
VANTAGE INVESTMENT ADVISORS, LLC
Latest 13F filing data - Q3 2018
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | VFC | 67K | $6.28M |
![]() | EMR | 67K | $5.11M |
![]() | DIS | 66K | $7.69M |
![]() | HON | 60K | $10.00M |
![]() | LLY | 55K | $5.89M |
![]() | MCD | 49K | $8.21M |
![]() | ACN | 48K | $8.16M |
![]() | ADP | 45K | $6.83M |
![]() | CMCSA | 45K | $1.60M |
![]() | TXN | 44K | $4.69M |
![]() | HD | 40K | $8.26M |
![]() | MMM | 38K | $8.03M |
![]() | AMGN | 35K | $7.08M |
![]() | ADBE | 33K | $8.98M |
![]() | COST | 32K | $7.41M |
![]() | AMAT | 31K | $1.20M |
![]() | XOM | 29K | $2.47M |
![]() | TMO | 27K | $6.60M |
![]() | FDX | 25K | $5.96M |
![]() | UNH | 23K | $6.00M |

V.F. Corporation
VFC
Shares Held
67K
Value
$6.28M

Emerson Electric Co.
EMR
Shares Held
67K
Value
$5.11M

The Walt Disney Company
DIS
Shares Held
66K
Value
$7.69M

Honeywell International Inc.
HON
Shares Held
60K
Value
$10.00M

Eli Lilly and Company
LLY
Shares Held
55K
Value
$5.89M

McDonald's Corporation
MCD
Shares Held
49K
Value
$8.21M

Accenture plc
ACN
Shares Held
48K
Value
$8.16M

Automatic Data Processing, Inc.
ADP
Shares Held
45K
Value
$6.83M

Comcast Corporation
CMCSA
Shares Held
45K
Value
$1.60M

Texas Instruments Incorporated
TXN
Shares Held
44K
Value
$4.69M

The Home Depot, Inc.
HD
Shares Held
40K
Value
$8.26M

3M Company
MMM
Shares Held
38K
Value
$8.03M

Amgen Inc.
AMGN
Shares Held
35K
Value
$7.08M

Adobe Inc.
ADBE
Shares Held
33K
Value
$8.98M

Costco Wholesale Corporation
COST
Shares Held
32K
Value
$7.41M

Applied Materials, Inc.
AMAT
Shares Held
31K
Value
$1.20M

Exxon Mobil Corporation
XOM
Shares Held
29K
Value
$2.47M

Thermo Fisher Scientific Inc.
TMO
Shares Held
27K
Value
$6.60M

FedEx Corporation
FDX
Shares Held
25K
Value
$5.96M

UnitedHealth Group Incorporated
UNH
Shares Held
23K
Value
$6.00M
