Universe · entity

VAUGHAN DAVID INVESTMENTS LLC/IL

Institutional manager (13F) · CIK 1063571
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3M
#IssuerValueShares
1BROADCOM INC$124k401,763
2LAM RESEARCH CORP$114k531,867
3MICROSOFT CORP$104k279,989
4JP MORGAN CHASE & CO$97k330,610
5DEERE & CO$86k152,131
6ENTERGY CORP$79k704,598
7JOHNSON & JOHNSON$76k310,122
8ABBVIE INC$72k332,617
9ALPHABET INC CL A$70k243,935
10CISCO SYSTEMS INC$70k901,020
11CONOCOPHILLIPS$69k522,643
12WILLIAMS COS INC$69k945,185
13AMERICAN EXPRESS CO$69k227,236
14GOLDMAN SACHS GROUP INC$68k80,089
15EXXON MOBIL CORPORATION$67k396,503
16CHEVRON CORPORATION$67k324,669
17NEXTERA ENERGY INC$65k700,804
18EATON CORPORATION PLC F$63k177,297
19AMERICAN ELECTRIC POWER$63k481,323
20AT&T INC$61k2,087,624
21NISOURCE INC$60k1,288,627
22REGIONS FINANCIAL CORP$59k2,250,397
23CHENIERE ENERGY INC$58k204,906
24WEC ENERGY GROUP INC$58k497,618
25XCEL ENERGY$57k721,070
26SOUTHERN CO$56k581,376
27ALLIANT ENERGY CORP$56k780,015
28HONEYWELL INTERNATL INC$56k246,543
29DUKE ENERGY HOLDING CORP$56k424,799
30LOCKHEED MARTIN CORP$55k91,125
31ALLSTATE CORP$55k264,698
32LINCOLN ELECTRIC HOLDINGS INC$54k218,053
33CITIGROUP INC$54k472,487
34BLACKROCK INC$52k54,476
35DTE ENERGY COMPANY$52k355,165
36PHILIP MORRIS INTL$52k314,057
37APOLLO GLOBAL MANAGEMENT LLC$52k463,846
38REINSURANCE GROUP OF AMERICA INC$51k251,050
39VERIZON COMMUNICATIONS$51k1,016,387
40ASTRAZENECA PLC$51k257,833
41S&P GLOBAL INC$51k119,218
42MERCK AND CO INC NEW$50k414,509
43COCA COLA CO$48k636,426
44PEPSICO INC$47k305,039
45RESMED INC$47k209,685
46CATERPILLAR INC$47k66,042
47EOG RESOURCES INC$46k318,308
48WASTE MANAGEMENT INC$46k199,975
49INTERCONTINENTIAL EXCHANGE INC$46k290,162
50MARSH & MCLENNAN COS$45k261,376
All filings on EDGAR ↗

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