HoldingsChannel.com
All Stocks Held By River Wealth Advisors LLC
As of  12/31/2019
   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
VANGUARD BD INDEX FD INC (BND) 150,563 -397 $12,626
     BND150,563-397$12,626
APPLE INC 39,267 +1,342 $11,531
     AAPL39,267+1,342$11,531
SPDR SERIES TRUST (CWB) 133,208 +7,348 $7,393
     CWB133,208+7,348$7,393
ISHARES TR (EFA) 104,285 +5,935 $7,242
     EFA104,285+5,935$7,242
MICROSOFT CORP 45,850 +3,249 $7,231
     MSFT45,850+3,249$7,231
VISA INC 35,177 +377 $6,610
     V35,177+377$6,610
STRYKER CORP 29,897 +447 $6,277
     SYK29,897+447$6,277
TRUIST FINL CORP 110,883 +110,883 $6,245
     TFC110,883+110,883$6,245
JPMORGAN CHASE & CO 44,467 +722 $6,199
     JPM44,467+722$6,199
MASTERCARD INC 19,238 +169 $5,744
     MA19,238+169$5,744
DISNEY WALT CO 38,483 +1,683 $5,566
     DIS38,483+1,683$5,566
AMAZON COM INC 2,927 +147 $5,409
     AMZN2,927+147$5,409
ANTHEM INC 17,897 +923 $5,405
     ANTM17,897+923$5,405
ISHARES TR (IJJ) 31,085 +125 $5,307
     IJJ31,085+125$5,307
ISHARES TR (IJH) 23,149 +608 $4,764
     IJH23,149+608$4,764
AIR PRODS & CHEMS INC 19,688 +422 $4,627
     APD19,688+422$4,627
ALPHABET INC 3,246 +166 $4,348
     GOOGL3,246+166$4,348
PEPSICO INC 29,803 +587 $4,073
     PEP29,803+587$4,073
CHEVRON CORP NEW 33,230 +737 $4,005
     CVX33,230+737$4,005
PNC FINL SVCS GROUP INC 24,468 +4 $3,906
     PNC24,468+4$3,906
BANK AMER CORP 106,953 +1,925 $3,767
     BAC106,953+1,925$3,767
ACCENTURE PLC IRELAND 17,728 +2,703 $3,733
     ACN17,728+2,703$3,733
AMGEN INC 15,081 -1,809 $3,636
     AMGN15,081-1,809$3,636
ARROW ELECTRS INC 41,770 +801 $3,540
     ARW41,770+801$3,540
TE CONNECTIVITY LTD 36,503 +634 $3,498
     TEL36,503+634$3,498
ISHARES TR (IVV) 10,583 +1,091 $3,421
     IVV10,583+1,091$3,421
ALLEGION PUB LTD CO 27,462 +348 $3,420
     ALLE27,462+348$3,420
SCHWAB STRATEGIC TR 55,812 +3,338 $3,357
     SCHM55,812+3,338$3,357
HUNTSMAN CORP 136,471 -524 $3,297
     HUN136,471-524$3,297
VANGUARD INDEX FDS (VXF) 25,920 +2,461 $3,266
     VXF25,920+2,461$3,266
VANGUARD SCOTTSDALE FDS (VCSH) 38,697 -243 $3,136
     VCSH38,697-243$3,136
US BANCORP DEL 48,673 +3,236 $2,886
     USB48,673+3,236$2,886
INGERSOLL RAND PLC 21,366 -665 $2,840
     IR21,366-665$2,840
LOWES COS INC 22,855 +637 $2,737
     LOW22,855+637$2,737
FIFTH THIRD BANCORP 87,963 +3,485 $2,704
     FITB87,963+3,485$2,704
CONOCOPHILLIPS 39,979 -285 $2,600
     COP39,979-285$2,600
DANAHER CORPORATION 16,572 -266 $2,543
     DHR16,572-266$2,543
ORACLE CORP 46,922 -502 $2,486
     ORCL46,922-502$2,486
PULTE GROUP INC 62,073 -1,795 $2,408
     PHM62,073-1,795$2,408
PHILLIPS 66 21,471 +666 $2,392
     PSX21,471+666$2,392
UNILEVER PLC 41,443 +60 $2,369
     UL41,443+60$2,369
CHUBB LIMITED 15,057 -39 $2,344
     CB15,057-39$2,344
CONSTELLATION BRANDS INC 12,109 +568 $2,298
     STZ12,109+568$2,298
LINDE PLC 10,730 -76 $2,284
     LIN10,730-76$2,284
CARLISLE COS INC 13,954 +1,621 $2,258
     CSL13,954+1,621$2,258
CAPITAL ONE FINL CORP 21,901 +1,470 $2,254
     COF21,901+1,470$2,254
ZIMMER BIOMET HLDGS INC 14,872 +182 $2,226
     ZBH14,872+182$2,226
ALPHABET INC 1,660 +8 $2,220
     GOOG1,660+8$2,220
HOME DEPOT INC 10,035 +744 $2,191
     HD10,035+744$2,191
DOMINION ENERGY INC 26,332 +615 $2,181
     D26,332+615$2,181
INVESCO QQQ TR 10,112 +81 $2,150
     QQQ10,112+81$2,150
EATON CORP PLC 22,461 +1,581 $2,128
     ETN22,461+1,581$2,128
FACEBOOK INC 10,234 +74 $2,101
     FB10,234+74$2,101
AMERISOURCEBERGEN CORP 23,829 -1,064 $2,026
     ABC23,829-1,064$2,026
ROYAL BK CDA MONTREAL QUE 24,539 +254 $1,943
     RY24,539+254$1,943
AT&T INC 49,468 +3,310 $1,933
     T49,468+3,310$1,933
JOHNSON & JOHNSON 13,164 -364 $1,920
     JNJ13,164-364$1,920
ABBOTT LABS 20,817 +396 $1,808
     ABT20,817+396$1,808
THERMO FISHER SCIENTIFIC INC 5,531 +339 $1,797
     TMO5,531+339$1,797
VERIZON COMMUNICATIONS INC 29,247 +1,998 $1,796
     VZ29,247+1,998$1,796
HONEYWELL INTL INC 9,743 +291 $1,724
     HON9,743+291$1,724
CVS HEALTH CORP 22,955 +895 $1,705
     CVS22,955+895$1,705
AMERICAN ELEC PWR CO INC 17,701 +1,974 $1,673
     AEP17,701+1,974$1,673
ISHARES TR (IJR) 19,729 +3,479 $1,654
     IJR19,729+3,479$1,654
PPL CORP 41,572 -1,598 $1,492
     PPL41,572-1,598$1,492
D R HORTON INC 26,942 +4,312 $1,421
     DHI26,942+4,312$1,421
S&P GLOBAL INC 5,122 -366 $1,399
     SPGI5,122-366$1,399
BRANDYWINE RLTY TR 87,973 +4,284 $1,386
     BDN87,973+4,284$1,386
ISHARES TR (DVY) 12,972 -94 $1,371
     DVY12,972-94$1,371
UNITED TECHNOLOGIES CORP 9,123 +250 $1,366
     UTX9,123+250$1,366
PARKER HANNIFIN CORP 6,529 +24 $1,344
     PH6,529+24$1,344
TOYOTA MOTOR CORP 9,168 +26 $1,288
     TM9,168+26$1,288
PRICE T ROWE GROUP INC 9,865 -18 $1,202
     TROW9,865-18$1,202
RAYTHEON CO 5,456 +160 $1,199
     RTN5,456+160$1,199
ABBVIE INC 13,188 +53 $1,168
     ABBV13,188+53$1,168
SPDR S&P MIDCAP 400 ETF TR (MDY) 3,074 +216 $1,154
     MDY3,074+216$1,154
NORFOLK SOUTHERN CORP 5,916 -7 $1,148
     NSC5,916-7$1,148
PIMCO ETF TR (HYS) 11,333 +1,318 $1,130
     HYS11,333+1,318$1,130
AUTOMATIC DATA PROCESSING IN 6,488 -220 $1,106
     ADP6,488-220$1,106
NIKE INC 10,156 +2,089 $1,029
     NKE10,156+2,089$1,029
ILLINOIS TOOL WKS INC 5,546 +352 $996
     ITW5,546+352$996
MASCO CORP 20,688 +303 $993
     MAS20,688+303$993
PROCTER & GAMBLE CO 7,654 +713 $956
     PG7,654+713$956
BOEING CO 2,879 +2,003 $938
     BA2,879+2,003$938
BERKSHIRE HATHAWAY INC DEL      $923
     BRK.B4,073-121$923
ISHARES TR (EEM) 19,858 +548 $891
     EEM19,858+548$891
COLGATE PALMOLIVE CO 12,438 +608 $856
     CL12,438+608$856
EXXON MOBIL CORP 12,120 +413 $846
     XOM12,120+413$846
SPDR S&P 500 ETF TR (SPY) 2,610 +31 $840
     SPY2,610+31$840
PPG INDS INC 6,176 -222 $824
     PPG6,176-222$824
VANGUARD INDEX FDS (VOO) 2,766 +577 $818
     VOO2,766+577$818
NEXTERA ENERGY INC 3,332 -99 $807
     NEE3,332-99$807
VANGUARD INDEX FDS (VBK) 4,009 +1,751 $797
     VBK4,009+1,751$797
TARGET CORP 6,065 +163 $778
     TGT6,065+163$778
ISHARES INC (IEMG) 14,295 +2,936 $768
     IEMG14,295+2,936$768
CATERPILLAR INC DEL 5,067 -100 $748
     CAT5,067-100$748
M & T BK CORP 4,219 +244 $716
     MTB4,219+244$716
DEERE & CO 4,027 -119 $698
     DE4,027-119$698
PROLOGIS INC 7,222 +909 $644
     PLD7,222+909$644
PFIZER INC 15,105 +505 $592
     PFE15,105+505$592
ISHARES TR (IWM) 3,562 +75 $590
     IWM3,562+75$590
SELECT SECTOR SPDR TR (XLK) 6,390 -92 $586
     XLK6,390-92$586
MOOG INC      $583
     MOG.A6,834+18$583
NVIDIA CORP 2,442 -67 $575
     NVDA2,442-67$575
INTEL CORP 9,535 +1,129 $571
     INTC9,535+1,129$571
WELBILT INC 36,508 -6,190 $570
     WBT36,508-6,190$570
KIMBERLY CLARK CORP 4,066 +150 $559
     KMB4,066+150$559
NUCOR CORP 9,577 -1,897 $539
     NUE9,577-1,897$539
VANGUARD WORLD FDS (VGT) 2,193 +375 $537
     VGT2,193+375$537
UNITEDHEALTH GROUP INC 1,772 +249 $521
     UNH1,772+249$521
GLOBAL X FDS 23,405 -270 $512
     BOTZ23,405-270$512
COCA COLA CO 9,158 +298 $507
     KO9,158+298$507
TOLL BROTHERS INC 12,780 UNCH $505
     TOL12,780UNCH$505
SCHWAB STRATEGIC TR 18,126 +270 $496
     SCHE18,126+270$496
ISHARES TR (AGG) 4,379 -43 $492
     AGG4,379-43$492
SCHWAB STRATEGIC TR 14,553 +1,519 $489
     SCHF14,553+1,519$489
SCHWAB STRATEGIC TR 8,217 +1,078 $476
     SCHD8,217+1,078$476
MERCK & CO INC 5,069 -743 $461
     MRK5,069-743$461
SCHWAB STRATEGIC TR 8,598 +1,777 $459
     SCHZ8,598+1,777$459
3M CO 2,579 +584 $455
     MMM2,579+584$455
SELECT SECTOR SPDR TR (XLY) 3,607 +214 $452
     XLY3,607+214$452
HERSHA HOSPITALITY TR 30,793 UNCH $448
     HT30,793UNCH$448
WELLS FARGO CO NEW 8,304 +256 $447
     WFC8,304+256$447
CUMMINS INC 2,453 -8 $439
     CMI2,453-8$439
BRISTOL MYERS SQUIBB CO 6,585 +6,585 $423
     BMY6,585+6,585$423
ISHARES TR (IEFA) 6,476 +241 $422
     IEFA6,476+241$422
FEDEX CORP 2,778 -840 $420
     FDX2,778-840$420
QUEST DIAGNOSTICS INC 3,749 UNCH $400
     DGX3,749UNCH$400
SPDR SERIES TRUST (SDY) 3,634 -41 $391
     SDY3,634-41$391
DUKE ENERGY CORP NEW 4,260 -314 $389
     DUK4,260-314$389
SCHWAB STRATEGIC TR 4,907 -10 $377
     SCHB4,907-10$377
ISHARES TR (IJK) 1,571 +1,571 $374
     IJK1,571+1,571$374
INTERNATIONAL BUSINESS MACHS 2,722 -625 $365
     IBM2,722-625$365
LOCKHEED MARTIN CORP 902 +32 $351
     LMT902+32$351
VANGUARD WORLD FDS (VHT) 1,825 UNCH $350
     VHT1,825UNCH$350
TRAVELERS COMPANIES INC 2,508 UNCH $343
     TRV2,508UNCH$343
SELECT SECTOR SPDR TR (XLF) 10,658 -700 $328
     XLF10,658-700$328
VANGUARD WHITEHALL FDS INC (VYM) 3,432 -234 $322
     VYM3,432-234$322
SCHWAB STRATEGIC TR 9,541 +241 $317
     FNDC9,541+241$317
SCHWAB STRATEGIC TR 4,118 +129 $316
     SCHX4,118+129$316
BECTON DICKINSON & CO 1,143 +34 $311
     BDX1,143+34$311
VANGUARD INDEX FDS (VB) 1,779 +254 $295
     VB1,779+254$295
LABORATORY CORP AMER HLDGS 1,720 +60 $291
     LH1,720+60$291
AMERICAN AIRLS GROUP INC 10,045 -250 $288
     AAL10,045-250$288
COMCAST CORP NEW 6,307 +947 $284
     CMCSA6,307+947$284
NETFLIX INC 874 -108 $283
     NFLX874-108$283
STARBUCKS CORP 3,105 +182 $273
     SBUX3,105+182$273
HEWLETT PACKARD ENTERPRISE C 16,454 -542 $261
     HPE16,454-542$261
CISCO SYS INC 5,268 +5,268 $253
     CSCO5,268+5,268$253
SCHWAB STRATEGIC TR 3,312 +251 $250
     SCHA3,312+251$250
US ECOLOGY INC 4,150 UNCH $240
     ECOL4,150UNCH$240
VALERO ENERGY CORP NEW 2,545 +2,545 $238
     VLO2,545+2,545$238
MYLAN N V 11,445 -6,276 $230
     MYL11,445-6,276$230
CITIGROUP INC 2,782 +2,782 $222
     C2,782+2,782$222
TEXAS INSTRS INC 1,734 +38 $222
     TXN1,734+38$222
AMERICAN TOWER CORP NEW 954 +18 $219
     AMT954+18$219
V F CORP 2,194 +2,194 $219
     VFC2,194+2,194$219
MEDTRONIC PLC 1,917 +1,917 $217
     MDT1,917+1,917$217
FORD MTR CO DEL 23,264 +15 $216
     F23,264+15$216
ALLERGAN PLC 1,100 -105 $210
     AGN1,100-105$210
UNILEVER N V 3,535 UNCH $203
     UN3,535UNCH$203
SPDR INDEX SHS FDS (EDIV) 6,269 +6,269 $201
     EDIV6,269+6,269$201
INVESCO EXCHNG TRADED FD TR (KBWR) 3,707 +3,707 $200
     KBWR3,707+3,707$200
MARATHON OIL CORP 13,148 -4,125 $179
     MRO13,148-4,125$179
BB&T CORP $0 (exited)
     BBT0-62,777$0
CELGENE CORP $0 (exited)
     CELG0-3,552$0
DEVON ENERGY CORP NEW $0 (exited)
     DVN0-13,673$0
DXC TECHNOLOGY CO $0 (exited)
     DXC0-8,505$0
SUNTRUST BKS INC 0 -39,665 $0 (exited)
     STI0-39,665$0

See Summary: River Wealth Advisors LLC Top Holdings
See Details: Top 10 Stocks Held By River Wealth Advisors LLC

EntityShares/Amount
Change
Position Value
Change
TFC +110,883+$6,245
BMY +6,585+$423
IJK +1,571+$374
CSCO +5,268+$253
VLO +2,545+$238
C +2,782+$222
VFC +2,194+$219
MDT +1,917+$217
EDIV +6,269+$201
KBWR +3,707+$200
EntityShares/Amount
Change
Position Value
Change
BBT -62,777-$3,350
STI -39,665-$2,729
CELG -3,552-$353
DVN -13,673-$329
DXC -8,505-$251
EntityShares/Amount
Change
Position Value
Change
CWB +7,348+$792
EFA +5,935+$829
DHI +4,312+$228
BDN +4,284+$118
FITB +3,485+$391
IJR +3,479+$389
SCHM +3,338+$390
T +3,310+$186
MSFT +3,249+$1,308
USB +3,236+$372
EntityShares/Amount
Change
Position Value
Change
MYL -6,276-$121
WBT -6,190-$150
MRO -4,125-$33
NUE -1,897-$45
AMGN -1,809+$368
PHM -1,795+$74
PPL -1,598+$133
ABC -1,064-$23
FDX -840-$107
Size ($ in 1000's)
At 12/31/2019: $295,752
At 09/30/2019: $264,662

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

All Stocks Held By River Wealth Advisors LLC | www.HoldingsChannel.com

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