Universe · entity

LIBERTY ONE INVESTMENT MANAGEMENT, LLC

Institutional manager (13F) · CIK 1807328
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $799M
#IssuerValueShares
1JOHNSON & JOHNSON$38M156,093
2CARDINAL HEALTH INC$35M166,448
3NORTHROP GRUMMAN CORP$32M46,285
4ALLIANT ENERGY CORP$31M432,119
5DUKE ENERGY CORP NEW$30M232,015
6COCA COLA CO$30M396,359
7KROGER CO$30M411,289
8AT&T INC$30M1,020,627
9SOUTHERN CO$29M304,312
10LILLY ELI & CO$29M31,643
11MCDONALDS CORP$28M90,393
12MCKESSON CORP$25M29,310
13CHUBB LIMITED$25M77,452
14PROCTER & GAMBLE CO$25M173,235
15CASEYS GEN STORES INC$24M32,706
16MICROSOFT CORP$24M63,594
17WASTE MGMT INC DEL$23M100,905
18UNITEDHEALTH GROUP INC$23M83,869
19MOTOROLA SOLUTIONS INC$21M47,787
20REPUBLIC SVCS INC$21M93,957
21RENTOKIL INITIAL PLC$20M625,994
22LAMB WESTON HLDGS INC$17M395,958
23SYSCO CORP$15M214,052
24MONDELEZ INTL INC$15M260,918
25ALPHABET INC$12M42,388
26BROADCOM INC$12M37,280
27TWO RDS SHARED TR$11M431,772
28CATERPILLAR INC DEL$8M11,356
29ENTERGY CORP NEW$8M67,942
30RAYTHEON TECHNOLOGIES CORP$7M37,021
31GILEAD SCIENCES INC$7M50,865
32CHEVRON CORP NEW$7M33,480
33GOLDMAN SACHS GROUP INC$6M7,522
34APPLE INC$6M25,052
35VERIZON COMMUNICATIONS INC$6M125,580
36WALMART INC$6M50,690
37AMAZON COM INC$6M30,160
38NEXTERA ENERGY INC$6M67,427
39PROLOGIS INC$6M47,261
40TWO RDS SHARED TR$6M230,063
41TJX COS INC NEW$6M38,144
42HERSHEY CO$6M28,730
43DEERE & CO$6M10,588
44AGREE RLTY CORP$6M78,726
45TYSON FOODS INC$6M91,845
46COLGATE PALMOLIVE CO$6M68,358
47VISA INC$6M18,948
48FIRST INDL RLTY TR INC$6M98,099
49REALTY INCOME CORP$6M91,013
50TRAVELERS COMPANIES INC$6M19,055
All filings on EDGAR ↗

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