Guardian Investment Management as of Dec. 31, 2021
Portfolio Holdings for Guardian Investment Management
Guardian Investment Management holds 54 positions in its portfolio as reported in the December 2021 quarterly 13F filing
Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
---|---|---|---|---|---|
Apple (AAPL) | 14.3 | $21M | 116k | 177.57 | |
Blackstone Group Inc Com Cl A (BX) | 7.5 | $11M | 83k | 129.39 | |
Microsoft Corporation (MSFT) | 4.1 | $5.9M | 17k | 336.30 | |
Intel Corporation (INTC) | 4.0 | $5.7M | 111k | 51.49 | |
Comcast Corp Cl A (CMCSA) | 3.5 | $5.1M | 101k | 50.32 | |
Johnson & Johnson (JNJ) | 3.2 | $4.7M | 27k | 171.06 | |
Pfizer (PFE) | 3.1 | $4.5M | 76k | 59.05 | |
Bank of America Corporation (BAC) | 2.7 | $3.9M | 88k | 44.48 | |
Visa Com Cl A (V) | 2.6 | $3.7M | 72k | 51.95 | |
Abbvie (ABBV) | 2.5 | $3.6M | 26k | 135.37 | |
Amgen (AMGN) | 2.4 | $3.5M | 16k | 224.93 | |
Deere & Company (DE) | 2.4 | $3.5M | 10k | 347.90 | |
NVIDIA Corporation (NVDA) | 2.2 | $3.2M | 11k | 294.06 | |
Procter & Gamble Company (PG) | 2.2 | $3.2M | 20k | 163.55 | |
3M Company (MMM) | 2.2 | $3.1M | 18k | 177.59 | |
Berkshire Hathaway Inc Del Cl B New (BRK.B) | 2.1 | $3.0M | 10k | 298.90 | |
Paypal Holdings (PYPL) | 2.0 | $2.8M | 15k | 188.55 | |
Wal-Mart Stores (WMT) | 1.9 | $2.8M | 19k | 144.66 | |
At&t (T) | 1.8 | $2.6M | 107k | 24.59 | |
Illinois Tool Works (ITW) | 1.8 | $2.6M | 11k | 246.77 | |
JPMorgan Chase & Co. (JPM) | 1.8 | $2.6M | 17k | 158.29 | |
Boeing Company (BA) | 1.8 | $2.6M | 13k | 201.26 | |
Chevron Corporation (CVX) | 1.8 | $2.6M | 22k | 117.35 | |
Bristol Myers Squibb (BMY) | 1.8 | $2.5M | 41k | 62.33 | |
Biogen Idec (BIIB) | 1.7 | $2.4M | 10k | 239.84 | |
Bank of New York Mellon Corporation (BK) | 1.7 | $2.4M | 41k | 58.07 | |
Pepsi (PEP) | 1.6 | $2.3M | 13k | 173.68 | |
Exxon Mobil Corporation (XOM) | 1.5 | $2.1M | 34k | 61.19 | |
Abbott Laboratories (ABT) | 1.3 | $1.9M | 13k | 140.70 | |
Texas Instruments Incorporated (TXN) | 1.3 | $1.9M | 10k | 188.40 | |
CSX Corporation (CSX) | 1.2 | $1.7M | 46k | 37.25 | |
Cisco Systems (CSCO) | 1.2 | $1.7M | 27k | 63.35 | |
Duke Energy Corp Com New (DUK) | 1.1 | $1.6M | 15k | 104.86 | |
Emerson Electric (EMR) | 1.1 | $1.6M | 17k | 92.96 | |
Merck & Co (MRK) | 1.0 | $1.4M | 19k | 76.63 | |
International Business Machines (IBM) | 1.0 | $1.4M | 10k | 133.52 | |
Glaxosmithkline Sponsored Adr | 0.8 | $1.2M | 27k | 44.10 | |
Mp Materials Corp Com Cl A (MP) | 0.8 | $1.1M | 25k | 45.39 | |
Kkr & Co (KKR) | 0.7 | $1.0M | 14k | 74.47 | |
Southern Company (SO) | 0.7 | $1.0M | 15k | 68.54 | |
Raytheon Technologies Corp (RTX) | 0.7 | $946k | 11k | 86.00 | |
Gilead Sciences (GILD) | 0.6 | $885k | 12k | 72.54 | |
Citigroup Com New (C) | 0.6 | $859k | 14k | 60.37 | |
Mondelez Intl Cl A (MDLZ) | 0.6 | $849k | 13k | 66.33 | |
Dow (DOW) | 0.4 | $633k | 11k | 56.72 | |
Viacomcbs CL B (PARA) | 0.4 | $613k | 20k | 30.19 | |
Discovery Com Ser A | 0.4 | $593k | 25k | 23.53 | |
Quantumscape Corp Com Cl A (QS) | 0.4 | $551k | 25k | 22.17 | |
Goodyear Tire & Rubber Company (GT) | 0.3 | $424k | 20k | 21.31 | |
Trinity Industries (TRN) | 0.3 | $423k | 14k | 30.21 | |
Fireeye | 0.3 | $406k | 23k | 17.50 | |
Altria (MO) | 0.2 | $353k | 15k | 23.53 | |
Heritage Commerce (HTBK) | 0.2 | $352k | 30k | 11.95 | |
Ford Motor Company (F) | 0.2 | $289k | 14k | 20.76 |