13FBOX
UNITED BANK · 13F Holdings
Options Calculator Rankings

UNITED BANK

No.3081 Data as of 2026Q2
Latest AUM (Q2 2026)
$852.7M
QoQ Change Q1 2026
+$71.9M+9.2%
Holdings
130
New Buys
11
Adds
37
Reduces
51
Exits
2
Unchanged
31
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
HUBBELL INCHUBB
17.54%17.97%$149.6M285,888$140.3M285,88800.00%Unchanged
IISHARES COREIJR
6.26%5.77%$53.4M360,103$45.1M362,688-2,585-0.71%Reduce
CORNING INCGLW
4.46%2.91%$38.0M148,936$22.7M167,122-18,186-10.88%Reduce
IISHARES TRAGG
3.96%4.36%$33.7M340,970$34.1M343,098-2,128-0.62%Reduce
APPLE INCAAPL
3.86%3.82%$32.9M113,760$29.8M117,504-3,744-3.19%Reduce
UNITED BANKSHARES INC WEST VUBSI
3.83%3.77%$32.7M713,131$29.4M710,708+2,423+0.34%Add
JPMORGAN CHASE & COJPM
3.76%3.7%$32.0M97,846$28.9M98,187-341-0.35%Reduce
MICROSOFT CORPMSFT
2.97%3.26%$25.3M67,866$25.4M68,685-819-1.19%Reduce
CISCO SYS INCCSCO
2.44%1.86%$20.8M177,433$14.5M187,378-9,945-5.31%Reduce
IRON MTN INC DEL COMIRM
2%1.85%$17.0M134,721$14.5M141,636-6,915-4.88%Reduce
CUMMINS INCCMI
1.8%1.59%$15.3M21,505$12.5M23,145-1,640-7.09%Reduce
TEXAS INSTRS INCTXN
1.75%1.3%$14.9M49,987$10.2M52,300-2,313-4.42%Reduce
CHEVRON CORPORATIONCVX
1.68%2.39%$14.4M86,648$18.7M90,269-3,621-4.01%Reduce
JOHNSON & JOHNSONJNJ
1.62%1.81%$13.9M54,544$14.1M57,721-3,177-5.50%Reduce
AMGEN INC COMAMGN
1.48%1.63%$12.6M34,754$12.8M36,272-1,518-4.19%Reduce
DOVER CORPDOV
1.47%1.55%$12.5M55,905$12.1M58,112-2,207-3.80%Reduce
PROCTER & GAMBLE COPG
1.34%1.44%$11.4M77,684$11.3M77,893-209-0.27%Reduce
WASTE MGMT INC DELWM
1.33%1.54%$11.3M50,811$12.0M52,260-1,449-2.77%Reduce
GENERAL DYNAMICS CORPGD
1.3%1.42%$11.0M31,183$11.1M32,309-1,126-3.49%Reduce
IISHARES TRIVW
1.28%1.1%$10.9M79,127$8.6M76,206+2,921+3.83%Add
MCDONALDS CORPMCD
1.21%1.53%$10.3M38,013$12.0M38,531-518-1.34%Reduce
EOG RES INCEOG
1.2%1.51%$10.3M79,197$11.8M81,662-2,465-3.02%Reduce
ABBOTT LABORATORIESABT
1.15%1.39%$9.8M108,426$10.9M105,841+2,585+2.44%Add
AIR PRODUCTS AND CHEMICALS IAPD
1.14%1.27%$9.7M33,251$9.9M34,203-952-2.78%Reduce
KLA CORPKLAC
1.11%0.61%$9.5M31,330$4.8M3,259+28,071+861.34%Add
VISA INCV
1.1%0.84%$9.4M27,318$6.5M21,655+5,663+26.15%Add
BLACKROCK INC COMBLK
1.07%1.2%$9.1M9,493$9.4M9,726-233-2.40%Reduce
VVANGUARD MIDVO
1.01%1.06%$8.6M106,970$8.3M28,784+78,186+271.63%Add
AFLAC INC COMAFL
1.01%1.02%$8.6M73,113$8.0M72,691+422+0.58%Add
PEPSICO INCPEP
1%1.24%$8.5M62,740$9.6M62,136+604+0.97%Add
VVANGUARD INDEX FDSVNQ
0.96%0.92%$8.2M84,748$7.2M80,710+4,038+5.00%Add
ILLINOIS TOOLITW
0.95%0.98%$8.1M29,862$7.6M29,362+500+1.70%Add
IISHARES TRSHV
0.93%1.02%$7.9M71,909$8.0M72,290-381-0.53%Reduce
GGILEAD SCIENCES INC COMGILD
0.91%1.11%$7.8M61,418$8.7M62,119-701-1.13%Reduce
AMERICAN WTR WKS CO INC NEWAWK
0.9%0.99%$7.7M58,256$7.7M56,633+1,623+2.87%Add
EXXON MOBIL CORPXOM
0.87%1.18%$7.4M54,306$9.2M54,082+224+0.41%Add
HERSHEY CO COMHSY
0.85%1.09%$7.2M41,199$8.5M41,011+188+0.46%Add
HONEYWELL INTL INCHON
0.84%1.11%$7.2M39,138$8.7M38,345+793+2.07%Add
LOCKHEED MARTIN CORPLMT
0.82%1.07%$7.0M13,642$8.4M13,877-235-1.69%Reduce
CME GROUP INCCME
0.81%1.14%$6.9M31,355$8.9M30,165+1,190+3.94%Add
IISHARES 1-5 YEAR INVESTMENT GRADE CORPORATE BOND ETFIGSB
0.78%0.8%$6.7M127,313$6.2M118,495+8,818+7.44%Add
STRYKER CORPORATIONSYK
0.76%0.64%$6.5M20,632$5.0M15,146+5,486+36.22%Add
ATMOS ENERGY CORPATO
0.75%0.65%$6.4M36,879$5.1M27,421+9,458+34.49%Add
VVANGUARD INDEX FDSVB
0.59%0.59%$5.1M16,676$4.6M17,459-783-4.48%Reduce
IISHARES TRIJK
0.59%0.4%$5.0M42,637$3.1M31,076+11,561+37.20%Add
GGENERAL DYNAMICS CORPVTI
0.58%0.62%$4.9M13,300$4.8M15,000-1,700-11.33%Reduce
COCA COLA COKO
0.48%0.49%$4.1M50,052$3.8M50,05200.00%Unchanged
NVIDIA CORPORATIONNVDA
0.44%0.44%$3.8M18,804$3.4M19,577-773-3.95%Reduce
TESLA INCTSLA
0.39%0.38%$3.3M7,898$2.9M7,89800.00%Unchanged
VVANGUARD INDEX FDSVTV
0.37%0.34%$3.1M14,357$2.7M13,701+656+4.79%Add

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