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Latest VAUGHAN DAVID INVESTMENTS LLC/IL Stock Portfolio

$4.02Billion

Equity Portfolio Value
Last Reported on: 13 May, 2024

About VAUGHAN DAVID INVESTMENTS LLC/IL and it’s 13F Hedge Fund Stock Holdings

VAUGHAN DAVID INVESTMENTS LLC/IL is a hedge fund based in PEORIA, IL. On 31-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $3.9 Billions. In it's latest 13F Holdings report, VAUGHAN DAVID INVESTMENTS LLC/IL reported an equity portfolio of $4 Billions as of 31 Mar, 2024.

The top stock holdings of VAUGHAN DAVID INVESTMENTS LLC/IL are MSFT, AVGO, JPM. The fund has invested 3.3% of it's portfolio in MICROSOFT CORP and 2% of portfolio in BROADCOM INC.

The fund managers got completely rid off VANGUARD FTSE DEV MKTS ETF (VEA), ADOBE INC (ADBE) and ISHARES TR RUSSELL 1000 VALUE ETF (AGG) stocks. They significantly reduced their stock positions in EVERGY INC (EVRG), BOEING CO (BA) and ISHARES S&P500 VALUE INDEX ETF (AGG). VAUGHAN DAVID INVESTMENTS LLC/IL opened new stock positions in NISOURCE INC (NI), ASTRAZENECA PLC-SPONS ADR (AZN) and AIR PRODS & CHEMS INC (APD). The fund showed a lot of confidence in some stocks as they added substantially to WALMART INC (WMT), VISA INC CLASS A SHARES (V) and BLACKSTONE INC (BX).

New Buys

Ticker$ Bought
NISOURCE INC34,419,000
ASTRAZENECA PLC-SPONS ADR25,797,000
AIR PRODS & CHEMS INC18,397,000
SPDR GOLD MINISHARES TRUST ETF1,004,000
ISHARES BARCLAYS 1-3YR TRS BD ETF807,000
SPDR PORT SHRT TRM TRSRY ETF806,000
ISHARES 3-7 YEAR TREASURY BD ETF480,000
CHIPOLTE MEXICAN GRILL CL A413,000

New stocks bought by VAUGHAN DAVID INVESTMENTS LLC/IL

Additions

Ticker% Inc.
VISA INC CLASS A SHARES68.54
BLACKSTONE INC65.35
INVESCO BULLETSHARES 2028 CORP BOND47.4
ALPHABET INC CL C43.65
CONSUMER STAPLES SELECT SECTOR SPDR34.6
WASTE MANAGEMENT INC33.86
SHELL PLC ADR33.53
AMAZON.COM INC28.55

Additions to existing portfolio by VAUGHAN DAVID INVESTMENTS LLC/IL

Reductions

Ticker% Reduced
EVERGY INC-98.86
BOEING CO-47.02
ISHARES S&P500 VALUE INDEX ETF-44.33
TEXAS INSTRUMENTS INC-42.27
MASTERCARD INC-29.48
ISHARES S&P 500 GROWTH ETF-24.16
BERKSHIRE HATHAWAY CL B-23.25
PRIMERICA INC-22.03

VAUGHAN DAVID INVESTMENTS LLC/IL reduced stake in above stock

Sold off

Ticker$ Sold
VANGUARD FTSE DEV MKTS ETF-488,000
NATIONAL FUEL GAS CO-206,000
ISHARES TR RUSSELL 1000 VALUE ETF-242,000
TESLA INC-210,000
ADOBE INC-248,000

VAUGHAN DAVID INVESTMENTS LLC/IL got rid off the above stocks

Current Stock Holdings of VAUGHAN DAVID INVESTMENTS LLC/IL

Last Reported on: 13 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC0.1637,4906,429,000ADDED7.9
AAXJISHARES 3-7 YEAR TREASURY BD ETF0.014,148480,000NEW
ABBVABBVIE INC1.61356,01764,831,000REDUCED-0.06
ABTABBOTT LABORATORIES1.20424,87248,291,000ADDED0.4
ACNACCENTURE PLC-CL A1.10127,21544,094,000ADDED0.41
ACWFISHARES CORE DIVIDEND GROWTH ETF0.73503,50429,233,000ADDED2.75
ADBEADOBE INC0.000.000.00SOLD OFF-100
ADPAUTOMATIC DATA PROCESSING0.1524,3296,076,000REDUCED-9.11
AEEAMEREN CORPORATION0.016,950514,000REDUCED-8.5
AEPAMERICAN ELECTRIC POWER1.00467,67840,267,000ADDED1.26
AFKVANECK VECTORS FALLEN ANGEL HIGH YI0.0110,369301,000UNCHANGED0.00
AFKVANECK OIL REFINERS ETF0.005,400207,000NEW
AFLAFLAC INC0.015,540476,000UNCHANGED0.00
AGGISHARES BARCLAYS 1-3YR TRS BD ETF0.029,870807,000NEW
AGGISHARES RUSSELL MIDCAP GROWTH ETF0.014,449508,000ADDED3.3
AGGISHARES CORE S&P 500 ETF0.01651342,000REDUCED-17.07
AGGISHARES RUSSELL 2000 GROWTH ETF0.011,195324,000REDUCED-2.05
AGGISHARES S&P 500 GROWTH ETF0.013,557300,000REDUCED-24.16
AGGISHARES RUSSELL MIDCAP ETF0.013,194269,000UNCHANGED0.00
AGGISHARES RUSSELL MIDCAP VALUE ETF0.011,783223,000REDUCED-2.99
AGGISHARES S&P500 VALUE INDEX ETF0.001,139213,000REDUCED-44.33
AGGISHARES CORE US AGGREGATE BOND ETF0.002,050201,000NEW
AGGISHARES TR RUSSELL 1000 VALUE ETF0.000.000.00SOLD OFF-100
AIGAMERICAN INTERNATIONAL GRP0.94482,13637,689,000ADDED0.95
ALGALAMO GROUP INC0.011,500342,000UNCHANGED0.00
ALLALLSTATE CORP1.19276,31447,805,000REDUCED-0.17
AMATAPPLIED MATERIALS INC0.012,400495,000REDUCED-1.84
AMGNAMGEN INC1.24175,16049,801,000REDUCED-0.14
AMPSISHARES 0-5 YEAR TIPS BOND0.013,200318,000UNCHANGED0.00
AMWLAMERICAN WELL CORP-CLASS A0.0010,0008,000NEW
AMZNAMAZON.COM INC0.036,7721,222,000ADDED28.55
APDAIR PRODS & CHEMS INC0.4675,93618,397,000NEW
AVGOBROADCOM INC2.0461,73081,817,000REDUCED-5.92
AXPAMERICAN EXPRESS CO1.50264,49560,223,000REDUCED-0.32
AZNASTRAZENECA PLC-SPONS ADR0.64380,76125,797,000NEW
BABOEING CO0.023,397656,000REDUCED-47.02
BACBANK OF AMERICA CORP0.0218,084686,000REDUCED-8.65
BAHBOOZ ALLEN HAMILTON HOLDING CORP1.51408,27360,604,000REDUCED-0.84
BILSPDR PORT SHRT TRM TRSRY ETF0.0227,879806,000NEW
BKBANK OF NEW YORK MELLON CORP0.0213,355770,000ADDED0.23
BLKBLACKROCK INC1.1354,36145,321,000ADDED0.49
BMYBRISTOL MYERS SQUIBB CO0.80590,52832,024,000ADDED0.21
BNDWVANGUARD SHORT-TERM CORPORATE ETF0.016,282486,000REDUCED-9.11
BPBP PLC-SPONS ADR0.0992,9873,504,000REDUCED-5.32
BROBROWN & BROWN INC0.25113,3729,925,000ADDED13.37
BSAEINVESCO BULLETSHARES 2024 CORP BOND0.23445,7679,348,000ADDED2.44
BSAEINVESCO BULLETSHARES 2025 CORP BOND0.19381,2347,789,000ADDED8.59
BSAEINVESCO BULLETSHARES 2026 CORP BOND0.17349,8706,721,000ADDED11.28
BSAEINVESCO BULLETSHARES 2027 CORP BOND0.15308,9855,960,000ADDED19.61
BSAEINVESCO BULLETSHARES 2028 CORP BOND0.12243,0564,878,000ADDED47.4
BXBLACKSTONE INC0.013,727490,000ADDED65.35
CCITIGROUP INC0.013,625229,000NEW
CATCATERPILLAR INC0.6672,10026,420,000REDUCED-15.33
CBSHCOMMERCE BANCSHARES INC0.0319,8281,055,000ADDED0.3
CEGCONSTELLATION ENERGY CORP0.93201,78437,300,000REDUCED-1.67
CICIGNA GROUP1.28141,31751,325,000REDUCED-0.22
CLCOLGATE PALMOLIVE CO0.027,932714,000REDUCED-3.64
CLXCLOROX COMPANY0.001,320202,000NEW
CMCSACOMCAST CORP CLASS A0.85786,04334,075,000ADDED2.89
CMGCHIPOLTE MEXICAN GRILL CL A0.01142413,000NEW
COPCONOCOPHILLIPS1.59502,38663,944,000ADDED0.09
COSTCOSTCO WHOLESALE CORP0.042,2541,651,000ADDED12.14
CRMSALESFORCE INC0.011,076324,000NEW
CSCOCISCO SYSTEMS INC1.18948,04247,317,000ADDED0.00
CSDINVESCO S&P 500 EQUAL WEIGHT ETF0.43101,66517,219,000ADDED3.09
CSWICSW INDUSTRIALS INC0.011,000235,000UNCHANGED0.00
CSXCSX CORP0.0334,7761,289,000REDUCED-10.55
CVSCVS HEALTH CORP0.75379,29830,253,000ADDED1.79
CVXCHEVRON CORPORATION1.23313,03049,377,000ADDED1.98
DDOMINION ENERGY INC0.60492,93624,248,000ADDED2.32
DDDUPONT DE NEMOURS INC0.013,176244,000ADDED11.17
DEDEERE & CO1.74169,82069,752,000REDUCED-0.05
DFSDISCOVER FINANCIAL SERVICES0.1238,3845,032,000REDUCED-2.62
DHID R HORTON INC0.011,404231,000NEW
DISTHE WALT DISNEY CO0.94310,27137,965,000ADDED1.28
DOXAMDOCS LTD0.86384,09534,711,000ADDED1.93
DRIDARDEN RESTAURANTS INC0.024,837809,000UNCHANGED0.00
DTEDTE ENERGY COMPANY0.92330,21237,030,000ADDED1.93
DTMDT MIDSTREAM INC0.0640,7362,489,000REDUCED-6.25
DUKDUKE ENERGY HOLDING CORP0.96399,43238,629,000ADDED1.97
EDCONSOLIDATED EDISON INC0.0521,8111,981,000REDUCED-5.21
EIXEDISON INTERNATIONAL0.015,762408,000ADDED4.95
EMNEASTMAN CHEMICAL COMPANY0.87349,81335,058,000ADDED0.28
EMREMERSON ELECTRIC CO0.013,804431,000ADDED26.38
ENBENBRIDGE INC0.79878,29031,777,000ADDED0.52
EOGEOG RESOURCES INC0.95298,29438,134,000ADDED2.51
EPDENTERPRISE PRODUCTS0.007,240211,000REDUCED-14.22
ESEVERSOURCE ENERGY0.1283,2894,978,000REDUCED-18.4
ETNEATON CORPORATION PLC F1.60205,39564,223,000REDUCED-2.4
ETRENTERGY CORP0.97369,17039,014,000ADDED1.51
EVRGEVERGY INC0.016,967372,000REDUCED-98.86
EXCEXELON CORPORATION0.85911,03534,228,000ADDED0.8
FCXFREEPORT MCMORAN INC0.015,647266,000UNCHANGED0.00
FEFIRSTENERGY CORP1.021,064,26041,102,000ADDED2.69
FHNFIRST HORIZON CORP0.0120,142310,000UNCHANGED0.00
FNDASCHWAB US DVD EQUITY ETF0.76376,34430,345,000ADDED1.9
FNDASCHWAB US AGGREGATE BOND ETF0.017,528346,000REDUCED-9.21
GDGENERAL DYNAMICS CORP0.2637,03210,461,000REDUCED-0.47
GEGENERAL ELECTRIC CO0.012,060362,000UNCHANGED0.00
GISGENERAL MILLS INC0.90518,11036,252,000ADDED1.4
GLDSPDR GOLD TRUST0.023,786779,000UNCHANGED0.00
GLDMSPDR GOLD MINISHARES TRUST ETF0.0322,7971,004,000NEW
GOOGALPHABET INC CL C0.037,8031,188,000ADDED43.65
GOOGALPHABET INC CL A0.024,995754,000REDUCED-5.54
GPCGENUINE PARTS CO1.05273,61442,391,000ADDED1.29
HDHOME DEPOT INC1.19124,77547,864,000ADDED0.47
HONHONEYWELL INTERNATL INC1.24243,38849,955,000ADDED1.16
HSYTHE HERSHEY COMPANY0.011,573306,000ADDED12.84
IBMINTL BUSINESS MACHINES CORP0.0613,0642,495,000REDUCED-3.58
ICEINTERCONTINENTIAL EXCHANGE INC0.97282,64338,844,000ADDED1.02
INTCINTEL CORPORATION0.0980,5183,556,000REDUCED-6.96
ISRGINTUITIVE SURGICAL INC0.01728291,000UNCHANGED0.00
ITTITT CORPORATION0.001,588216,000NEW
ITWILLINOIS TOOL WORKS0.022,480665,000UNCHANGED0.00
JNJJOHNSON & JOHNSON1.19302,81447,902,000ADDED0.21
JPMJP MORGAN CHASE & CO1.87375,21075,155,000ADDED0.32
KMBKIMBERLY CLARK CORP0.86266,12834,424,000ADDED4.11
KOCOCA COLA CO0.96627,21138,373,000ADDED1.49
LECOLINCOLN ELECTRIC HOLDINGS INC1.42223,05256,977,000REDUCED-0.99
LLYELI LILLY & CO0.073,8212,973,000ADDED6.67
LMTLOCKHEED MARTIN CORP0.9987,44239,775,000ADDED2.2
LNTALLIANT ENERGY CORP0.93741,89137,391,000ADDED1.24
LOWLOWES COS INC0.046,0701,546,000UNCHANGED0.00
LRCXLAM RESEARCH CORP1.5262,89661,108,000REDUCED-4.15
MAMASTERCARD INC0.00421203,000REDUCED-29.48
MASMASCO CORP0.012,830223,000NEW
MCDMCDONALDS CORPORATION0.046,3231,783,000ADDED7.52
MDLZMONDELEZ INTL INC0.93534,08337,386,000ADDED1.5
MDTMEDTRONIC PLC0.76351,92430,670,000ADDED2.77
METMETLIFE INC0.013,593266,000UNCHANGED0.00
METAMETA PLATFORMS INC CL A0.032,5811,253,000ADDED22.38
MKCMCCORMICK & CO INC0.0840,0943,080,000REDUCED-0.41
MMCMARSH & MCLENNAN COS1.30254,60752,444,000REDUCED-0.29
MMM3M COMPANY0.0310,3381,097,000REDUCED-0.85
MPCMARATHON PETROLEUM CORP0.011,355273,000UNCHANGED0.00
MRKMERCK AND CO INC NEW1.23374,15549,370,000ADDED0.49
MSFTMICROSOFT CORP3.29314,462132,301,000REDUCED-2.09
NEENEXTERA ENERGY INC1.08680,91543,517,000ADDED4.56
NFGNATIONAL FUEL GAS CO0.000.000.00SOLD OFF-100
NFLXNETFLIX INC0.00364221,000NEW
NINISOURCE INC0.861,244,35034,419,000NEW
NOCNORTHROP GRUMMAN CORP0.011,063509,000UNCHANGED0.00
NOWSERVICENOW INC0.00279213,000NEW
NSCNORFOLK SOUTHERN CORP0.1116,7774,276,000REDUCED-13.21
NVDANVIDIA CORP0.031,2861,162,000ADDED27.33
NVONOVO-NORDISK A/S SPONS ADR0.011,766227,000NEW
OGEOGE ENERGY CORP0.019,900340,000REDUCED-4.81
OMCOMNICOM GROUP1.05434,81242,072,000ADDED0.92
ORCLORACLE CORP1.78569,21071,498,000REDUCED-0.28
ORLYO'REILLY AUTOMOTIVE INC0.01410463,000ADDED5.67
PAYXPAYCHEX INC0.011,940238,000REDUCED-0.05
PECOPHILLIPS EDISON & CO INC0.0219,882713,000UNCHANGED0.00
PEPPEPSICO INC1.18270,86247,403,000ADDED0.57
PFEPFIZER INC0.0114,080391,000REDUCED-3.26
PGPROCTER & GAMBLE CO1.22301,43248,907,000ADDED0.54
PGRPROGRESSIVE CORP0.023,483720,000REDUCED-0.71
PMPHILIP MORRIS INTL0.76335,82930,769,000ADDED1.77
PNCPNC FINANCIAL SERVICES GROUP1.01252,25440,764,000ADDED0.32
PORPORTLAND GENERAL ELECTRIC CO0.0434,0021,428,000REDUCED-11.43
PPGPPG INDUSTRIES INC0.93257,14437,260,000ADDED1.39
PRIPRIMERICA INC0.01931236,000REDUCED-22.03
PSXPHILLIPS 660.024,381716,000REDUCED-5.4
QCOMQUALCOMM INC0.1944,6897,566,000REDUCED-5.63
QQQINVESCO QQQ TRUST SERIES 10.011,249555,000UNCHANGED0.00
RFREGIONS FINANCIAL CORP1.292,463,88051,840,000REDUCED-0.28
RGAREINSURANCE GROUP OF AMERICA INC1.18244,95847,247,000ADDED0.6
RLIRLI CORP0.54146,94321,817,000REDUCED-0.72
RMDRESMED INC0.94191,46937,917,000ADDED12.33
RPMRPM INTERNATIONAL INC0.1239,3984,686,000REDUCED-0.81
RTXRTX CORP0.002,156210,000NEW
SBUXSTARBUCKS CORP0.0628,5972,613,000REDUCED-9.25
SCHWCHARLES SCHWAB CORP1.01559,10040,445,000ADDED0.02
SCISERVICE CORP INTL0.95516,77238,350,000ADDED2.38
SHELSHELL PLC ADR0.029,716651,000ADDED33.53
SHWSHERWIN WILLIAMS CO0.01845293,000UNCHANGED0.00
SOSOUTHERN CO1.00561,65340,293,000ADDED0.48
SPGIS&P GLOBAL INC1.25118,02450,213,000ADDED0.56
SPYSPDR S&P 500 ETF TRUST0.064,2272,211,000ADDED20.22
SRESEMPRA0.002,992215,000UNCHANGED0.00
STZCONSTELLATION BRANDS INC0.92136,64437,134,000ADDED1.91
SWKSTANLEY BLACK & DECKER INC.0.67275,22826,953,000ADDED1.86
SYKSTRYKER CORP0.044,0951,465,000REDUCED-0.61
SYYSYSCO CORP0.93461,88437,496,000ADDED2.43
TAT&T INC0.851,947,96034,284,000ADDED4.68
TFCTRUIST FINANCIAL CORP0.0115,852618,000REDUCED-14.03
TGTTARGET CORP1.28290,36751,456,000ADDED1.8
TROWT ROWE PRICE ASSOCIATES0.015,021612,000REDUCED-8.58
TRPTC ENERGY CORP0.019,820395,000REDUCED-8.04
TRVTRAVELERS COMPANIES INC0.046,6151,522,000UNCHANGED0.00
TSLATESLA INC0.000.000.00SOLD OFF-100
TXNTEXAS INSTRUMENTS INC0.69159,46727,781,000REDUCED-42.27
UNHUNITEDHEALTH GROUP1.72139,89569,206,000ADDED0.29
UNPUNION PACIFIC CORP0.034,8391,190,000ADDED8.5
UPSUNITED PARCEL SERVICE B0.0924,6713,667,000ADDED1.55
USBUS BANCORP0.88793,05135,449,000ADDED1.07
VVISA INC CLASS A SHARES0.022,609728,000ADDED68.54
VEAVANGUARD FTSE DEV MKTS ETF0.000.000.00SOLD OFF-100
VERUVERU INC0.0010,0007,000UNCHANGED0.00
VIGVANGUARD DIVIDEND APPRECIATION ETF0.035,9871,093,000REDUCED-14.97
VOOVANGUARD S&P 500 ETF0.01686330,000NEW
VZVERIZON COMMUNICATIONS0.96915,14338,399,000ADDED1.35
WBDWARNER BROS DISCOVERY INC0.0023,900209,000REDUCED-6.14
WECWEC ENERGY GROUP INC0.93456,78337,511,000ADDED6.62
WFCWELLS FARGO & COMPANY0.014,845281,000REDUCED-5.83
WMWASTE MANAGEMENT INC0.012,222474,000ADDED33.86
WMBWILLIAMS COS INC1.011,038,16040,457,000ADDED1.35
WMTWALMART INC0.0429,2101,758,000ADDED1.87
WORWORTHINGTON ENTERPRISES INC0.015,563346,000UNCHANGED0.00
WSMWILLIAMS SONOMA0.011,800572,000UNCHANGED0.00
XELXCEL ENERGY0.86645,95834,720,000ADDED2.6
XLBUTILITIES SELECT SECTOR SPDR0.29175,75011,538,000ADDED7.51
XLBFINANCIAL SELECT SECTOR SPDR0.15144,1806,073,000ADDED1.43
XLBENERGY SELECT SECTOR SPDR0.1043,5514,112,000REDUCED-0.15
XLBCOMMUNICATION SERV SEL SEC SPDR ETF0.1046,6583,810,000REDUCED-0.24
XLBCONSUMER STAPLES SELECT SECTOR SPDR0.0629,2302,232,000ADDED34.6
XLBHEALTH CARE SELECT SECTOR SPDR0.0614,9472,208,000REDUCED-17.57
XLBINDUSTRIAL SELECT SECTOR SPDR0.025,702718,000UNCHANGED0.00
XLBTECHNOLOGY SELECT SECTOR SPDR0.023,412711,000REDUCED-11.08
XOMEXXON MOBIL CORPORATION1.07370,43943,060,000ADDED3.73
YUMYUM! BRANDS INC0.011,916266,000REDUCED-2.64
APOLLO GLOBAL MANAGEMENT LLC1.52542,23160,974,000REDUCED-1.31
BERKSHIRE HATHAWAY CL B0.066,1752,597,000REDUCED-23.25
BERKSHIRE HATHAWAY CL A 1/1000.02100634,000UNCHANGED0.00
NESTLE SA SPONSORED ADR0.012,427258,000UNCHANGED0.00
JERVOIS GLOBAL LTD0.0025,0000.00UNCHANGED0.00