13F Filings for VAUGHAN DAVID INVESTMENTS LLC/IL (CIK: 1063571)
View the most recent portfolio holdings disclosed by VAUGHAN DAVID INVESTMENTS LLC/IL in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
MSFT - MICROSOFT CORP(Class: msft) | 298.10K | $148.28K | 3.31% | Decreased | 2.69K (0.0%, $35.37K) |
N/A - BROADCOM INC(Class: avgo) | 491.98K | $135.61K | 3.03% | Decreased | 30.86K (5.0%, $48.07K) |
ORCL - ORACLE CORP(Class: orcl) | 522.16K | $114.16K | 2.55% | Decreased | 3.88K (0.0%, $40.61K) |
JPM - JP MORGAN CHASE CO(Class: jpm) | 349.64K | $101.36K | 2.27% | Decreased | 2.65K (0.0%, $14.95K) |
DE - DEERE CO(Class: de) | 157.46K | $80.07K | 1.79% | Decreased | 4.97K (3.0%, $3.83K) |
AXP - AMERICAN EXPRESS CO(Class: axp) | 241.40K | $77K | 1.72% | Decreased | 1.54K (0.0%, $11.64K) |
N/A - APOLLO GLOBAL MANAGEMENT LLC(Class: apo) | 470.31K | $66.72K | 1.49% | Decreased | 6.28K (1.0%, $1.46K) |
ETN - EATON CORPORATION PLC F(Class: etn) | 183.77K | $65.61K | 1.47% | Decreased | 872 (0.0%, $15.41K) |
CSCO - CISCO SYSTEMS INC(Class: csco) | 933K | $64.73K | 1.45% | Decreased | 18.17K (1.0%, $6.04K) |
N/A - ABBVIE INC(Class: abbv) | 345.27K | $64.09K | 1.43% | Increased | 1.01K (0.0%, $8.04K) |
N/A - SP GLOBAL INC(Class: spgi) | 117.21K | $61.80K | 1.38% | Decreased | 159 (0.0%, $2.17K) |
WMB - WILLIAMS COS INC(Class: wmb) | 982.02K | $61.68K | 1.38% | Decreased | 20.77K (2.0%, $1.75K) |
GS - GOLDMAN SACHS GROUP INC(Class: gs) | 86.21K | $61.01K | 1.36% | Decreased | 969 (1.0%, $13.39K) |
ETR - ENTERGY CORP(Class: etr) | 730.70K | $60.74K | 1.36% | Decreased | 29.18K (3.0%, $4.23K) |
LRCX - LAM RESEARCH CORP(Class: lrcx) | 620.61K | $60.41K | 1.35% | Increased | 875 (0.0%, $15.36K) |
T - ATT INC(Class: t) | 2.05M | $59.41K | 1.33% | Decreased | 3.94K (0.0%, $1.24K) |
PM - PHILIP MORRIS INTL(Class: pm) | 321.23K | $58.51K | 1.31% | Decreased | 10.57K (3.0%, $5.84K) |
N/A - BLACKROCK INC(Class: blk) | 55.29K | $58.01K | 1.30% | Increased | 125 (0.0%, $5.80K) |
ABT - ABBOTT LABORATORIES(Class: abt) | 421.29K | $57.30K | 1.28% | Decreased | 3.04K (0.0%, $1.01K) |
HON - HONEYWELL INTERNATL INC(Class: hon) | 243.12K | $56.62K | 1.27% | Increased | 70 (0.0%, $5.15K) |
RF - REGIONS FINANCIAL CORP(Class: rf) | 2.34M | $54.95K | 1.23% | Decreased | 3.62K (0.0%, $4.10K) |
ALL - ALLSTATE CORP(Class: all) | 271.85K | $54.73K | 1.22% | Decreased | 1.34K (0.0%, $1.84K) |
MMC - MARSH MCLENNAN COS(Class: mmc) | 248.76K | $54.39K | 1.22% | Decreased | 3.29K (1.0%, $7.12K) |
RMD - RESMED INC(Class: rmd) | 208.23K | $53.72K | 1.20% | Increased | 32 (0.0%, $7.12K) |
SO - SOUTHERN CO(Class: so) | 580.50K | $53.31K | 1.19% | Increased | 2.03K (0.0%, $117) |