13F Filings for GREATMARK INVESTMENT PARTNERS, INC. (CIK: 1540944)
View the most recent portfolio holdings disclosed by GREATMARK INVESTMENT PARTNERS, INC. in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
AFL - AFLAC INC COM(Class: Stock) | 503.22K | $53.07M | 6.66% | Decreased | 2.75K (0.0%, $3.19M) |
AXP - AMERICAN EXPRESS CO COM(Class: Stock) | 116.64K | $37.21M | 4.67% | Increased | 143 (0.0%, $5.86M) |
MSFT - MICROSOFT CORP COM(Class: Stock) | 73.67K | $36.64M | 4.60% | Decreased | 846 (1.0%, $8.67M) |
NFLX - NETFLIX INC COM(Class: Stock) | 25.62K | $34.31M | 4.31% | Decreased | 962 (3.0%, $9.52M) |
AN - AUTONATION INC COM(Class: Stock) | 159.82K | $31.75M | 3.99% | Increased | 5.68K (3.0%, $6.79M) |
SCHW - CHARLES SCHWAB CORPORATION COM(Class: Stock) | 343.79K | $31.37M | 3.94% | Increased | 5.21K (1.0%, $4.86M) |
AAPL - APPLE INC COM(Class: Stock) | 142.62K | $29.26M | 3.67% | Decreased | 577 (0.0%, $2.55M) |
MPC - MARATHON PETE CORP COM(Class: Stock) | 168.60K | $28.01M | 3.52% | Increased | 4.82K (2.0%, $4.15M) |
QCOM - QUALCOMM INC COM(Class: Stock) | 174.94K | $27.86M | 3.50% | Increased | 5.24K (3.0%, $1.79M) |
ASO - ACADEMY SPORTS OUTDOORS INC COM(Class: Stock) | 507.04K | $22.72M | 2.85% | Increased | 100.22K (24.0%, $4.17M) |
PYPL - PAYPAL HLDGS INC COM(Class: Stock) | 303.11K | $22.53M | 2.83% | Increased | 25.38K (9.0%, $4.41M) |
AMZN - AMAZON COM INC COM(Class: Stock) | 98.77K | $21.67M | 2.72% | Increased | 3.52K (3.0%, $3.55M) |
AMP - AMERIPRISE FINL INC COM(Class: Stock) | 38.63K | $20.62M | 2.59% | Increased | 777 (2.0%, $2.29M) |
AMGN - AMGEN INC COM(Class: Stock) | 72.25K | $20.17M | 2.53% | Increased | 1.61K (2.0%, $1.84M) |
LOW - LOWES COS INC COM(Class: Stock) | 88.85K | $19.71M | 2.47% | Increased | 3.86K (4.0%, $108.89K) |
JNJ - JOHNSON JOHNSON COM(Class: Stock) | 120.46K | $18.40M | 2.31% | Increased | 3.17K (2.0%, $1.05M) |
DVN - DEVON ENERGY CORP NEW COM(Class: Stock) | 541.49K | $17.22M | 2.16% | Increased | 64.80K (13.0%, $603.30K) |
TRV - TRAVELERS COMPANIES INC COM(Class: Stock) | 62.46K | $16.71M | 2.10% | Increased | 1.51K (2.0%, $591.72K) |
GWW - GRAINGER W W INC COM(Class: Stock) | 14.18K | $14.75M | 1.85% | Decreased | 47 (0.0%, $696.75K) |
RH - RH COM(Class: Stock) | 74.60K | $14.10M | 1.77% | Increased | 25.54K (52.0%, $2.60M) |
HD - HOME DEPOT INC COM(Class: Stock) | 36.19K | $13.27M | 1.67% | Decreased | 390 (1.0%, $137.48K) |
BKNG - BOOKING HOLDINGS INC COM(Class: Stock) | 2.23K | $12.88M | 1.62% | Decreased | 47 (2.0%, $2.41M) |
KO - COCA COLA CO COM(Class: Stock) | 181.70K | $12.86M | 1.61% | Increased | 397 (0.0%, $129.66K) |
ELV - ELEVANCE HEALTH INC COM(Class: Stock) | 28.65K | $11.14M | 1.40% | Increased | 2.57K (9.0%, $200.90K) |
UPS - UNITED PARCEL SERVICE INC CL B(Class: Stock) | 107.52K | $10.85M | 1.36% | Decreased | 5.72K (5.0%, $1.60M) |