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Institutional manager (13F) · CIK 1665446
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $382M
#IssuerValueShares
1ISHARES$144M220,828
2ISHARES$81M385,302
3INVESCO QQQ TRUST SERIES 1$19M32,153
4ELI LILLY CO$10M11,231
5ISHARES$10M83,510
6APPLE INC$8M30,351
7RAYTHEON TECHNOLOGIES CORP$7M36,488
8ISHARES$7M62,917
9ANALOG DEVICES INC$6M18,659
10MICROSOFT CORP$6M14,963
11JP MORGAN CHASE$5M18,697
12JOHNSON & JOHNSON$4M17,960
13STATE STREET SPDR$4M6,602
14WASTE MANAGEMENT INC$4M16,771
15HOME DEPOT$4M11,487
16ABBVIE INC$4M17,054
17HONEYWELL INTL$4M15,744
18WALMART INC$3M28,149
19DUKE ENERGY CORP$3M23,177
20CHEVRON CORP$3M14,417
21ENBRIDGE INC$3M50,497
22PROCTER & GAMBLE$2M17,206
23NORFOLK SOUTHERN CORP$2M7,917
24EXXON MOBIL CORP$2M13,206
25PEPSICO INC$2M14,337
26AUTOMATIC DATA PROCESSING$2M10,724
27ISHARES$2M4,860
28MERCK & CO INC$2M16,895
29CENAVERA NUTRITION LLC$2M1,999,999
30IBM CORP$2M8,186
31ABBOTT LABS$2M18,972
32CONOCOPHILLIPS$2M14,653
33COCA COLA CO$2M24,206
343M COMPANY$2M11,117
35REGIONS FINANCIAL CORP$2M59,211
36VERIZON COMMUNICATIONS$2M30,570
37CVS$1M17,050
38KIMBERLY CLARK CORP$1M11,330
39BERKSHIRE HATHAWAY INC CL$1M2,268
40ISHARES$1M7,424
41ENTERPRISE PRODUCT PARTNERS LP$1M27,260
42INTERNATIONAL PAPER$1M28,315
43SOUTHERN COMPANY$950k9,845
44CARRIER GLOBAL CORPORATION$950k16,872
45NVIDIA CORP$926k5,312
46INTEL CORP$904k20,490
47AMGEN INC$799k2,270
48ESS MANAGEMENT HOLDINGS LLC$793k525
49CATERPILLAR$777k1,097
50WEYERHAEUSER CO$743k30,427
All filings on EDGAR ↗

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