Universe · entity

Welch Group, LLC

Institutional manager (13F) · CIK 1443095
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.4B
#IssuerValueShares
1APPLE INC$95M375,212
2RTX CORPORATION$89M463,345
3CHEVRON CORPORATION$89M430,312
4EXXON MOBIL CORP$89M524,383
5JOHNSON & JOHNSON$88M359,007
6JPMORGAN CHASE & CO$81M277,004
7ABBVIE INC$80M365,933
8MICROSOFT CORP$79M214,123
9NEXTERA ENERGY INC$79M852,934
10LOCKHEED MARTIN CORP$77M126,656
11SOUTHERN CO$76M782,791
12CISCO SYS INC$73M946,955
13INTERNATIONAL BUSINESS MACHS$71M294,802
14SERVISFIRST BANCSHARES INC$71M975,931
15MCDONALDS CORP$67M215,074
16HOME DEPOT INC$63M190,518
17CINCINNATI FINL CORP$62M396,491
18TRUIST FINL CORP$61M1,329,163
19EMERSON ELEC CO$61M466,282
20VERIZON COMMUNICATIONS INC$60M1,203,860
21PFIZER INC$60M2,148,091
22CONSOLIDATED EDISON INC$60M529,096
23GALLAGHER ARTHUR J & CO$55M253,012
24QUALCOMM INC$54M417,596
25PROCTER & GAMBLE CO$53M370,354
26COLGATE PALMOLIVE CO$53M626,828
27PEPSICO INC$53M339,979
28TEXAS INSTRS INC$52M267,292
29AMERICAN ELEC PWR CO INC$49M376,452
30PAYCHEX INC$45M484,448
31KIMBERLY-CLARK CORP$43M447,054
32NVIDIA CORPORATION$31M176,675
33CATERPILLAR INC$28M39,108
34COCA COLA CO$21M273,685
35PIMCO ETF TR$20M758,878
36ALPHABET INC$18M63,649
37DEERE & CO$15M27,061
38AMAZON COM INC$14M67,464
39ADVANCED MICRO DEVICES INC$14M66,951
40GOLDMAN SACHS GROUP INC$14M16,006
41VISA INC$12M40,998
42MICRON TECHNOLOGY INC$12M35,957
43TJX COS INC NEW$12M75,257
44ISHARES TR$12M18,252
45ORACLE CORP$11M74,617
46BROADCOM INC$10M33,634
47META PLATFORMS INC$10M17,407
48TARGET CORP$10M79,640
49BLACKSTONE INC$9M80,773
50MASTERCARD INCORPORATED$9M18,305
All filings on EDGAR ↗

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