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Institutional Investment Manager
GODSEY & GIBB, INC
GODSEY & GIBB, INC (CIK: 0000887402) incorporated in Virginia, located at 6806 Paragon Place Suite 230, Richmond, VA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 55 holdings with a total value of $558,883,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 SUNTRUST BKS INC 4,814 211,000 0.04%
2 INTERNATIONAL BUSINESS MACHS 2,185 347,000 0.06%
3 GENUINE PARTS CO 4,121 414,000 0.07%
4 APPLE INC 4,798 542,000 0.10%
5 SCHWAB U.S. LARGE-CAP ETF 11,335 585,000 0.10%
6 DOMINION ENERGY INC 11,393 846,000 0.15%
7 WAL-MART STORES INC 15,635 1,128,000 0.20%
8 ISHARES TR 15,578 1,266,000 0.23%
9 KINDER MORGAN INC DEL 64,273 1,487,000 0.27%
10 SPDR S&P 500 ETF TR 12,138 2,625,000 0.47%
11 EXXON MOBIL CORP 31,504 2,750,000 0.49%
12 CONAGRA BRANDS INC 133,401 6,284,000 1.12%
13 CONOCOPHILLIPS 153,547 6,674,000 1.19%
14 AMERICAN EXPRESS CO 133,773 8,567,000 1.53%
15 MCKESSON CORP 54,529 9,093,000 1.63%
16 OCCIDENTAL PETE CORP DEL 125,693 9,165,000 1.64%
17 EXPRESS SCRIPTS HLDG CO 148,173 10,450,000 1.87%
18 CHEVRON CORP NEW 106,304 10,941,000 1.96%
19 ROCKWELL AUTOMATION INC 89,820 10,989,000 1.97%
20 BB&T CORP 299,208 11,286,000 2.02%
21 DISNEY WALT CO 121,761 11,307,000 2.02%
22 ORACLE CORP 289,668 11,378,000 2.04%
23 NOVARTIS A G 144,474 11,408,000 2.04%
24 PNC FINL SVCS GROUP INC 127,432 11,481,000 2.05%
25 V F CORP 206,157 11,555,000 2.07%
26 SCHLUMBERGER LTD 148,167 11,651,000 2.08%
27 VMWARE INC 159,934 11,731,000 2.10%
28 EOG RES INC 121,676 11,767,000 2.11%
29 COCA COLA CO 282,010 11,935,000 2.14%
30 UNITED TECHNOLOGIES CORP 117,594 11,947,000 2.14%
31 COSTCO WHSL CORP NEW 78,959 12,042,000 2.15%
32 BLACKROCK INC 33,452 12,125,000 2.17%
33 DUKE ENERGY CORP NEW 155,605 12,455,000 2.23%
34 ROYAL BK CDA MONTREAL QUE 206,495 12,795,000 2.29%
35 BCE INC 277,186 12,800,000 2.29%
36 STARBUCKS CORP 238,212 12,897,000 2.31%
37 TORONTO DOMINION BK ONT 292,715 12,997,000 2.33%
38 STRYKER CORP 112,553 13,103,000 2.34%
39 HOME DEPOT INC 101,912 13,114,000 2.35%
40 COMCAST CORP NEW 202,435 13,430,000 2.40%
41 UNITED PARCEL SERVICE INC 126,154 13,797,000 2.47%
42 MERCK & CO INC 224,080 13,984,000 2.50%
43 VISA INC 169,778 14,041,000 2.51%
44 MCDONALDS CORP 123,258 14,219,000 2.54%
45 VERIZON COMMUNICATIONS INC 273,597 14,222,000 2.54%
46 PFIZER INC 423,706 14,350,000 2.57%
47 GENERAL ELECTRIC CO 489,451 14,497,000 2.59%
48 ALLIANT ENERGY CORP 378,770 14,510,000 2.60%
49 PROCTER AND GAMBLE CO 163,289 14,655,000 2.62%
50 AT&T INC 367,976 14,944,000 2.67%
Page 1 of 2

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000887402-16-000016, filed 2016.11.01).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.