Amount | Holding |
---|---|
4.47% | Chevron Corp |
4.33% | Gilead Sciences Inc |
4.26% | Intercontinental Exchange Inc |
4.12% | Maxim Integrated Products Inc |
4.11% | AT&T Inc |
3.94% | JPMorgan Chase & Co |
3.75% | Novartis AG ADR |
3.44% | International Business Machines Corp |
3.38% | The AES Corp |
3.37% | Comcast Corp Class A |
3.35% | MetLife Inc |
3.03% | United Parcel Service Inc Class B |
2.99% | PepsiCo Inc |
2.75% | McKesson Corp |
2.74% | General Electric Co |
2.69% | Lennar Corp |
2.66% | Johnson Controls International PLC |
2.48% | Medtronic PLC |
2.25% | Target Corp |
2.22% | Royal Philips NV ADR |
2.18% | Broadcom Inc |
2.13% | Procter & Gamble Co |
2.09% | Cisco Systems Inc |
2.06% | Baker Hughes Co Class A |
1.94% | Seagate Technology PLC |