HoldingsChannel.com
All Stocks Held By Whitener Capital Management Inc.
As of  06/30/2022, we find all stocks held by Whitener Capital Management Inc. to be as follows, presented in the table below with each row detailing each Whitener Capital Management Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Whitener Capital Management Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Whitener Capital Management Inc. as of the latest filing.

   EntityAmountChange
 03/31/2022 to 06/30/2022
Position Size
($ in 1000's)
Apple Inc 131,080 -2,414 $17,921
     AAPL131,080-2,414$17,921
Alphabet Inc Cl A 5,165 +73 $11,255
     GOOGL5,165+73$11,255
Amazon.com Inc 99,693 +94,757 $10,588
     AMZN99,693+94,757$10,588
Microsoft Corp 38,070 +328 $9,777
     MSFT38,070+328$9,777
Wal Mart Stores Inc 71,929 +209 $8,745
     WMT71,929+209$8,745
JP Morgan Chase & Co 76,442 +1,742 $8,608
     JPM76,442+1,742$8,608
Visa Inc Cl A 33,756 +1,412 $6,646
     V33,756+1,412$6,646
Honeywell International Inc 38,100 +511 $6,622
     HON38,100+511$6,622
Pepsico Inc 33,699 +588 $5,616
     PEP33,699+588$5,616
AbbVie Inc 29,133 +1,654 $4,462
     ABBV29,133+1,654$4,462
Duke Energy Corp 41,084 +425 $4,404
     DUK41,084+425$4,404
Johnson & Johnson 24,389 -185 $4,329
     JNJ24,389-185$4,329
Procter & Gamble Co 29,680 +21 $4,267
     PG29,680+21$4,267
Schwab US Broad Market ETF (SCHB) 91,003 -2,484 $4,021
     SCHB91,003-2,484$4,021
Merck & Co Inc 42,915 -15 $3,912
     MRK42,915-15$3,912
Nike Inc Cl B 37,985 -30 $3,882
     NKE37,985-30$3,882
Goldman Sachs Group Inc 12,811 +643 $3,805
     GS12,811+643$3,805
McDonald s Corp 15,026 +315 $3,709
     MCD15,026+315$3,709
Rockwell Automation Inc 16,547 +387 $3,297
     ROK16,547+387$3,297
Truist Financial Corp 68,955 +16,155 $3,270
     TFC68,955+16,155$3,270
Berkshire Hathaway Inc Cl B      $3,013
     BRK.B11,036+116$3,013
Pfizer Inc 50,305 -1,910 $2,637
     PFE50,305-1,910$2,637
Abbott Labs 24,112 +67 $2,619
     ABT24,112+67$2,619
Royal Bank of Canada 25,400 +400 $2,459
     RY25,400+400$2,459
Home Depot Inc 8,437 +15 $2,314
     HD8,437+15$2,314
NVIDIA Corp 15,063 -2,039 $2,283
     NVDA15,063-2,039$2,283
Verizon Communications Inc 42,670 +1,024 $2,165
     VZ42,670+1,024$2,165
Exxon Mobil Corp 24,450 +676 $2,093
     XOM24,450+676$2,093
Kimberly Clark Corp 15,365 -612 $2,076
     KMB15,365-612$2,076
Caterpillar Inc 11,485 UNCH $2,053
     CAT11,485UNCH$2,053
Lowe s Cos Inc 10,910 +467 $1,905
     LOW10,910+467$1,905
Albemarle Corp 9,056 +355 $1,892
     ALB9,056+355$1,892
Schwab Fundamental US Large Co Index ETF (FNDX) 36,691 +723 $1,867
     FNDX36,691+723$1,867
Norfolk Southern Corp Com 8,038 +1,660 $1,827
     NSC8,038+1,660$1,827
Edwards Lifesciences Corp 18,776 -200 $1,785
     EW18,776-200$1,785
Amgen Inc 7,182 -69 $1,747
     AMGN7,182-69$1,747
Dominion Resources Inc 21,830 +945 $1,742
     D21,830+945$1,742
S&P Global Inc 4,600 -100 $1,550
     SPGI4,600-100$1,550
Coca Cola Co 24,414 +658 $1,535
     KO24,414+658$1,535
UnitedHealth Group Inc 2,982 -46 $1,531
     UNH2,982-46$1,531
Costco Wholesale Corp 2,953 +210 $1,415
     COST2,953+210$1,415
Medtronic plc 15,665 +185 $1,405
     MDT15,665+185$1,405
iShares Gold Trust (IAU) 38,902 -196 $1,334
     IAU38,902-196$1,334
Target Corp 9,448 +4,738 $1,334
     TGT9,448+4,738$1,334
Linde plc 4,194 -95 $1,205
     LIN4,194-95$1,205
Adams Natural Resources Fund Inc (PEO) 60,038 -543 $1,168
     PEO60,038-543$1,168
Chevron Corp 7,606 +2,255 $1,101
     CVX7,606+2,255$1,101
Baxter International Inc 17,059 -500 $1,095
     BAX17,059-500$1,095
Mastercard Incorporated Cl A 3,415 UNCH $1,077
     MA3,415UNCH$1,077
Intuitive Surgical Inc 5,121 -304 $1,027
     ISRG5,121-304$1,027
International Business Machines Corp 7,215 +110 $1,018
     IBM7,215+110$1,018
Becton Dickinson & Co 4,118 +6 $1,015
     BDX4,118+6$1,015
3M Co 7,737 -2,700 $1,001
     MMM7,737-2,700$1,001
Disney Walt Co 10,355 -4,697 $977
     DIS10,355-4,697$977
Templeton Global Income Fd Com 201,338 +2,635 $887
     GIM201,338+2,635$887
John Hancock Exchange Traded F Multifactor Te (JHMT) 12,620 -650 $886
     JHMT12,620-650$886
Texas Instruments Inc 5,684 UNCH $873
     TXN5,684UNCH$873
Emerson Electric Co 10,812 +374 $859
     EMR10,812+374$859
Raytheon Technologies Corp 8,476 +232 $814
     RTX8,476+232$814
Deere & Co 2,575 +145 $771
     DE2,575+145$771
Enterprise Products Partners LP 31,597 +103 $770
     EPD31,597+103$770
Qualcomm Inc 6,020 UNCH $768
     QCOM6,020UNCH$768
Schwab US Dividend Equity ETF (SCHD) 10,588 +868 $758
     SCHD10,588+868$758
Cummins Inc 3,875 +110 $749
     CMI3,875+110$749
iShares US Consumer Services ETF (IYC) 13,020 -50 $738
     IYC13,020-50$738
iShares Core S&P 500 ETF (IVV) 1,904 -14 $722
     IVV1,904-14$722
Gilead Sciences Inc 11,447 +130 $707
     GILD11,447+130$707
Mondelez International Inc 11,377 +120 $706
     MDLZ11,377+120$706
General Dynamics Corp 3,151 +31 $697
     GD3,151+31$697
Meta Platforms Inc 4,305 -1,105 $694
     FB4,305-1,105$694
Intel Corp 17,730 -288 $663
     INTC17,730-288$663
Barrick Gold Corp 37,367 +3,426 $661
     GOLD37,367+3,426$661
AT&T Inc 31,313 -6,112 $656
     T31,313-6,112$656
Martin Marietta Materials Inc 2,145 +25 $641
     MLM2,145+25$641
Bank of America Corp 19,400 +170 $603
     BAC19,400+170$603
Ares Capital Corp 33,085 -450 $593
     ARCC33,085-450$593
Schwab US Large Cap Value ETF (SCHV) 9,492 +85 $592
     SCHV9,492+85$592
Comcast Corp Cl A 14,361 +27 $563
     CMCSA14,361+27$563
Akamai Technologies Inc 5,942 -620 $542
     AKAM5,942-620$542
Philip Morris International Inc 5,387 +260 $531
     PM5,387+260$531
CSX Corp 18,023 +103 $523
     CSX18,023+103$523
Abiomed Inc 2,090 UNCH $517
     ABMD2,090UNCH$517
Newell Brands Inc 27,182 -3,100 $517
     NWL27,182-3,100$517
General Motors Co 14,883 +950 $472
     GM14,883+950$472
Palo Alto Networks Inc Com 957 +957 $472
     PANW957+957$472
Cisco Systems Inc 10,813 +607 $461
     CSCO10,813+607$461
Boeing Co 3,365 -3,078 $460
     BA3,365-3,078$460
Bank New York Mellon Corp 10,965 +3,275 $457
     BK10,965+3,275$457
Schwab US Large Cap Growth ETF (SCHG) 7,798 +533 $452
     SCHG7,798+533$452
Capital One Financial Corp 4,164 -450 $433
     COF4,164-450$433
Tri Continential Corp 15,853 +15,853 $414
     TY15,853+15,853$414
Phillips 66 4,920 +310 $403
     PSX4,920+310$403
Entergy Corp 3,331 UNCH $375
     ETR3,331UNCH$375
Alphabet Inc Cl C 168 UNCH $367
     GOOG168UNCH$367
Applied Materials Inc 4,029 +472 $366
     AMAT4,029+472$366
PowerShares QQQ Trust Series 1 (QQQ) 1,299 -225 $364
     QQQ1,299-225$364
Weyerhaeuser Co Com 10,690 -40 $354
     WY10,690-40$354
Fifth Third Bancorp 10,300 -1,050 $346
     FITB10,300-1,050$346
Oracle Corp 4,900 UNCH $342
     ORCL4,900UNCH$342
Snowflake Inc 2,430 +1,285 $337
     SNOW2,430+1,285$337
PowerShares Preferred ETF (PGX) 26,700 UNCH $329
     PGX26,700UNCH$329
FRANKLIN RESOURCES INC COM 13,364 +4,755 $311
     BEN13,364+4,755$311
KLA Tencor Corp 975 -375 $311
     KLAC975-375$311
Federated Invs Inc Pa Cl B 9,600 -300 $305
     FHI9,600-300$305
Netflix Inc 1,725 -2,795 $301
     NFLX1,725-2,795$301
iShares Core Dividend Growth ETF (DGRO) 6,300 UNCH $300
     DGRO6,300UNCH$300
Tesla Inc 446 +49 $300
     TSLA446+49$300
Salesforce.com Inc 1,816 -1,970 $299
     CRM1,816-1,970$299
iShares Core 1 5 Year USD Bond ETF (ISTB) 6,102 -4,390 $289
     ISTB6,102-4,390$289
Invesco BulletShares 2023 Corp Bond ETF (BSCN) 13,740 -500 $287
     BSCN13,740-500$287
American Express Co Com 2,060 UNCH $285
     AXP2,060UNCH$285
Nucor Corp 2,694 -122 $281
     NUE2,694-122$281
PayPal Holdings Inc 3,936 +586 $274
     PYPL3,936+586$274
Invesco BulletShares 2024 Corp Bond ETF (BSCO) 12,940 UNCH $268
     BSCO12,940UNCH$268
Altria Group Inc 6,422 +655 $268
     MO6,422+655$268
Organon & Co 7,740 +42 $261
     OGN7,740+42$261
Main Street Capital Corp 6,724 -243 $259
     MAIN6,724-243$259
Blackrock Float Rate Ome Strat Com 22,100 +500 $251
     FRA22,100+500$251
Enbridge Inc 5,887 +100 $248
     ENB5,887+100$248
Schwab Fundamental Intl Large Co ETF (FNDF) 8,762 +943 $248
     FNDF8,762+943$248
Royce Value Trust Inc 17,584 -2,437 $245
     RVT17,584-2,437$245
S&P 500 SPDR (SPY) 648 -50 $244
     SPY648-50$244
iShares Tips Bond ETF (TIP) 2,059 +2,059 $234
     TIP2,059+2,059$234
Western Asset Investment Grade 19,100 UNCH $230
     PAI19,100UNCH$230
Tekla Healthcare Opportunities Fund (THQ) 11,115 +85 $221
     THQ11,115+85$221
Invesco BulletShares 2022 Corp Bond ETF (BSCM) 10,400 UNCH $220
     BSCM10,400UNCH$220
Vanguard Total Bond Market ETF (BND) 2,892 -1,075 $217
     BND2,892-1,075$217
Block Inc 3,462 -2,515 $212
     SQ3,462-2,515$212
Citigroup Inc 4,545 +60 $209
     C4,545+60$209
Kraft Heinz Co 5,310 +5,310 $202
     KHC5,310+5,310$202
Energy Transfer LP 18,633 +18,633 $185
     ET18,633+18,633$185
NuStar Energy LP 12,200 UNCH $170
     NS12,200UNCH$170
Templeton Emerg Mkts Income Fd Com 29,500 +450 $159
     TEI29,500+450$159
First Trust MLP & Energy Income Fund (FEI) 12,210 UNCH $93
     FEI12,210UNCH$93
Charles & Colvard Ltd 30,466 UNCH $37
     CTHR30,466UNCH$37
Xeris Pharmaceuticals Inc 12,000 +0 $18
     XERS12,000UNCH$18
Blackrock Inc $0 (exited)
     BLK0-339$0
Crown Castle International Corp $0 (exited)
     CCI0-1,125$0
Coinbase Global Inc $0 (exited)
     COIN0-2,625$0
CVS Health Corp $0 (exited)
     CVS0-2,157$0
Templeton Emerging Mkts Fd Inc Com $0 (exited)
     EMF0-11,790$0
Intercontinental Exchange Inc $0 (exited)
     ICE0-1,550$0
Leidos Holdings Inc $0 (exited)
     LDOS0-2,029$0
Roblox Corp $0 (exited)
     RBLX0-5,046$0
ProShares Ultra S&P 500 $0 (exited)
     SSO0-3,227$0
Skyworks Solutions Inc $0 (exited)
     SWKS0-4,985$0
US Foods Holding Corp $0 (exited)
     USFD0-5,930$0
Vornado Realty Trust $0 (exited)
     VNO0-5,700$0
Wynn Resorts Ltd 0 -8,030 $0 (exited)
     WYNN0-8,030$0

See Summary: Whitener Capital Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Whitener Capital Management Inc.

EntityShares/Amount
Change
Position Value
Change
PANW +957+$472
TY +15,853+$414
TIP +2,059+$234
KHC +5,310+$202
ET +18,633+$185
EntityShares/Amount
Change
Position Value
Change
SWKS -4,985-$664
WYNN -8,030-$640
COIN -2,625-$498
BLK -339-$259
VNO -5,700-$258
RBLX -5,046-$233
USFD -5,930-$223
LDOS -2,029-$219
CVS -2,157-$218
SSO -3,227-$211
EntityShares/Amount
Change
Position Value
Change
AMZN +94,757-$5,503
TFC +16,155+$277
BEN +4,755+$71
TGT +4,738+$335
GOLD +3,426-$171
BK +3,275+$76
GIM +2,635-$112
CVX +2,255+$230
JPM +1,742-$1,575
NSC +1,660+$8
EntityShares/Amount
Change
Position Value
Change
T -6,112-$228
DIS -4,697-$1,087
ISTB -4,390-$219
NWL -3,100-$131
BA -3,078-$773
NFLX -2,795-$1,392
MMM -2,700-$552
SQ -2,515-$598
SCHB -2,484-$970
Size ($ in 1000's)
At 06/30/2022: $221,848
At 03/31/2022: $266,251

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

All Stocks Held By Whitener Capital Management Inc. | www.HoldingsChannel.com

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