINL CORP 4,843 +4,843 $273
     TFC4,843+4,843$273
CINTAS CORP 980 UNCH $264
     CTAS980UNCH$264
VANGUARD GROUP (VIG) 2,072 UNCH $258
     VIG2,072UNCH$258
ROCKWELL AUTOMATION INC 1,258 +1,258 $255
     ROK1,258+1,258$255
ALEXION PHARMACEUTICALS INC 2,300 UNCH $249
     ALXN2,300UNCH$249
LIBERTY PPTY TR 4,125 -5 $248
     LPT4,125-5$248
BLACKSTONE GROUP INC 4,270 UNCH $239
     BX4,270UNCH$239
ONEOK INC NEW 3,089 -416 $234
     OKE3,089-416$234
COGNIZANT TECHNOLOGY SOLUTIO 3,713 -2,510 $230
     CTSH3,713-2,510$230
AMERICAN WTR WKS CO INC NEW 1,865 +4 $229
     AWK1,865+4$229
BANK NEW YORK MELLON CORP 4,559 -209 $229
     BK4,559-209$229
GILEAD SCIENCES INC 3,490 UNCH $227
     GILD3,490UNCH$227
PRICE T ROWE GROUP INC 1,763 -107 $215
     TROW1,763-107$215
AVANGRID INC 4,189 UNCH $214
     AGR4,189UNCH$214
ISHARES TR (IJS) 1,332 UNCH $214
     IJS1,332UNCH$214
FASTENAL CO 5,759 +5,759 $213
     FAST5,759+5,759$213
VANGUARD INDEX FDS (VOO) 712 +712 $211
     VOO712+712$211
AFLAC INC 3,971 -515 $210
     AFL3,971-515$210
WELLS FARGO CO NEW 3,833 +3,833 $206
     WFC3,833+3,833$206
ARK ETF TR (ARKQ) 5,072 +5,072 $188
     ARKQ5,072+5,072$188
FIRST COMWLTH FINL CORP PA 12,500 UNCH $181
     FCF12,500UNCH$181
INVESCO EXCHNG TRADED FD TR (PGX) 11,090 +80 $166
     PGX11,090+80$166
ISHARES TR (IHI) 526 +526 $139
     IHI526+526$139
VANGUARD INDEX FDS (VOE) 1,082 +1,082 $129
     VOE1,082+1,082$129
ISHARES TR (IUSV) 2,037 +2,037 $128
     IUSV2,037+2,037$128
ISHARES TR (IVW) 622 +622 $120
     IVW622+622$120
VANGUARD INDEX FDS (VV) 779 +779 $115
     VV779+779$115
ISHARES TR (IWN) 804 +804 $103
     IWN804+804$103
SCHWAB STRATEGIC TR 1,353 +1,353 $102
     SCHA1,353+1,353$102
SPDR SERIES TRUST (RWR) 974 +974 $99
     RWR974+974$99
SPDR SERIES TRUST (SPYV) 2,731 +2,731 $95
     SPYV2,731+2,731$95
SCHWAB STRATEGIC TR 877 +877 $82
     SCHG877+877$82
ISHARES TR (IVE) 599 +599 $78
     IVE599+599$78
SPDR SERIES TRUST (SDY) 610 +610 $66
     SDY610+610$66
ISHARES TR (IYW) 270 +270 $63
     IYW270+270$63
VANGUARD INDEX FDS (VOT) 362 +362 $57
     VOT362+362$57
SCHWAB STRATEGIC TR 803 +803 $47
     SCHD803+803$47
VANGUARD INDEX FDS (VB) 256 +256 $42
     VB256+256$42
ISHARES TR (IBB) 240 +240 $29
     IBB240+240$29
VANGUARD INDEX FDS (VBR) 212 +212 $29
     VBR212+212$29
VANGUARD WORLD FDS (VGT) 118 +118 $29
     VGT118+118$29
VANGUARD INDEX FDS (VTV) 236 +236 $28
     VTV236+236$28
ISHARES TR (IWO) 124 +124 $27
     IWO124+124$27
ISHARES TR (IWV) 105 +105 $20
     IWV105+105$20
ISHARES TR (IJJ) 82 +82 $14
     IJJ82+82$14
ISHARES TR (IJK) 60 +60 $14
     IJK60+60$14
ISHARES TR (IYY) 45 +45 $7
     IYY45+45$7
VANGUARD WORLD FDS (VCR) 13 +13 $2
     VCR13+13$2
CHURCH & DWIGHT INC $0 (exited)
     CHD0-2,935$0
MARATHON PETE CORP $0 (exited)
     MPC0-6,342$0
NETFLIX INC $0 (exited)
     NFLX0-2,900$0
PRIMEENERGY RESOURCES CORP 0 -2,000 $0 (exited)
     PNRG0-2,000$0

See Summary: McKinley Carter Wealth Services Inc. Top Holdings
See Details: Top 10 Stocks Held By McKinley Carter Wealth Services Inc.

EntityShares/Amount
Change
Position Value
Change
NOBL +7,187+$543
TFC +4,843+$273
ROK +1,258+$255
FAST +5,759+$213
VOO +712+$211
WFC +3,833+$206
ARKQ +5,072+$188
IHI +526+$139
VOE +1,082+$129
IUSV +2,037+$128
EntityShares/Amount
Change
Position Value
Change
NFLX -2,900-$776
MPC -6,342-$385
PNRG -2,000-$230
CHD -2,935-$221
EntityShares/Amount
Change
Position Value
Change
IWB +14,894+$8,492
IJR +11,703+$3,486
SBUX +5,257+$439
INTC +5,209+$419
IVV +4,283+$3,143
CSCO +3,837+$146
JEC +3,690+$300
AAN +3,494-$1
IWP +3,016+$662
BAC +2,516+$139
EntityShares/Amount
Change
Position Value
Change
ARKK -8,134+$233
SPLG -7,756+$272
QCOM -4,894-$319
SPMD -3,760-$38
VFC -3,449-$206
IWF -3,333+$108
EMLP -3,094-$82
XOM -2,872-$230
CTSH -2,510-$145
Size ($ in 1000's)
At 12/31/2019: $427,654
At 09/30/2019: $390,996

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

All Stocks Held By McKinley Carter Wealth Services Inc. | www.HoldingsChannel.com

Copyright © 2013 - 2020, All Rights Reserved Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and videos powered by Market News Video. Quote data delayed at least 20 minutes; data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.