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Institutional Investment Manager
ANCHOR INVESTMENT MANAGEMENT, LLC
ANCHOR INVESTMENT MANAGEMENT, LLC (CIK: 0001634149). Institutional holdings reported to the SEC.

Institutional Holdings (2016Q1)
Original 13F HR (0001634149-24-000033) filed in 2024.01.03
#
Name
Shares
Value ($)
%
Options
Notes
601 ALPHABET INC 1,944 1,448,183 0.59%
602 TRACTOR SUPPLY CO 16,653 1,506,430 0.62%
603 UNUM GROUP 48,811 1,509,236 0.62%
604 INTERNATIONAL BUSINESS MACHS 10,011 1,516,166 0.62%
605 STARBUCKS CORP 25,459 1,519,902 0.62%
606 CHEVRON CORP NEW 16,272 1,552,353 0.64%
607 LOWES COS INC 20,778 1,573,934 0.64%
608 BOOKING HOLDINGS INC COM 1,240 1,598,310 0.65%
609 TEVA PHARMACEUTICAL INDS LTD 30,474 1,630,664 0.67%
610 MEDTRONIC PLC 22,028 1,652,100 0.68%
611 COMCAST CORP NEW 27,209 1,661,926 0.68%
612 VANGUARD BD INDEX FDS 19,335 1,668,030 0.68%
613 CORNING INC 82,250 1,718,207 0.70%
614 LOEWS CORP 45,300 1,733,178 0.71%
615 VANGUARD BD INDEX FDS 22,637 1,825,221 0.75%
616 SCHLUMBERGER LTD 25,677 1,893,679 0.78%
617 MERCK & CO INC 36,481 1,930,210 0.79%
618 FISERV INC 18,980 1,946,968 0.80%
619 METLIFE INC 45,059 1,979,892 0.81%
620 WELLS FARGO & CO NEW 41,388 2,001,504 0.82%
621 CISCO SYS INC 70,437 2,005,336 0.82%
622 ABBOTT LABS 50,993 2,133,032 0.87%
623 PROCTER AND GAMBLE CO 26,140 2,151,554 0.88%
624 SONOCO PRODS CO 46,123 2,240,210 0.92%
625 PFIZER INC 75,753 2,245,305 0.92%
626 BERKSHIRE HATHAWAY INC DEL 16,501 2,341,162 0.96%
627 UNITED PARCEL SERVICE INC 22,409 2,363,477 0.97%
628 UNION PAC CORP 30,400 2,418,320 0.99%
629 ABBVIE INC 43,936 2,509,617 1.03%
630 HOME DEPOT INC 18,859 2,516,356 1.03%
631 APPLE INC 23,150 2,523,166 1.03%
632 PHILIP MORRIS INTL INC 25,984 2,549,290 1.04%
633 PEPSICO INC 25,443 2,607,445 1.07%
634 WASTE MGMT INC DEL 45,675 2,694,847 1.10%
635 SOUTHERN CO 53,668 2,776,247 1.14%
636 FEDEX CORP 17,227 2,803,177 1.15%
637 INTEL CORP 92,507 2,992,594 1.22%
638 COCA COLA CO 66,089 3,065,866 1.25%
639 DISNEY WALT CO 33,874 3,364,027 1.38%
640 CVS HEALTH CORP 34,209 3,548,500 1.45%
641 DUKE ENERGY CORP NEW 45,955 3,707,623 1.52%
642 MICROSOFT CORP 73,106 4,037,618 1.65%
643 JOHNSON & JOHNSON 38,620 4,178,669 1.71%
644 VERIZON COMMUNICATIONS INC 85,456 4,621,486 1.89%
645 GENERAL ELECTRIC CO COM NEW 161,163 5,123,377 2.10%
646 AT&T INC 137,255 5,376,289 2.20%
647 EXXON MOBIL CORP 71,240 5,954,966 2.44%
648 VISA INC 93,796 7,173,518 2.94%
649 VANGUARD SCOTTSDALE FDS 122,459 9,800,358 4.01%
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