Universe · entity

EDMP, INC.

Institutional manager (13F) · CIK 1016021
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $117M
#IssuerValueShares
1BROADCOM INC$10M30,775
2AMGEN INC$5M15,524
3ABBVIE INC$5M24,536
4ALTRIA GROUP INC$5M77,322
5OMEGA HEALTHCARE INVS INC$5M112,291
6AFLAC INC$5M42,311
7OMNICOM GROUP INC$5M61,328
8UGI CORP NEW$4M118,392
9AMERIPRISE FINL INC$3M7,254
10NATIONAL FUEL GAS CO$3M33,507
11TRUIST FINL CORP$3M65,278
12CHEVRON CORPORATION$3M14,083
13SONOCO PRODS CO$3M53,828
14AT&T INC$3M99,041
15CENCORA INC$3M9,000
16EASTMAN CHEM CO$3M36,213
17BORGWARNER INC$3M48,442
18REALTY INCOME CORP$3M42,522
19VERIZON COMMUNICATIONS INC$2M47,251
20ENTERPRISE PRODS PARTNERS L$2M58,138
21BRISTOL-MYERS SQUIBB CO$2M35,910
22CUMMINS INC$2M3,929
23EVERSOURCE ENERGY$2M29,058
24OGE ENERGY CORP$2M40,845
25ELEVANCE HEALTH INC FORMERLY$2M6,616
26EBAY INC.$2M20,246
27PEPSICO INC$2M11,620
28THE CIGNA GROUP$2M6,426
29AMAZON COM INC$2M7,971
30CISCO SYS INC$2M21,370
31ROYAL BK CDA$2M9,895
32CITIGROUP INC$2M13,426
33AMDOCS LTD$1M22,979
34ASSURANT INC$1M6,824
353M CO$1M9,817
36COGNIZANT TECHNOLOGY SOLUTIO$1M21,455
37MAGNA INTL INC$1M20,901
38FEDEX CORP$1M2,943
39NETAPP INC$1M10,219
40SUPER MICRO COMPUTER INC$996k43,721
41SMUCKER J M CO$957k9,923
42MEDICAL PROPERTIES TRUST INC$915k197,517
43GENPACT LIMITED$852k22,846
44PRUDENTIAL FINL INC$758k7,756
45STIFEL FINL CORP$719k9,727
46TARGET CORP$712k5,878
47GLOBAL PMTS INC$664k9,861
48BEST BUY INC$630k9,815
49CONAGRA BRANDS INC$625k39,787
50CROWN HLDGS INC$594k5,922
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.