First-Horizon

Filing Details

13F-HR2021-06-30
Report Date
2021-06-30
Filing Date
2021-08-09
Total Holdings
1,258
Total Value
1117205
Accession Number
0000036966-21-000037
Form Type
13F-HR
Manager Name
First-Horizon
Data Enrichment
83% identified
1,042 identified216 unidentified

Holdings

1,258 positions • $1.1M total value
Manager:
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WASTE MANAGEMENT INC
Shares:7.6K
Value:$1.1M
% of Portfolio:95.7% ($1.1M/$1.1M)
AUTOMATIC DATA PROCESSING INC
Shares:5.4K
Value:$1.1M
% of Portfolio:95.7% ($1.1M/$1.1M)
922042858
Shares:17.8K
Value:$966.0K
% of Portfolio:86.5% ($966.0K/$1.1M)
DIAGEO PLC
Shares:5.0K
Value:$954.0K
% of Portfolio:85.4% ($954.0K/$1.1M)
UNITEDHEALTH GROUP INC
Shares:2.4K
Value:$952.0K
% of Portfolio:85.2% ($952.0K/$1.1M)
464287234
Shares:16.6K
Value:$916.0K
% of Portfolio:82.0% ($916.0K/$1.1M)
ORACLE CORP
Shares:11.5K
Value:$893.0K
% of Portfolio:79.9% ($893.0K/$1.1M)
922908538
Shares:3.8K
Value:$890.0K
% of Portfolio:79.7% ($890.0K/$1.1M)
EXXON MOBIL CORP
Shares:13.8K
Value:$867.0K
% of Portfolio:77.6% ($867.0K/$1.1M)
COPART INC
Shares:6.2K
Value:$818.0K
% of Portfolio:73.2% ($818.0K/$1.1M)
922908751
Shares:3.6K
Value:$811.0K
% of Portfolio:72.6% ($811.0K/$1.1M)
REGIONS FINANCIAL CORP
Shares:40.1K
Value:$808.0K
% of Portfolio:72.3% ($808.0K/$1.1M)
464287242
Shares:5.9K
Value:$792.0K
% of Portfolio:70.9% ($792.0K/$1.1M)
TARGET CORP
Shares:3.3K
Value:$788.0K
% of Portfolio:70.5% ($788.0K/$1.1M)
Mastercard Inc
Shares:2.1K
Value:$772.0K
% of Portfolio:69.1% ($772.0K/$1.1M)
AMERICAN ELECTRIC POWER CO INC
Shares:8.8K
Value:$747.0K
% of Portfolio:66.9% ($747.0K/$1.1M)
PayPal Holdings, Inc.
Shares:2.5K
Value:$738.0K
% of Portfolio:66.1% ($738.0K/$1.1M)
FREEPORT-MCMORAN INC
Shares:19.1K
Value:$709.0K
% of Portfolio:63.5% ($709.0K/$1.1M)
BERKSHIRE HATHAWAY INC
Shares:2.5K
Value:$708.0K
% of Portfolio:63.4% ($708.0K/$1.1M)
92206C102
Shares:11.3K
Value:$694.0K
% of Portfolio:62.1% ($694.0K/$1.1M)