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  Name: WHITENER CAPITAL MANAGEMENT INC.
  City: ROCKY MOUNT
  State: NC
  Zip: 27804
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $305,483,000
  Total Value Change : $29,220,000
  Securities Held Change : 1
   
All Securities Held : 151
  New Positions : 9
  Closed Positions : 8
  Increased Positions : 86
  Unchanged Positions : 12
  Decreased Positions : 44

                  Consumer Discretionary Consumer Staples Financials Health Care Industrials Information Technology Basic Materials Conglomerates Energy Utilities
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Holdings Found : 86     View All Holdings Currently Viewing:  Increased Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (MSFT)1 Year Chart         MSFT Microsoft Corp 2 - $416.56 $17,077,000 40,589 5.59% 1,945,000 349 0.001    Application Software
   (AMZN)1 Year Chart         AMZN Amazon.com Inc 5 - $187.07 $13,994,000 77,580 4.58% 2,290,000 548 0.001    Internet Software & S...
   (WMT)1 Year Chart         WMT Wal-Mart Stores Inc 6 - $60.24 $11,893,000 196,599 3.89% 1,525,000 130,831 0.007    Discount, Variety Stores
   (NVDA)1 Year Chart         NVDA NVIDIA Corporation 7 - $913.56 $11,487,000 12,713 3.76% 5,740,000 1,109 0.001    Semiconductor - Speci...
   (V)1 Year Chart         V Visa Inc 8 - $277.74 $8,453,000 30,289 2.77% 585,000 66 0.002    Business Services
   (HON)1 Year Chart         HON Honeywell International Inc 9 - $203.21 $8,147,000 39,695 2.67% 26,000 970 0.006    Conglomerates
   (PEP)1 Year Chart         PEP Pepsico Inc 10 - $179.87 $6,744,000 38,533 2.21% 539,000 2,001 0.003    Beverage Soft Drinks...
   (ABBV)1 Year Chart         ABBV Abbvie Inc. 11 - $161.59 $6,438,000 35,354 2.11% 996,000 239 0.002    Drug Manufacturers - ...
   (MCD)1 Year Chart         MCD McDonalds Corp 12 - $270.66 $6,299,000 22,341 2.06% -95,000 778 0.003    Restaurants
   (BBT)1 Year Chart         BBT Truist Financial Corp 13 - $35.64 $5,843,000 149,910 1.91% 356,000 1,287 0.011    Domestic Regional Banks
   (PG)1 Year Chart         PG Procter & Gamble Co 14 - $165.76 $5,552,000 34,221 1.82% 627,000 609 0.001    Cleaning Products
   (BRK.B)1 Year Chart         BRK.B Berkshire Hathaway B 18 - $410.24 $4,597,000 10,932 1.5% 782,000 236 0.001    Property & Casualty I...
   (CAT)1 Year Chart         CAT Caterpillar Inc 20 - $358.18 $4,344,000 11,854 1.42% 858,000 64 0.002    Farm & Construction M...
   (DUK)1 Year Chart         DUK Duke Energy Corp 21 - $102.31 $4,135,000 42,759 1.35% 98,000 1,157 0.006    Electric Utilities
   (XOM)1 Year Chart         XOM Exxon Mobil Corp 22 - $117.67 $3,956,000 34,032 1.29% 566,000 122 0.001    Integrated Oil & Gas
   (HD)1 Year Chart         HD Home Depot Inc 23 - $340.50 $3,711,000 9,674 1.21% 462,000 299 0.001    Home Improvement Stores
   (LOW)1 Year Chart         LOW Lowes Companies Inc 26 - $231.58 $2,938,000 11,532 0.96% 486,000 514 0.002    Home Improvement Stores
   (DE)1 Year Chart         DE Deere & Co 28 - $412.78 $2,633,000 6,410 0.86% 257,000 469 0.002    Farm & Construction M...
   (RY)1 Year Chart         RY Royal Bank of Canada (USA) 29 - $104.30 $2,335,000 23,149 0.76% -6,000 2 0.002    Foreign Money Center ...
   (UNH)1 Year Chart         UNH Unitedhealth Group Inc 30 - $513.88 $2,282,000 4,612 0.75% 301,000 850 0    Health Care Plans
   (CVX)1 Year Chart         CVX Chevron Corp 31 - $163.61 $2,277,000 14,435 0.75% 254,000 871 0.001    Integrated Oil & Gas
   (FNDX)1 Year Chart         FNDX Schwab Fundamental US Large... 32 - $66.84 $2,243,000 33,289 0.73% 184,000 41 0.003    N/A
   (ISRG)1 Year Chart         ISRG Intuitive Surgical Inc 33 - $372.63 $2,155,000 5,399 0.71% 394,000 180 0.002    Medical Appliances & ...
   (COST)1 Year Chart         COST Costco Wholesale Corp 34 - $777.90 $2,081,000 2,840 0.68% 220,000 20 0.001    Discount, Variety Stores
   (SCHD)1 Year Chart         SCHD Schwab US Dividend Equity ETF 35 - $79.69 $1,993,000 24,712 0.65% 247,000 1,782 0.008    N/A
   (AMGN)1 Year Chart         AMGN Amgen Inc 36 - $311.41 $1,973,000 6,941 0.65% -15,000 38 0.001    Biotechnology
   (EMR)1 Year Chart         EMR Emerson Electric Co 37 - $114.35 $1,941,000 17,111 0.64% 321,000 462 0.003    Industrial Electrical...
   (FB)1 Year Chart         FB Meta Platforms Inc 40 - $471.85 $1,734,000 3,571 0.57% 481,000 31 0    Internet Service Prov...
   (KO)1 Year Chart         KO Coca-Cola Co 42 - $63.10 $1,698,000 27,755 0.56% 83,000 346 0.001    Beverage Soft Drinks...
   (IAU)1 Year Chart         IAU iShares COMEX Gold Trust 43 - $44.57 $1,676,000 39,895 0.55% 154,000 895 0.002    Closed - End Fund - E...
   (PEO)1 Year Chart         PEO Adams Natural Resources Fun... 44 - $23.38 $1,643,000 71,255 0.54% 210,000 1,782 0.26    Closed - End Fund - E...
   (RTX)1 Year Chart         RTX RTX Corp 47 - $101.02 $1,474,000 15,115 0.48% 287,000 1,009 0.001    Conglomerates
   (KMB)1 Year Chart         KMB Kimberly Clark Corp 48 - $135.10 $1,446,000 11,179 0.47% 94,000 50 0.003    Paper & Paper Products
   (PANW)1 Year Chart         PANW Palo Alto Networks Inc 49 - $301.54 $1,444,000 5,081 0.47% -32,000 76 0.002    Networking & Communic...
   (IBM)1 Year Chart         IBM International Business Mach... 50 - $167.36 $1,436,000 7,520 0.47% 221,000 90 0.001    Diversified Computer ...
   (MMM)1 Year Chart         MMM 3M Co 51 - $100.08 $1,320,000 12,442 0.43% 144,000 1,685 0.002    Conglomerates
   (CMI)1 Year Chart         CMI Cummins Inc 53 - $295.18 $1,275,000 4,326 0.42% 277,000 162 0.003    Diversified Machinery
   (MLM)1 Year Chart         MLM Martin Marietta Materials Inc 56 - $606.13 $1,206,000 1,965 0.39% 231,000 10 0.002    General Building Mate...
   (MO)1 Year Chart         MO Altria Group Inc 57 - $45.50 $1,174,000 26,920 0.38% 363,000 6,809 0.001    Cigarettes & Other To...
   (ABX)1 Year Chart         ABX Barrick Gold Corp (USA) 58 - $17.15 $1,154,000 69,380 0.38% -98,000 146 0.004    Gold
   (TY)1 Year Chart         TY Tri-Continental Corp 60 - $30.33 $1,096,000 35,590 0.36% 74,000 135 0.051    Closed - End Fund - Debt
   (LLY)1 Year Chart         LLY Eli Lilly & Co 61 - $763.98 $1,095,000 1,408 0.36% 398,000 212 0    Drug Manufacturers - ...
   (NFLX)1 Year Chart         NFLX Netflix Inc 63 - $613.66 $1,025,000 1,688 0.34% 285,000 169 0    Music & Video Stores
   (IYC)1 Year Chart         IYC iShares Dow Jones US Consum... 65 - $79.84 $1,001,000 12,216 0.33% 81,000 75 0.028    Closed - End Fund - E...
   (PFE)1 Year Chart         PFE Pfizer Inc 66 - $28.38 $991,000 35,700 0.32% -3,000 1,181 0.001    Drug Manufacturers - ...
   (SCHV)1 Year Chart         SCHV Schwab Strategic Trust 67 - $75.07 $975,000 12,827 0.32% 111,000 496 0.01    Closed - End Fund - Debt
   (KR)1 Year Chart         KR Kroger Co 70 - $55.28 $913,000 15,978 0.3% 305,000 2,670 0.002    Grocery Stores
   (BK)1 Year Chart         BK Bank of New York Mellon Corp 73 - $58.35 $830,000 14,400 0.27% 99,000 350 0.002    Domestic Money Center...
   (CSX)1 Year Chart         CSX CSX Corp 76 - $33.93 $771,000 20,800 0.25% 88,000 1,100 0.001    Railroads
   (QCOM)1 Year Chart         QCOM QUALCOMM Inc 78 - $188.97 $724,000 4,277 0.24% 111,000 36 0    Communication Equipment
   (TXN)1 Year Chart         TXN Texas Instruments Inc 81 - $191.13 $703,000 4,034 0.23% 41,000 150 0    Semiconductor- Broad...
   (CSCO)1 Year Chart         CSCO Cisco Systems Inc 83 - $48.95 $670,000 13,430 0.22% -7,000 31 0    Networking & Communic...
   (THQ)1 Year Chart         THQ Tekla Healthcare Opportunit... 84 - $20.38 $666,000 33,150 0.22% 72,000 350 0.077    N/A
   (PM)1 Year Chart         PM Philip Morris International... 85 - $99.84 $666,000 7,267 0.22% 55,000 775 0    Cigarettes & Other To...
   (SCHW)1 Year Chart         SCHW Charles Schwab Corp 86 - $77.07 $629,000 8,697 0.21% 220,000 2,756 0    Investment Brokerage ...
   (ORCL)1 Year Chart         ORCL Oracle Corp 90 - $120.87 $608,000 4,838 0.2% 104,000 55 0    Application Software
   (SCHG)1 Year Chart         SCHG Schwab Strategic Trust 92 - $93.54 $589,000 6,351 0.19% 71,000 113 0.001    Closed - End Fund - Debt
   (NDAQ)1 Year Chart         NDAQ Nasdaq OMX Group Inc 93 - $60.41 $579,000 9,177 0.19% 111,000 1,130 0.002    Business Services
   (RVT)1 Year Chart         RVT Royce Value Trust Inc 94 - $14.98 $575,000 37,932 0.19% 99,000 5,273 0.059    Closed - End Fund - E...
   (LMT)1 Year Chart         LMT Lockheed Martin Corp 95 - $467.18 $554,000 1,217 0.18% 86,000 184 0    Aerospace/Defense - M...
   (UNP)1 Year Chart         UNP Union Pacific Corp 96 - $244.94 $552,000 2,244 0.18% 70,000 281 0    Railroads
   (INTC)1 Year Chart         INTC Intel Corp 97 - $31.05 $536,000 12,131 0.18% -26,000 955 0    Semiconductor- Broad...
   (GOOG)1 Year Chart         GOOG Alphabet Inc 100 - $171.93 $457,000 3,000 0.15% 43,000 60 0    Search Engines & Info...
   (SNOW)1 Year Chart         SNOW Snowflake Inc. 101 - $160.95 $453,000 2,803 0.15% -96,000 43 0.001    N/A
   (XLK)1 Year Chart         XLK SPDR Technology Sector 102 - $208.34 $452,000 2,171 0.15% 55,000 108 0.001    Closed - End Fund - E...
   (NUE)1 Year Chart         NUE Nucor Corp 104 - $172.62 $445,000 2,249 0.15% 61,000 45 0.001    Steel & Iron
   (DGRO)1 Year Chart         DGRO iShares Core Dividend Growth 105 - $57.92 $438,000 7,550 0.14% 34,000 50 0.002    N/A
   (XLY)1 Year Chart         XLY SPDR cnsmr discr sel sect 107 - $178.68 $407,000 2,211 0.13% 29,000 98 0    Closed - End Fund - E...
   (PSA)1 Year Chart         PSA Public Storage Inc 110 - $279.83 $372,000 1,284 0.12% 4,000 78 0.001    REIT - Industrial
   (FCX)1 Year Chart         FCX Freeport McMoRan Copper & G... 111 - $53.48 $364,000 7,731 0.12% 46,000 250 0.001    Copper
   (IYF)1 Year Chart         IYF iShares Dow Jones US Financ... 112 - $95.35 $361,000 3,773 0.12% 77,000 449 0.006    Closed - End Fund - E...
   (XLV)1 Year Chart         XLV SPDR Select Sector Health 114 - $144.06 $359,000 2,432 0.12% 68,000 296 0    Closed - End Fund - E...
   (QQQ)1 Year Chart         QQQ Invesco QQQ Trust Series I 115 - $445.93 $358,000 805 0.12% 32,000 10 0    Closed - End Fund - Debt
   (LHX)1 Year Chart         LHX L3harris Technologies Inc 116 - $221.13 $355,000 1,665 0.12% 40,000 170 0.002    Communication Equipment
   (FRA)1 Year Chart         FRA Blackrock Floating Rate Inc... 119 - $13.26 $346,000 26,800 0.11% 32,000 2,000 0.072    Closed - End Fund - Debt
   (XLP)1 Year Chart         XLP SPDR Consmr Stpls Sector 121 - $77.25 $345,000 4,522 0.11% 55,000 502 0    Closed - End Fund - E...
   (STXG)1 Year Chart         STXG Strive 1000 Growth Etf 122 - $0.00 $337,000 8,983 0.11% 54,000 650 0.1    N/A
   (ZBH)1 Year Chart         ZBH Zimmer Holdings Inc 123 - $119.97 $323,000 2,445 0.11% 36,000 90 0.001    Medical Appliances & ...
   (NOC)1 Year Chart         NOC Northrop Grumman Corp 124 - $474.07 $319,000 666 0.1% 113,000 227 0.001    Aerospace/Defense - M...
   (ETR)1 Year Chart         ETR Entergy Corp 126 - $111.30 $315,000 2,977 0.1% 19,000 52 0.001    Electric Utilities
   (FFC)1 Year Chart         FFC Flaherty & Crumrine/Claymor... 127 - $14.48 $288,000 19,380 0.09% 45,000 1,900 0.044    Closed - End Fund - E...
   (TROW)1 Year Chart         TROW T Rowe Price Group Inc 128 - $114.36 $283,000 2,320 0.09% 81,000 440 0.001    Asset Management
   (FITB)1 Year Chart         FITB Fifth Third Bancorp 134 - $38.47 $260,000 6,975 0.09% 23,000 100 0    Domestic Regional Banks
   (BOE)1 Year Chart         BOE Blackrock Global Opportunit... 140 - $10.43 $219,000 20,923 0.07% 30,000 1,843 0.03    Closed - End Fund - E...
   (PAI)1 Year Chart         PAI Western Asset Inc Fund 147 - $11.99 $198,000 16,240 0.06% 17,000 1,200 0.173    Closed - End Fund - Debt
   (TSI)1 Year Chart         TSI TCW Strategic Income Fund Inc 149 - $4.61 $191,000 39,671 0.06% 15,000 1,336 0.083    Closed - End Fund - Debt

      86 Records Found
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