Universe · entity

Richard C. Young & CO., LTD.

Institutional manager (13F) · CIK 1387304
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.1B
#IssuerValueShares
1World Gold TR$59M641,871
2SPDR Gold Trust$51M119,459
3Broadcom Inc$41M130,997
4iShares Silver Trust$41M594,851
5Alphabet Inc$38M132,473
6Caterpillar Inc Del$36M50,515
7Nvidia Corporation$34M192,866
8Amazon Com Inc$31M150,791
9Exxon Mobil Corp$30M177,934
10Wal-Mart Stores Inc$27M219,143
11Dell Technologies Inc$27M165,532
12Visa Inc$26M84,778
13Kinder Morgan Inc Del$25M748,589
14Vertiv Holdings Co$25M99,996
15AT&T Inc$24M842,252
16Kroger Co$24M336,098
17L3 Harris Technologies Inc$24M69,616
18Williams Cos Inc$23M313,140
19Apple Inc$23M88,771
20Chevron Corp New$22M106,925
21Micron Technology Inc$22M65,305
22Southern Co$22M227,936
23Cummins Inc$21M39,586
24Sterling Infrastructure Inc$21M51,125
25JPMorgan Chase & Co$21M70,776
26Valero Energy Corp$20M81,465
27Phillips 66$20M108,194
28Altria Group Inc$20M299,196
29PNC Finl Svcs Group Inc$19M90,320
30Johnson & Johnson$19M76,217
31Meta Platforms Inc$18M31,403
32International Business Machs$18M73,946
33Eli Lilly & Co$18M19,398
34Verizon Communications Inc$17M336,575
35Oracle Corp$17M113,734
36Microsoft Corp$17M44,841
37Amphenol Corp$16M129,384
38Emerson Elec Co$16M122,924
39Procter & Gamble Co$15M106,423
40Lowes Cos Inc$14M61,323
41McDonalds Corp$14M45,693
42Analog Devices Inc$14M44,248
43Costco WHSL Corp New$14M13,867
44Coca Cola Co$13M164,674
45Texas Instrs Inc$12M63,934
46General Dynamics Corp$12M35,917
47Northrop Grumman Corp$11M15,686
48Nextera Energy Inc$10M108,430
49Norfolk Southern Corp$9M32,023
50Allstate Corp$8M40,885
All filings on EDGAR ↗

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