Edmp, Inc. Portfolio Stock Holdings

Edmp, Inc. disclosed 70 stock positions valued at approximately $124.3 million in its latest SEC 13F filing. The largest holdings include BROADCOM INC, ABBVIE INC, and AMGEN INC. The filing reflects positions held as of June 30, 2026 and was filed on July 29, 2026.

Report Period
June 30, 2026
No. of Stocks
70
Portfolio Value
$124.3M
Holdings by Sector
Edmp, Inc. Portfolio Holdings in Q2 2026

70 holdings in the latest reporting period.

Page 1 of 1
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
BROADCOM INCAVGOTechnology9.27%30,499-276-0.90%$11,520,959
ABBVIE INCABBVHealthcare4.96%24,495-41-0.17%$6,163,961
AMGEN INCAMGNHealthcare4.53%15,552+28+0.18%$5,631,611
ALTRIA GROUP INCMOConsumer Defensive4.50%77,690+368+0.48%$5,589,830
OMEGA HEALTHCARE INVS INCOHIReal Estate4.31%112,431+140+0.12%$5,360,729
AFLAC INCAFLFinancial Services3.97%42,038-273-0.65%$4,929,007
OMNICOM GROUP INCOMCCommunication Services3.68%62,552+1,224+2.00%$4,569,760
UGI CORP NEWUGIUtilities3.35%120,683+2,291+1.94%$4,168,382
AMERIPRISE FINL INCAMPFinancial Services2.64%7,148-106-1.46%$3,279,156
TRUIST FINL CORPTFCFinancial Services2.61%65,153-125-0.19%$3,245,922
SONOCO PRODS COSONConsumer Cyclical2.45%54,002+174+0.32%$3,043,013
BORGWARNER INCBWAConsumer Cyclical2.31%43,271-5,171-10.67%$2,873,162
REALTY INCOME CORPOReal Estate2.14%42,855+333+0.78%$2,655,296
NATIONAL FUEL GAS CONFGEnergy2.08%33,443-64-0.19%$2,582,136
CENCORA INCCORHealthcare2.04%8,976-24-0.27%$2,539,897
ELEVANCE HEALTH INC FORMERLYELVHealthcare1.95%6,273-343-5.18%$2,426,000
EASTMAN CHEM COEMNBasic Materials1.94%35,967-246-0.68%$2,409,044
CHEVRON CORPORATIONCVXEnergy1.87%14,035-48-0.34%$2,326,380
AMDOCS LTDG02602103Other1.86%45,697+22,718+98.86%$2,309,536
ENTERPRISE PRODS PARTNERS LEPDEnergy1.73%58,597+459+0.79%$2,154,026
EVERSOURCE ENERGYESUtilities1.69%29,101+43+0.15%$2,103,129
BRISTOL-MYERS SQUIBB COBMYHealthcare1.66%35,784-126-0.35%$2,061,874
AT&T INCTCommunication Services1.65%99,333+292+0.29%$2,056,193
ROYAL BK CDARYFinancial Services1.64%9,870-25-0.25%$2,042,794
OGE ENERGY CORPOGEUtilities1.60%40,845--$1,987,518
VERIZON COMMUNICATIONS INCVZCommunication Services1.59%46,707-544-1.15%$1,977,574
EBAY INC.EBAYConsumer Cyclical1.59%17,657-2,589-12.79%$1,973,147
THE CIGNA GROUPCIHealthcare1.44%6,508+82+1.28%$1,794,086
AMAZON COM INCAMZNConsumer Cyclical1.42%7,384-587-7.36%$1,759,801
ASSURANT INCAIZFinancial Services1.34%6,203-621-9.10%$1,665,587
CITIGROUP INCCFinancial Services1.30%11,510-1,916-14.27%$1,610,899
3M COMMMIndustrials1.29%9,874+57+0.58%$1,598,758
PEPSICO INCPEPConsumer Defensive1.25%11,496-124-1.07%$1,556,558
SUPER MICRO COMPUTER INCSMCIOther1.10%46,613+2,892+6.61%$1,367,159
COGNIZANT TECHNOLOGY SOLUTIOCTSHTechnology1.07%34,455+13,000+60.59%$1,334,440
SMUCKER J M COSJMConsumer Defensive0.89%9,854-69-0.70%$1,108,575
MAGNA INTL INCMGAConsumer Cyclical0.87%16,429-4,472-21.40%$1,076,122
BEST BUY INCBBYConsumer Cyclical0.75%12,230+2,415+24.61%$928,012
PRUDENTIAL FINL INCPRUFinancial Services0.75%8,595+839+10.82%$927,658
MEDICAL PROPERTIES TRUST INCMPWReal Estate0.69%185,011-12,506-6.33%$854,751
FEDEX CORPFDXIndustrials0.62%2,472-471-16.00%$774,103
TARGET CORPTGTConsumer Defensive0.62%5,878--$767,726
COMMUNITY TR BANCORP INCCTBIFinancial Services0.55%9,504--$687,709
STIFEL FINL CORPSFFinancial Services0.55%9,728+1+0.01%$678,742
NVIDIA CORPORATIONNVDATechnology0.52%3,230+812+33.58%$645,736
GENPACT LIMITEDGOther0.51%22,846--$635,472
ARROW FINL CORPAROWFinancial Services0.47%14,237--$583,575
CONAGRA BRANDS INCCAGConsumer Defensive0.43%39,787--$535,533
CROWN HLDGS INCCCKConsumer Cyclical0.41%4,572-1,350-22.80%$511,241
FIRST SOLAR INCFSLRTechnology0.41%2,159+541+33.44%$509,438
JPMORGAN CHASE & COJPMFinancial Services0.41%1,553+8+0.52%$508,210
GLOBAL PMTS INCGPNIndustrials0.40%6,852-3,009-30.51%$497,196
COMCAST CORP NEWCMCSACommunication Services0.37%18,482+2,688+17.02%$453,722
ARCHER DANIELS MIDLAND COADMConsumer Defensive0.34%5,601--$427,916
FISERV INCFITechnology0.32%8,197+95+1.17%$402,063
MICRON TECHNOLOGY INCMUTechnology0.32%342-319-48.26%$394,767
RAYMOND JAMES FINL INCRJFFinancial Services0.31%2,552+890+53.55%$387,981
TIMKEN COTKRIndustrials0.26%2,228-911-29.02%$323,773
INGREDION INCINGRConsumer Defensive0.26%3,367+3,367+100.00%$318,889
TRAVELERS COMPANIES INCTRVFinancial Services0.25%945--$311,963
CUMMINS INCCMIIndustrials0.24%410-3,519-89.56%$292,416
META PLATFORMS INCMETACommunication Services0.23%505+9+1.81%$284,471
GENERAL MILLS INCGISConsumer Defensive0.22%7,909+7,909+100.00%$275,233
BRITISH AMERN TOB PLCBTIConsumer Defensive0.21%4,239--$261,801
AUTOLIV INCALVConsumer Cyclical0.21%2,237+2,237+100.00%$259,872
DAVITA INCDVAHealthcare0.19%1,049+1,049+100.00%$233,382
CHUBB LIMITEDCBFinancial Services0.18%648-407-38.58%$220,800
JD.COM INCJDConsumer Cyclical0.17%8,185+8,185+100.00%$208,554
WESTERN UN COWUFinancial Services0.14%22,089+2,022+10.08%$170,085
DNP SELECT INCOME FD INCDNPFinancial Services0.11%12,267--$132,362