Richard C. Young & Co

Richard C. Young & CO as of June 30, 2021

Portfolio Holdings for Richard C. Young & CO

Richard C. Young & CO holds 73 positions in its portfolio as reported in the June 2021 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
iShares Trust Broad Usd High (USHY) 4.5 $35M 850k 41.72
World Gold TR SPRD GLD Minis 3.6 $28M 1.6M 17.61
SPDR Gold Trust Gold SHS (GLD) 3.4 $27M 163k 165.63
PNC Financial Services (PNC) 3.2 $25M 131k 191.62
Texas Instruments Incorporated (TXN) 2.7 $22M 112k 192.30
Norfolk Southern (NSC) 2.7 $21M 79k 265.41
CVS Caremark Corporation (CVS) 2.5 $20M 240k 83.44
Visa Com CL A (V) 2.5 $20M 84k 233.82
Procter & Gamble Company (PG) 2.4 $19M 138k 134.93
Johnson & Johnson (JNJ) 2.3 $19M 112k 164.74
Evercore Class A (EVR) 2.3 $18M 127k 140.77
iShares Silver Trust iShares (SLV) 2.2 $18M 721k 24.22
United Parcel Service CL B (UPS) 2.2 $17M 84k 207.97
Verizon Communications (VZ) 2.1 $17M 297k 56.03
Pfizer (PFE) 1.9 $15M 383k 39.16
Lowe's Companies (LOW) 1.9 $15M 77k 193.98
At&t (T) 1.9 $15M 514k 28.78
Merck & Co (MRK) 1.9 $15M 189k 77.77
Koninklijke Philips NV NY Reg SH New (PHG) 1.8 $15M 292k 49.70
Automatic Data Processing (ADP) 1.8 $14M 73k 198.62
Medtronic SHS (MDT) 1.8 $14M 115k 124.13
Cisco Systems (CSCO) 1.7 $13M 253k 53.00
International Business Machines (IBM) 1.7 $13M 91k 146.59
Kimberly-Clark Corporation (KMB) 1.7 $13M 99k 133.78
Illinois Tool Works (ITW) 1.7 $13M 58k 223.66
Novartis Sponsored ADR (NVS) 1.6 $13M 137k 91.24
Analog Devices (ADI) 1.6 $12M 72k 172.16
Air Products & Chemicals (APD) 1.5 $12M 42k 287.68
Fortis (FTS) 1.5 $12M 270k 44.23
Intel Corporation (INTC) 1.5 $12M 211k 56.14
Southern Company (SO) 1.5 $12M 190k 60.51
American Tower Reit (AMT) 1.4 $11M 42k 266.74
Caterpillar (CAT) 1.3 $11M 48k 217.64
Alps Etf Tr Alerian MLP 1.3 $10M 287k 36.41
Wal-Mart Stores (WMT) 1.3 $10M 72k 141.03
US Bancorp DEL Com New (USB) 1.3 $9.9M 174k 56.97
Kinder Morgan (KMI) 1.3 $9.9M 544k 18.23
Avista Corporation (AVA) 1.2 $9.7M 228k 42.67
T. Rowe Price (TROW) 1.2 $9.6M 49k 197.97
Sanofi Sponsored ADR (SNY) 1.2 $9.6M 182k 52.66
Starbucks Corporation (SBUX) 1.1 $9.0M 81k 111.80
Hershey Company (HSY) 1.1 $9.0M 52k 174.17
McDonald's Corporation (MCD) 1.1 $8.9M 39k 230.98
Chevron Corporation (CVX) 1.1 $8.6M 82k 104.74
Polaris Industries (PII) 1.1 $8.5M 62k 136.96
Home Depot (HD) 1.0 $7.6M 24k 318.88
Phillips 66 (PSX) 1.0 $7.6M 88k 85.82
Valero Energy Corporation (VLO) 1.0 $7.5M 96k 78.08
Wells Fargo & Co Perp PFD CNV A (WFC.PL) 0.9 $7.4M 4.8k 1526.16
Walgreen Boots Alliance (WBA) 0.9 $7.2M 137k 52.61
Colgate-Palmolive Company (CL) 0.9 $7.2M 88k 81.35
Unilever Spon ADR New (UL) 0.9 $6.9M 119k 58.50
Kroger (KR) 0.9 $6.8M 178k 38.31
Union Pacific Corporation (UNP) 0.8 $6.4M 28k 233.56
Equity Residential Sh Ben Int (EQR) 0.8 $6.4M 83k 76.99
Rockwell Automation (ROK) 0.8 $6.3M 22k 286.01
Honeywell International (HON) 0.8 $6.0M 27k 219.35
Emerson Electric (EMR) 0.7 $5.2M 54k 96.24
Washington Trust Ban (WASH) 0.6 $5.0M 98k 51.35
Wec Energy Group (WEC) 0.6 $4.9M 56k 88.95
JPMorgan Chase & Co Alerian ML ETN 0.6 $4.9M 250k 19.65
Smucker J M Com New (SJM) 0.5 $3.6M 28k 129.58
Vanguard Whitehall FDS High Div Yld (VYM) 0.4 $2.9M 27k 104.76
Vanguard World FDS Consum STP ETF (VDC) 0.3 $2.5M 14k 182.51
Aberdeen STD Silver ETF TR Physcl Silvr Shs (SIVR) 0.3 $2.2M 89k 25.19
Vanguard World FDS Health Car ETF (VHT) 0.2 $1.2M 5.0k 247.07
Invesco Currencyshares Swiss Swiss Franc (FXF) 0.1 $964k 9.8k 97.89
Vanguard INTL Equity Index F Allwrld Ex Us (VEU) 0.1 $930k 15k 63.36
Vanguard Group Div App Etf (VIG) 0.1 $706k 4.6k 154.82
Organon & Co Common Stock (OGN) 0.1 $546k 18k 30.26
Vanguard Scottsdale FDS Int-term Corp (VCIT) 0.1 $428k 4.5k 95.11
Becton, Dickinson and (BDX) 0.0 $330k 1.4k 243.00
Pepsi (PEP) 0.0 $263k 1.8k 148.34