
GREYLIN INVESTMENT MANAGEMENT, INC
Latest 13F filing data - Q2 2024
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CSX | 15K | $500.18K |
![]() | DVN | 14K | $676.63K |
![]() | QSR | 14K | $968.08K |
![]() | HD | 13K | $4.43M |
![]() | CHKP | 12K | $1.93M |
![]() | GNRC | 12K | $1.54M |
![]() | T | 10K | $197.79K |
![]() | JAZZ | 9K | $965.91K |
![]() | WSBC | 8K | $218.95K |
![]() | NXPI | 8K | $2.10M |
![]() | PEP | 8K | $1.27M |
![]() | TSLA | 8K | $1.51M |
![]() | EPD | 7K | $209.81K |
![]() | CMCSA | 7K | $274.75K |
![]() | LLY | 7K | $6.29M |
![]() | PSX | 7K | $946.40K |
![]() | SYF | 6K | $306.69K |
![]() | JPM | 6K | $1.14M |
![]() | SO | 5K | $380.09K |
![]() | MTB | 5K | $741.66K |

CSX Corporation
CSX
Shares Held
15K
Value
$500.18K

Devon Energy Corporation
DVN
Shares Held
14K
Value
$676.63K

Restaurant Brands International Inc.
QSR
Shares Held
14K
Value
$968.08K

The Home Depot, Inc.
HD
Shares Held
13K
Value
$4.43M

Check Point Software Technologies Ltd.
CHKP
Shares Held
12K
Value
$1.93M

Generac Holdings Inc.
GNRC
Shares Held
12K
Value
$1.54M

AT&T Inc.
T
Shares Held
10K
Value
$197.79K

Jazz Pharmaceuticals plc
JAZZ
Shares Held
9K
Value
$965.91K

WesBanco, Inc.
WSBC
Shares Held
8K
Value
$218.95K

NXP Semiconductors N.V.
NXPI
Shares Held
8K
Value
$2.10M

PepsiCo, Inc.
PEP
Shares Held
8K
Value
$1.27M

Tesla, Inc.
TSLA
Shares Held
8K
Value
$1.51M

Enterprise Products Partners L.P.
EPD
Shares Held
7K
Value
$209.81K

Comcast Corporation
CMCSA
Shares Held
7K
Value
$274.75K

Eli Lilly and Company
LLY
Shares Held
7K
Value
$6.29M

Phillips 66
PSX
Shares Held
7K
Value
$946.40K

Synchrony Financial
SYF
Shares Held
6K
Value
$306.69K

JPMorgan Chase & Co.
JPM
Shares Held
6K
Value
$1.14M

The Southern Company
SO
Shares Held
5K
Value
$380.09K

M&T Bank Corporation
MTB
Shares Held
5K
Value
$741.66K
