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Institutional Investment Manager
Bragg Financial Advisors, Inc
Bragg Financial Advisors, Inc (CIK: 0001327055), located at 1031 South Caldwell Street, Charlotte, NC. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 230 holdings with a total value of $417,288,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 OSHKOSH CORP 49,462 2,747,000 0.66%
52 BARD C R INC 19,211 2,747,000 0.66%
53 DARLING INGREDIENTS INC 131,095 2,740,000 0.66%
54 HOME DEPOT INC 33,787 2,735,000 0.66%
55 STERIS PLC 50,985 2,727,000 0.65%
56 RLI CORP 59,530 2,725,000 0.65%
57 LOWES COS INC 56,764 2,724,000 0.65%
58 DOMINION ENERGY INC 37,888 2,710,000 0.65%
59 INGERSOLL-RAND PLC 42,710 2,670,000 0.64%
60 VISHAY INTERTECHNOLOGY INC 170,043 2,634,000 0.63%
61 Medtronic Inc 40,992 2,614,000 0.63%
62 GENERAL ELECTRIC CO 98,333 2,584,000 0.62%
63 VANGUARD INDEX FDS 29,436 2,559,000 0.61%
64 Chubb Corporation 26,772 2,468,000 0.59%
65 PIEDMONT NAT GAS INC 64,195 2,402,000 0.58%
66 ABBVIE INC 42,533 2,401,000 0.58%
67 APPLE INC 25,511 2,371,000 0.57%
68 VANGUARD INDEX FDS 24,501 2,361,000 0.57%
69 APPLIED MATLS INC 104,365 2,353,000 0.56%
70 TECH DATA CORP 37,570 2,349,000 0.56%
71 GRACO INC 29,340 2,291,000 0.55%
72 TARGET CORP 39,338 2,280,000 0.55%
73 BB&T CORP 57,233 2,257,000 0.54%
74 GOOGLE INC 3,831 2,204,000 0.53%
75 DUCOMMUN INC DEL COM 83,449 2,181,000 0.52%
76 PROGRESSIVE CORP OHIO 84,864 2,152,000 0.52%
77 HONEYWELL INTL INC 23,137 2,151,000 0.52%
78 ISHARES TR 20,034 2,129,000 0.51%
79 ISHARES NASDAQ BIOTECHNOLOGY ETF 3,637 2,126,000 0.51%
80 RAYMOND JAMES FINANC 41,495 2,105,000 0.50%
81 PLANTRONICS INCORPORATED NEW 41,600 1,999,000 0.48%
82 COMCAST CORP NEW 36,682 1,969,000 0.47%
83 OWENS & MINOR INC NEW 57,331 1,948,000 0.47%
84 CBS CORP NEW 31,246 1,942,000 0.47%
85 QUALCOMM INC 24,486 1,939,000 0.46%
86 US BANCORP DEL 44,490 1,927,000 0.46%
87 VALERO ENERGY CORP NEW 38,373 1,922,000 0.46%
88 DUKE ENERGY CORP NEW 25,902 1,922,000 0.46%
89 HILLTOP HOLDINGS INC 90,282 1,919,000 0.46%
90 UNITED STATIONERS INC 45,775 1,898,000 0.45%
91 BALL CORP 29,811 1,869,000 0.45%
92 ABBOTT LABS 43,841 1,793,000 0.43%
93 APACHE CORP 17,707 1,782,000 0.43%
94 NEW JERSEY RES CORP 31,115 1,779,000 0.43%
95 BERKSHIRE HATHAWAY INC DEL 9 1,709,000 0.41%
96 GRAINGER W W INC 6,682 1,699,000 0.41%
97 SYNNEX CORP 23,232 1,692,000 0.41%
98 CATO CORP NEW CL A 54,568 1,686,000 0.40%
99 UNITEDHEALTH GROUP INC 20,413 1,669,000 0.40%
100 SYSCO CORP 42,691 1,599,000 0.38%
Page 2 of 5

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001062993-14-004810, filed 2014.08.13).

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.