LEAVELL INVESTMENT MANAGEMENT, INC. Q4 2020 Filing

Filed January 26, 2021

Portfolio Value

$1.2B

Holdings

374

Report Date

Q4 2020

Filing Type

13F-HR

All Holdings (374 positions)

StockValue
CINFCincinnati Financial CP
$914K
DDDuPont De Nemours Inc
$913K
EWEdwards Lifesciences CP
$912K
GEMGLDMN Sach ActiveBeta Emrg MKT Eqy ETF
$898K
SCIService Corp Intl
$895K
VWOBVanguard Emerging Markt Govt BND ETF
$889K
WDRWaddell & Reed Finl CL A
$889K
EVEUREaton Vance NV.
$883K
HDViShares Core High Dividend ETF
$878K
DGXQuest Diagnostic Inc
$871K
RMEResmed Inc
$871K
4I1Philip Morris Intl Inc
$855K
IWBiShares TR Russell 1000
$847K
MCHPMicrochip Tech.
$839K
ALLEAllegion Public LTD Co F
$834K
CTVACorteva Inc
$834K
VFCV F Corporation
$823K
MOAltria Group Inc
$817K
NVRNVR Inc Com
$816K
DOWDow Inc Com
$816K
MOOVaneck Vectors ETF TR Agribusiness ETF
$791K
AMEAmetek Inc New
$786K
ASMLA S M L Holding NV New F
$776K
EXPDExpeditor Intl.Of Wash.
$772K
AGGiShares Core U.S. Aggregate Bond ETF
$759K
VHTVanguard Health Care ETF
$755K
AFGAmerican Finl.GP.Ohio
$754K
EDConsolidated Edison Inc
$748K
IWFiShares Russell 1000 Growth ETF
$748K
HSICSchein Henry Inc
$737K
CVSC V S Caremark Corp
$732K
DCIDonaldson Co.
$726K
YUSDAlleghany Corp Del
$726K
ENBEnbridge Inc F
$724K
SPGIS & P Global Inc
$721K
XLKSELECT SECTOR SPDR TR SBI INT-TECH
$721K
ECLEcolab Inc
$713K
WSMWilliams Sonoma
$708K
IAGGiShares Interntinl Aggrgt BND ETF
$707K
JECUSDJacobs Engr.
$706K
ADIAnalog Devices Inc
$694K
HZNPHorizon Therapeutics P F
$692K
IRIngersoll Rand Inc
$686K
PPGP P G Industries Inc
$679K
DYHTarget Corporation
$678K
CNCCentene Corp
$665K
ROKURoku Inc CL A
$664K
CAHCardinal Health Inc
$664K
MDTMedtronic PLC F
$657K
CERNCHFCerner Corp
$631K
EFAiShares MSCI EAFE ETF
$618K
ARESAres Management Corp Class A
$612K
LNCLincoln National Corp
$602K
BACBank Of America Corp
$599K
KMBKimberly-Clark Corp
$596K
ETNEaton Corp PLC F
$593K
AQLTiShares Select Dividend
$593K
TIFEURTiffany & Co New
$589K
MDLZMondelez Intl Inc CL A
$574K
ILMNIllumina
$574K
ASHAshland Global Holdings Inc
$570K
AXPAmerican Express Company
$566K
VBRVanguard Small Value ETF
$547K
WWDWoodward Inc
$535K
YUMCYum China Holdings I
$530K
National Insts.
$527K
TSLATesla Motors Inc
$518K
MSMMSC Indl.Direct 'a'
$515K
VISVanguard Industrials ETF
$514K
VTVVanguard Value
$507K
SMGScotts Miracle-Gro
$507K
IUSBiShares Total Usd Bond Market ETF
$504K
SHViShares Short Treasury Bond ETF
$503K
ATRIUSDAtrion Corporation
$500K
TROWT Rowe Price Group Inc
$495K
SCHKSchwab 1000 Index ETF
$492K
ISRGIntuitive Surgical New
$491K
OEFiShares TR S&P 100 ETF
$488K
REGNRegeneron Pharms Inc
$483K
STLDSteel Dynamics
$445K
IWDiShares Russell 1000 Value ETF
$444K
BWZSPDR Short Term Intl Treasury Bnd ETF
$442K
SCHGSchwab US Large Cap
$442K
GQ9SPDR Gold Trust
$426K
EBNDSPDR EM Local Bond ETF
$424K
CBRLCracker Barrel Old CTRY
$422K
SPHQInvesco S&P 500 Quality ETF
$421K
SBUXStarbucks Corp
$420K
BABoeing Co
$417K
IYRiShares TR Real Estate
$411K
VGSHVanguard Short Term Government ETF
$406K
BIVVanguard Intermediate Bond ETF
$403K
FBMSUSDFirst Bancshares MS Com
$401K
BONDPimco Total Return ETF
$400K
CHRWC H Robinson Worldwd New
$396K
OKEOneok Inc New
$396K
NUENucor Corp
$394K
FXHFirst TR Exch Traded FD
$393K
IUSGiShares Core US Growth ETF
$382K
WBAWalgreens Boots Allianc
$380K
PreviousPage 3 of 4Next