13FBOX
BOYS ARNOLD & CO INC · 13F Holdings
Options Calculator Rankings

BOYS ARNOLD & CO INC

No.10499 Data as of Q2 2020
Latest AUM (Q2 2020)
$528.8M
QoQ Change Q1 2020
-$36.8M-6.5%
Holdings
238
New Buys
0
Adds
0
Reduces
5
Exits
0
Unchanged
233
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2020 ValueQ2 2020 SharesPrev Q ValuePrev Q SharesShares ChangeAction
IISHARES TRIVV
8.74%8.17%$46.2M178,823$46.2M178,82300.00%Unchanged
LOWES COS INC COMLOW
7.56%7.07%$40.0M464,720$40.0M464,72000.00%Unchanged
SSTATE STR SPDR S&P 500 ETF TSPY
6.14%5.74%$32.5M125,980$32.5M125,98000.00%Unchanged
IISHARES RUSSELLIWM
1.94%1.81%$10.3M89,575$10.3M89,57500.00%Unchanged
IISHARES MSCI EAFE ETFEFA
1.76%1.65%$9.3M174,486$9.3M174,48600.00%Unchanged
IISHARES TRGVI
1.72%1.61%$9.1M80,355$9.1M80,35500.00%Unchanged
IISHARES RUSSELLIWB
1.66%1.55%$8.8M61,992$8.8M61,99200.00%Unchanged
IISHARES TRGVI
1.56%1.46%$8.2M77,480$8.2M77,48000.00%Unchanged
JOHNSON & JOHNSONJNJ
1.54%1.44%$8.1M62,067$8.1M62,06700.00%Unchanged
IISHARES INTERMEDIATE GOVERNMENT/CREDIT BOND ETFGVI
1.48%1.38%$7.8M68,274$7.8M68,27400.00%Unchanged
IISHARES TRLQD
1.45%1.35%$7.7M61,983$7.7M61,98300.00%Unchanged
MICROSOFT CORPMSFT
1.4%1.31%$7.4M47,077$7.4M47,07700.00%Unchanged
HOME DEPOT INCHD
1.4%1.31%$7.4M39,630$7.4M39,63000.00%Unchanged
META PLATFORMS INCMETA
1.35%1.53%$7.1M42,717$8.6M51,717-9,000-17.40%Reduce
SSELECT SECTOR SPDR TRXLK
1.33%1.25%$7.1M87,787$7.1M87,78700.00%Unchanged
IISHARES 1-5 YEAR INVESTMENT GRADE CORPORATE BOND ETFIGSB
1.27%1.19%$6.7M128,120$6.7M128,12000.00%Unchanged
IISHARES TRIEFA
1.25%1.17%$6.6M132,709$6.6M132,70900.00%Unchanged
JPMORGAN CHASE & COJPM
1.16%1.09%$6.2M68,386$6.2M68,38600.00%Unchanged
PROCTER & GAMBLE COPG
1.16%1.08%$6.1M55,748$6.1M55,74800.00%Unchanged
IISHARES TRIGIB
1.14%1.06%$6.0M109,505$6.0M109,50500.00%Unchanged
COCA COLA COKO
1.08%1.01%$5.7M129,442$5.7M129,44200.00%Unchanged
APPLE INCAAPL
1.06%6.19%$5.6M22,000$35.0M137,601-115,601-84.01%Reduce
IISHARES TRAGG
0.99%0.93%$5.2M45,437$5.2M45,43700.00%Unchanged
RRAYTHEON CO
0.99%1.74%$5.2M84,173$9.9M104,173-20,000-19.20%Reduce
DISNEY WALT CODIS
0.98%0.92%$5.2M53,831$5.2M53,83100.00%Unchanged
IISHARES COREIJH
0.95%0.89%$5.0M35,092$5.0M35,09200.00%Unchanged
ALPHABET INCGOOGL
0.9%0.84%$4.8M4,092$4.8M4,09200.00%Unchanged
SSELECT SECTOR SPDR TRXLF
0.83%0.78%$4.4M211,428$4.4M211,42800.00%Unchanged
AAlphabet Inc Class CGOOG
0.83%0.78%$4.4M3,778$4.4M3,77800.00%Unchanged
AMAZON COM INCAMZN
0.79%0.74%$4.2M2,142$4.2M2,14200.00%Unchanged
BERKSHIRE HATHAWAY INC DELBRK.B
0.78%0.73%$4.1M22,655$4.1M22,65500.00%Unchanged
ABBOTT LABORATORIESABT
0.75%0.7%$4.0M50,345$4.0M50,34500.00%Unchanged
PEPSICO INCPEP
0.73%0.68%$3.9M32,114$3.9M32,11400.00%Unchanged
PFIZER INCPFE
0.72%0.67%$3.8M115,837$3.8M115,83700.00%Unchanged
TJX COS INC NEWTJX
0.71%0.67%$3.8M78,868$3.8M78,86800.00%Unchanged
IISHARES TREEM
0.69%0.64%$3.6M106,295$3.6M106,29500.00%Unchanged
UNITEDHEALTH GROUP INCUNH
0.65%0.61%$3.5M13,857$3.5M13,85700.00%Unchanged
AMERICAN EXPRESS COAXP
0.65%0.61%$3.4M40,285$3.4M40,28500.00%Unchanged
MERCK & CO INCMRK
0.64%0.6%$3.4M44,124$3.4M44,12400.00%Unchanged
TEXAS INSTRS INCTXN
0.64%0.6%$3.4M33,759$3.4M33,75900.00%Unchanged
EXXON MOBIL CORPXOM
0.63%0.59%$3.3M88,126$3.3M88,12600.00%Unchanged
AAT&T INCT
0.63%0.59%$3.3M114,654$3.3M114,65400.00%Unchanged
AUTOMATIC DATA PROCESSING INADP
0.63%0.59%$3.3M24,217$3.3M24,21700.00%Unchanged
DANAHER CORP DEL COMDHR
0.6%0.56%$3.2M23,068$3.2M23,06800.00%Unchanged
CVS HEALTH CORPCVS
0.57%0.53%$3.0M50,566$3.0M50,56600.00%Unchanged
STRYKER CORPORATIONSYK
0.56%0.52%$3.0M17,766$3.0M17,76600.00%Unchanged
IINTERNATIONAL BUSINESS MACHSIBM
0.54%0.5%$2.9M25,691$2.9M25,69100.00%Unchanged
MCDONALDS CORPMCD
0.53%0.5%$2.8M17,042$2.8M17,04200.00%Unchanged
COSTCO WHOLESALE CORPORATIONCOST
0.52%0.49%$2.8M9,685$2.8M9,68500.00%Unchanged
WALMART INCWMT
0.52%0.48%$2.7M24,078$2.7M24,07800.00%Unchanged

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow