Fund HoldingsVAUGHAN DAVID INVESTMENTS LLC/IL

Total Portfolio Value
$5.02M
Total Bought
$444.9K
Total Sold
$589.9K
Net Transaction
-$145.1K
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
LAM RESEARCH CORP(LRCX)531,867498,885-32,9821142164.30%+103
EXXON MOBIL CORPORATION OLD 7/2/260398,253+398,2530541.08%+54
HUNTINGTON BANCSHARES INC(HBAN)02,505,873+2,505,8730440.88%+44
DARDEN RESTAURANTS INC(DRI)0191,806+191,8060400.79%+40
CISCO SYSTEMS INC(CSCO)901,020890,800-10,220701052.08%+35
HONEYWELL INTL INC0124,490+124,4900280.55%+28
HONEYWELL AEROSPACE INC0124,264+124,2640270.55%+27
UNITEDHEALTH GROUP(UNH)0157,200+157,2000651.30%+65
BROADCOM INC(AVGO)0388,873+388,87301472.92%+147
CATERPILLAR INC(CAT)66,04261,062-4,98047651.29%+18
ALPHABET INC CL A0241,879+241,8790861.72%+86
CVS HEALTH CORP(CVS)0427,349+427,3490440.88%+44
CITIGROUP INC(C)0471,916+471,9160661.31%+66
GOLDMAN SACHS GROUP INC(GS)078,701+78,7010801.58%+80
EATON CORPORATION PLC F(ETN)177,297175,500-1,79763751.49%+11
SIEMENS AG-SPONS ADR0276,555+276,5550450.89%+45
ABBVIE INC(ABBV)0330,587+330,5870831.66%+83
JP MORGAN CHASE & CO(JPM)0329,846+329,84601082.15%+108
DEERE & CO(DE)152,131150,897-1,23486961.91%+10
TEXAS INSTRUMENTS INC(TXN)94,38392,403-1,98018280.55%+9
AMERICAN EXPRESS CO(AXP)0227,205+227,2050771.53%+77
ALLSTATE CORP(ALL)264,698262,186-2,51255621.24%+8
SYSCO CORP(SYY)0509,513+509,5130430.85%+43
US BANCORP(USB)0834,483+834,4830501.00%+50
AUTOMATIC DATA PROCESSING164,420178,409+13,98933400.80%+7
KIMBERLY CLARK CORP(KMB)316,720330,400+13,68031360.72%+6
GENUINE PARTS CO(GPC)0338,164+338,1640400.79%+40
PROGRESSIVE CORP(PGR)144,779153,088+8,30929330.67%+5
INTEL CORPORATION(INTC)50,05049,602-448270.14%+5
PHILIP MORRIS INTL(PM)314,057312,528-1,52952571.13%+5
PPG INDUSTRIES INC(PPG)303,903302,120-1,78332370.73%+4
UNITED PARCEL SERVICE B(UPS)357,948365,678+7,73035390.78%+4
ISHARES CORE DIVIDEND GROWTH ETF566,639576,397+9,75840440.87%+4
MERCK AND CO INC NEW(MRK)414,509418,482+3,97350541.07%+4
LINCOLN ELECTRIC HOLDINGS INC(LECO)218,053218,973+92054581.16%+4
COCA COLA CO(KO)636,426640,289+3,86348521.04%+4
ALLIANT ENERGY CORP(LNT)780,015779,402-61356591.18%+3
MOTOROLA SOLUTIONS INC(MSI)73,91185,416+11,50532350.71%+3
HOME DEPOT INC(HD)0128,678+128,6780450.90%+45
APOLLO GLOBAL MANAGEMENT LLC(APO)0462,595+462,5950551.09%+55
DTE ENERGY COMPANY(DTB)355,165359,714+4,54952551.09%+3
INVESCO S&P 500 EQUAL WEIGHT ETF131,000131,009+925280.55%+3
JOHNSON & JOHNSON(JNJ)310,122309,207-91576791.56%+3
AMERICAN ELECTRIC POWER481,323480,647-67663661.31%+3
REINSURANCE GROUP OF AMERICA INC(RGA)251,050253,056+2,00651541.07%+3
CENTERPOINT ENERGY(CNP)984,9331,018,398+33,46543450.89%+2
CIGNA GROUP(CI)152,097155,467+3,37041430.85%+2
QUALCOMM INC(QCOM)033,318+33,318060.12%+6
NISOURCE INC(NI)1,288,6271,300,015+11,38860621.23%+2
PNC FINANCIAL SERVICES GROUP(PNC)048,150+48,1500120.24%+12
SCHWAB US DVD EQUITY ETF1,179,4861,189,016+9,53036380.75%+2
WILLIAMS COS INC(WMB)945,185945,698+51369701.40%+2
APPLE INC(AAPL)35,67735,756+799100.21%+1
BANK OF NEW YORK MELLON CORP08,905+8,905010.03%+1
NVIDIA CORP(NVDA)015,961+15,961030.06%+3
WEC ENERGY GROUP INC497,618503,722+6,10458591.17%+1
MICRON TECHNOLOGY INC(MU)01,561+1,561020.04%+2
MICROSOFT CORP(MSFT)0280,804+280,80401052.09%+105
INDUSTRIAL SELECT SECTOR SPDR24,20927,014+2,805450.10%+1
PROCTER & GAMBLE CO(PG)307,030309,196+2,16644450.90%+1
THE WALT DISNEY CO(DIS)0373,276+373,2760360.72%+36
APPLIED MATERIALS INC2,4182,305-113120.03%+1
MONDELEZ INTL INC(MDLZ)603,671613,894+10,22335360.71%+1
CH ROBINSON WORLDWIDE INC(CHRW)03,765+3,765010.01%+1
FINANCIAL SELECT SECTOR SPDR0187,798+187,7980100.20%+10
ENERGY SELECT SECTOR SPDR36,95254,712+17,760230.06%+1
AIR PRODS & CHEMS INC139,223139,941+71840410.82%+1
ENTERGY CORP(ETR)704,598694,109-10,48979801.59%+1
MATERIALS SELECT SECTOR SPDR
ST STR MATER ETF
010,879+10,879010.01%+1
CAPITAL ONE FINANCIAL CORP(COF)029,671+29,671060.12%+6
XCEL ENERGY(XEL)721,070719,761-1,30957581.15%+1
INVESCO BULLETSHARES 2031 CORP BOND345,733374,288+28,555660.12%0
HEALTH CARE SELECT SECTOR SPDR034,992+34,992060.11%+6
SOUTHERN CO(SO)581,376590,329+8,95356571.12%0
RPM INTERNATIONAL INC(RPM)033,446+33,446040.07%+4
VANGUARD MORNINGSTAR TOTAL STOCK MK01,544+1,544010.01%+1
ALPHABET INC CL C05,106+5,106020.04%+2
VANECK VECTORS SEMICONDUCTOR01,503+1,503010.02%+1
INVESCO BULLETSHARES 2030 CORP BOND466,464488,744+22,280880.16%0
TECHNOLOGY SELECT SECTOR SPDR021,847+21,847040.08%+4
INVESCO QQQ TRUST SERIES 101,582+1,582010.02%+1
NORFOLK SOUTHERN CORP(NSC)012,738+12,738040.08%+4
INTL BUSINESS MACHINES CORP(IBM)08,526+8,526020.05%+2
GENERAL DYNAMICS CORP(GD)031,590+31,5900110.22%+11
DT MIDSTREAM INC(DTM)29,98729,487-500440.09%0
PALO ALTO NETWORKS INC(PANW)0826+826000.01%0
VANGUARD INFO TECH ETF02,298+2,298000.01%0
SPDR S&P 500 ETF TRUST02,633+2,633020.04%+2
ISHARES SEMICONDUCTOR ETF0400+400000.01%0
WESTERN DIGITAL CORP(WDC)902772-130000.01%0
UTILITIES SELECT SECTOR SPDR350,843359,998+9,15516160.32%0
ALTRIA GROUP INC(MO)03,000+3,000000.00%0
SCHWAB US LARGE GROWTH ETF014,732+14,732000.01%0
VERTIV HOLDINGS CO-A0630+630000.00%0
ISHARES S&P 500 GROWTH ETF01,506+1,506000.00%0
MORGAN STANLEY(MS)0989+989000.00%0
TRAVELERS COMPANIES INC(TRV)05,925+5,925020.04%+2
INVESCO BULLETSHARES 2029 CORP BOND482,517495,727+13,210990.18%0
ONTO INNOVATION INC(ONTO)0537+537000.00%0
WILLIAMS SONOMA(WSM)03,600+3,600010.02%+1
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