Richard C. Young & Co

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Portfolio Holdings for Richard C. Young & CO

Richard C. Young & CO holds 93 positions in its portfolio as reported in the March 2026 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
World Gold TR SPRD GLD Minis 4.9 $60M 642k 92.69
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SPDR Gold Trust Gold SHS (GLD) 4.3 $51M 120k 430.29
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Broadcom (AVGO) 3.4 $41M 131k 309.51
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iShares Silver Trust iShares (SLV) 3.4 $41M -2% 595k 68.14
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Alphabet Cap Stk Cl A (GOOGL) 3.2 $38M 133k 287.56
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Caterpillar (CAT) 3.0 $36M 51k 708.46
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NVIDIA Corporation (NVDA) 2.8 $34M 193k 174.40
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Amazon (AMZN) 2.6 $31M +51% 151k 208.27
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Exxon Mobil Corporation (XOM) 2.5 $30M 178k 169.66
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Wal-Mart Stores (WMT) 2.3 $27M 219k 124.28
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Dell Technologies CL C (DELL) 2.3 $27M +5% 166k 164.13
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Visa Com CL A (V) 2.1 $26M 85k 302.24
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Kinder Morgan (KMI) 2.1 $25M 749k 33.53
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Vertiv Holdings Com CL A (VRT) 2.1 $25M 100k 250.58
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At&t (T) 2.0 $24M 842k 28.99
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Kroger (KR) 2.0 $24M +27% 336k 72.36
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L3harris Technologies (LHX) 2.0 $24M 70k 345.15
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Williams Companies (WMB) 1.9 $23M 313k 72.78
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Apple (AAPL) 1.9 $23M +2% 89k 253.79
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Chevron Corporation (CVX) 1.8 $22M 107k 206.90
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Micron Technology (MU) 1.8 $22M +3050% 65k 337.84
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Southern Company (SO) 1.8 $22M 228k 96.52
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Cummins (CMI) 1.8 $21M 40k 538.02
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Sterling Construction Company (STRL) 1.7 $21M +2% 51k 407.27
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JPMorgan Chase & Co. (JPM) 1.7 $21M 71k 294.16
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Valero Energy Corporation (VLO) 1.7 $20M 82k 247.08
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Phillips 66 (PSX) 1.6 $20M +15% 108k 184.03
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Altria (MO) 1.6 $20M 299k 65.99
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PNC Financial Services (PNC) 1.6 $19M 90k 208.09
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Johnson & Johnson (JNJ) 1.5 $19M 76k 244.44
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Meta Platforms Cl A (META) 1.5 $18M 31k 572.14
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International Business Machines (IBM) 1.5 $18M 74k 242.39
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Eli Lilly & Co. (LLY) 1.5 $18M 19k 919.78
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Verizon Communications (VZ) 1.4 $17M +6% 337k 50.20
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Oracle Corporation (ORCL) 1.4 $17M +5% 114k 147.11
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Microsoft Corporation (MSFT) 1.4 $17M +8% 45k 370.17
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Amphenol Corp Cl A (APH) 1.4 $16M NEW 129k 126.35
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Emerson Electric (EMR) 1.3 $16M 123k 131.02
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Procter & Gamble Company (PG) 1.3 $15M -8% 106k 144.44
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Lowe's Companies (LOW) 1.2 $15M -15% 61k 236.28
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McDonald's Corporation (MCD) 1.2 $14M 46k 310.79
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Analog Devices (ADI) 1.2 $14M +27% 44k 318.14
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Costco Wholesale Corporation (COST) 1.1 $14M 14k 996.42
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Coca-Cola Company (KO) 1.0 $13M -5% 165k 76.05
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Texas Instruments Incorporated (TXN) 1.0 $12M -18% 64k 194.14
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General Dynamics Corporation (GD) 1.0 $12M 36k 343.22
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Northrop Grumman Corporation (NOC) 0.9 $11M 16k 682.22
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Nextera Energy (NEE) 0.8 $10M 108k 92.88
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Norfolk Southern (NSC) 0.8 $9.2M -47% 32k 287.00
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Allstate Corporation (ALL) 0.7 $8.5M 41k 207.34
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Abbvie (ABBV) 0.6 $7.5M +3% 35k 217.49
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Fortis (FTS) 0.6 $7.3M -2% 131k 55.79
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Home Depot (HD) 0.6 $6.8M -14% 21k 328.88
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Dick's Sporting Goods (DKS) 0.6 $6.7M 34k 198.29
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Duke Energy Corp Com New (DUK) 0.5 $6.2M +2% 47k 130.94
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Automatic Data Processing (ADP) 0.5 $6.1M -53% 30k 203.18
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Qualcomm (QCOM) 0.4 $5.1M -3% 40k 128.78
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Fidelity Covington Trust Msci Utils Index (FUTY) 0.4 $4.4M 74k 59.07
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Vanguard Whitehall FDS High Div Yld (VYM) 0.3 $4.2M -2% 28k 148.10
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Aberdeen STD Silver ETF TR Physcl Silvr Shs (SIVR) 0.3 $4.1M 58k 71.61
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Pfizer (PFE) 0.3 $3.6M -34% 129k 28.08
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Berkshire Hathaway Inc Del Cl A (BRK.A) 0.3 $3.6M 5.00 718140.00
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Rockwell Automation (ROK) 0.2 $2.2M 6.1k 358.87
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Vanguard Group Div App Etf (VIG) 0.2 $2.2M +42% 10k 215.05
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Vanguard Index FDS Total Stk Mkt (VTI) 0.2 $2.1M +18% 6.4k 320.82
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Wec Energy Group (WEC) 0.1 $1.7M 15k 115.77
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Colgate-Palmolive Company (CL) 0.1 $1.4M -2% 16k 85.23
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Sanofi Sponsored ADR (SNY) 0.1 $1.3M 27k 48.18
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Taiwan Semiconductor Mfg Sponsored ADS (TSM) 0.1 $1.1M +9% 3.2k 337.95
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Vanguard INTL Equity Index F Allwrld Ex Us (VEU) 0.1 $950k 13k 75.10
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Vanguard World FDS Consum STP ETF (VDC) 0.1 $782k 3.5k 224.58
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Tesla Motors (TSLA) 0.1 $754k +58% 2.0k 371.74
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Union Pacific Corporation (UNP) 0.0 $562k -88% 2.3k 242.59
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Sprott Asset Management Physical Gold AN (CEF) 0.0 $508k 11k 47.72
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3M Company (MMM) 0.0 $481k 3.3k 145.23
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Berkshire Hathaway Inc Del CL B New (BRK.B) 0.0 $458k 956.00 479.37
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Advanced Micro Devices (AMD) 0.0 $447k +10% 2.2k 203.43
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Pepsi (PEP) 0.0 $435k 2.8k 155.30
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Intel Corporation (INTC) 0.0 $416k 9.4k 44.13
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Blackrock (BLK) 0.0 $373k 387.00 962.93
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Vaneck ETF Trust Rare Earth and S (REMX) 0.0 $369k NEW 4.2k 88.00
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Fidelity Covington Trust Msci Hlth Care I (FHLC) 0.0 $360k +5% 5.1k 70.36
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Vanguard Index FDS S&p 500 Etf Shs (VOO) 0.0 $359k NEW 600.00 597.55
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Newmont Mining Corporation (NEM) 0.0 $346k 3.2k 108.24
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Alphabet Cap Stk Cl C (GOOG) 0.0 $327k 1.1k 286.84
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Blackstone Group Inc Com Cl A (BX) 0.0 $326k 2.8k 114.98
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Raytheon Technologies Corp (RTX) 0.0 $294k -14% 1.5k 192.94
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Alps Etf Tr Alerian MLP (AMLP) 0.0 $294k -97% 5.6k 52.64
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Lockheed Martin Corporation (LMT) 0.0 $250k NEW 413.00 604.89
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Sprott Asset Management Physical Silver (PSLV) 0.0 $245k 10k 24.39
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Enterprise Products Partners (EPD) 0.0 $228k NEW 6.0k 37.84
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Merck & Co (MRK) 0.0 $208k NEW 1.7k 120.26
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Vanguard World Health Car ETF (VHT) 0.0 $204k NEW 748.00 272.34
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Past Filings by Richard C. Young & CO

SEC 13F filings are viewable for Richard C. Young & CO going back to 2011

View all past filings