Virginia Wealth Management Group as of Dec. 31, 2024
Portfolio Holdings for Virginia Wealth Management Group
Virginia Wealth Management Group holds 57 positions in its portfolio as reported in the December 2024 quarterly 13F filing
| Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
|---|---|---|---|---|---|
| Berkshire Hathaway Inc Del Cl A (BRK.A) | 4.6 | $7.5M | 11.00 | 680920.00 | |
| JPMorgan Chase & Co. (JPM) | 3.8 | $6.2M | 26k | 239.71 | |
| Kinder Morgan (KMI) | 3.5 | $5.6M | 206k | 27.40 | |
| Microsoft Corporation (MSFT) | 3.4 | $5.5M | 13k | 421.50 | |
| Apple (AAPL) | 3.4 | $5.4M | 22k | 250.42 | |
| Chubb (CB) | 3.3 | $5.3M | 19k | 276.30 | |
| Blackrock (BLK) | 3.1 | $5.0M | 4.9k | 1025.16 | |
| Darden Restaurants (DRI) | 3.1 | $4.9M | 27k | 186.69 | |
| Target Corporation (TGT) | 3.0 | $4.8M | 36k | 135.18 | |
| Mid-America Apartment (MAA) | 2.9 | $4.7M | 31k | 154.57 | |
| Southern Company (SO) | 2.9 | $4.7M | 57k | 82.32 | |
| Qualcomm (QCOM) | 2.8 | $4.6M | 30k | 153.62 | |
| Wal-Mart Stores (WMT) | 2.8 | $4.5M | 50k | 90.35 | |
| Cisco Systems (CSCO) | 2.7 | $4.4M | 74k | 59.20 | |
| AFLAC Incorporated (AFL) | 2.7 | $4.4M | 42k | 103.44 | |
| Duke Energy Corp Com New (DUK) | 2.6 | $4.2M | 39k | 107.74 | |
| Procter & Gamble Company (PG) | 2.5 | $4.1M | 24k | 167.65 | |
| McDonald's Corporation (MCD) | 2.5 | $4.0M | 14k | 289.90 | |
| Ishares Tr Ibonds Dec25 Etf (IBDQ) | 2.4 | $3.9M | 155k | 25.05 | |
| Ishares Tr Ibds Dec28 Etf (IBDT) | 2.4 | $3.8M | 155k | 24.90 | |
| Emerson Electric (EMR) | 2.4 | $3.8M | 31k | 123.93 | |
| Ishares Tr Ibonds Dec2026 (IBDR) | 2.3 | $3.7M | 155k | 24.07 | |
| Ishares Tr Ibonds 27 Etf (IBDS) | 2.3 | $3.7M | 155k | 23.96 | |
| Ishares Tr Ibonds Dec 29 (IBDU) | 2.2 | $3.5M | 155k | 22.80 | |
| Pepsi (PEP) | 2.2 | $3.5M | 23k | 152.06 | |
| Phillips 66 (PSX) | 2.1 | $3.5M | 30k | 113.93 | |
| Chevron Corporation (CVX) | 2.1 | $3.4M | 24k | 144.84 | |
| Hershey Company (HSY) | 2.1 | $3.4M | 20k | 169.35 | |
| Amgen (AMGN) | 1.9 | $3.0M | 12k | 260.64 | |
| Stag Industrial (STAG) | 1.8 | $2.8M | 84k | 33.82 | |
| Realty Income (O) | 1.7 | $2.7M | 51k | 53.41 | |
| Dominion Resources (D) | 1.7 | $2.7M | 50k | 53.86 | |
| United Parcel Service CL B (UPS) | 1.6 | $2.6M | 21k | 126.10 | |
| Verizon Communications (VZ) | 1.6 | $2.6M | 64k | 39.99 | |
| Medtronic SHS (MDT) | 1.5 | $2.4M | 30k | 79.88 | |
| Markel Corporation (MKL) | 1.5 | $2.4M | 1.4k | 1726.23 | |
| Home Depot (HD) | 1.5 | $2.4M | 6.0k | 388.97 | |
| Blackstone Group Inc Com Cl A (BX) | 1.0 | $1.7M | 9.8k | 172.43 | |
| Analog Devices (ADI) | 0.8 | $1.3M | 6.3k | 212.46 | |
| Spdr S&p 500 Etf Tr Tr Unit (SPY) | 0.7 | $1.2M | 2.0k | 586.08 | |
| Lowe's Companies (LOW) | 0.6 | $967k | 3.9k | 246.81 | |
| UnitedHealth (UNH) | 0.6 | $931k | 1.8k | 505.98 | |
| Costco Wholesale Corporation (COST) | 0.5 | $839k | 916.00 | 915.92 | |
| Abbott Laboratories (ABT) | 0.5 | $737k | 6.5k | 113.11 | |
| Norfolk Southern (NSC) | 0.3 | $564k | 2.4k | 234.74 | |
| Becton, Dickinson and (BDX) | 0.3 | $442k | 2.0k | 226.87 | |
| Consolidated Edison (ED) | 0.2 | $384k | 4.3k | 89.23 | |
| Equifax (EFX) | 0.2 | $382k | 1.5k | 254.85 | |
| American Electric Power Company (AEP) | 0.2 | $373k | 4.0k | 92.23 | |
| Cintas Corporation (CTAS) | 0.2 | $365k | 2.0k | 182.70 | |
| Alphabet Cap Stk Cl A (GOOGL) | 0.2 | $341k | 1.8k | 189.30 | |
| Coca-Cola Company (KO) | 0.2 | $283k | 4.6k | 62.26 | |
| Nike CL B (NKE) | 0.2 | $257k | 3.4k | 75.67 | |
| Berkshire Hathaway Inc Del Cl B New (BRK.B) | 0.1 | $242k | 534.00 | 453.28 | |
| Alphabet Cap Stk Cl C (GOOG) | 0.1 | $216k | 1.1k | 190.44 | |
| NVIDIA Corporation (NVDA) | 0.1 | $201k | 1.5k | 134.29 | |
| Orion Office Reit Inc-w/i (ONL) | 0.0 | $37k | 10k | 3.71 |