Universe · entity

UNITED BANK

Institutional manager (13F) · CIK 1286478
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $724M
#IssuerValueShares
1HUBBELL INC$140M285,888
2ISHARES$45M362,688
3ISHARES$34M343,098
4APPLE INC$30M117,504
5UNITED BANKSHARES INC$29M710,708
6JPMORGAN CHASE & CO$29M98,187
7MICROSOFT$25M68,685
8CORNING INC$23M167,122
9CHEVRON CORPORATION$19M90,269
10CISCO SYSTEMS INC$15M187,378
11IRON MOUNTAIN INC$14M141,636
12JOHNSON & JOHNSON$14M57,721
13AMGEN INC$13M36,272
14CUMMINS INC$12M23,145
15DOVER CORP$12M58,112
16WASTE MANAGEMENT INC$12M52,260
17MCDONALDS CORP$12M38,531
18EOG RESOURCES INC$12M81,662
19PROCTER & GAMBLE CO$11M77,893
20GENERAL DYNAMICS CORP$11M32,309
21ABBOTT LABORATORIES$11M105,841
22TEXAS INSTRUMENTS INC$10M52,300
23AIR PRODS & CHEMS INC$10M34,203
24PEPSICO INC$10M62,136
25BLACKROCK INC$9M9,726
26EXXON MOBIL CORP$9M54,082
27CME GROUP INC$9M30,165
28HONEYWELL INTERNATIONAL$9M38,345
29GILEAD SCIENCES INC$9M62,119
30ISHARES$9M76,206
31HERSHEY CO$9M41,011
32LOCKHEED MARTIN$8M13,877
33VANGUARD$8M28,784
34ISHARES$8M72,290
35AFLAC INC$8M72,691
36AMERICAN WATER WORKS INC$8M56,633
37ILLINOIS TOOL WORKS INC$8M29,362
38VANGUARD$7M80,710
39VISA INC$7M21,655
40ISHARES$6M118,495
41ATMOS ENERGY CORP$5M27,421
42STRYKER CORP$5M15,146
43VANGUARD$5M15,000
44KLA CORPORATION$5M3,259
45VANGUARD$5M17,459
46COCA-COLA CO/THE$4M50,052
47NVIDIA CORP$3M19,577
48ISHARES$3M31,076
49TESLA INC$3M7,898
50VANGUARD$3M13,701
All filings on EDGAR ↗

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