Back to WHITENER CAPITAL MANAGEMENT, INC.

WHITENER CAPITAL MANAGEMENT, INC.

Q2 2026 13F filing

Updated 65 days ago

184 disclosed positions worth $472.1M

Portfolio value
$472.1M
Total holdings
184
New positions
18
Closed positions
8
Increased
86
Decreased
70
Turnover
14.1%
Filed
2026-07-10

Full holdings

Every line item disclosed in Q2 2026

G

ALPHABET INC

-0.9%
Value
$33.5M
Shares
93.7K
% Port
7.09%
N

NVIDIA CORPORATION

+3.2%
Value
$26.1M
Shares
130.7K
% Port
5.54%
A

APPLE INC

-0.8%
Value
$26.1M
Shares
90.2K
% Port
5.53%
J

JPMORGAN CHASE & CO

+0.3%
Value
$25.2M
Shares
77.1K
% Port
5.34%
W
5.WMT

WALMART INC

-0.6%
Value
$21M
Shares
185.0K
% Port
4.44%
A

AMAZON COM INC

-0.5%
Value
$18.3M
Shares
76.7K
% Port
3.87%
M

MICROSOFT CORP

+7.1%
Value
$16.5M
Shares
44.2K
% Port
3.49%
C
8.CAT

CATERPILLAR INC

-2.5%
Value
$12.3M
Shares
11.6K
% Port
2.61%
V
9.V

VISA INC

+1.2%
Value
$11.5M
Shares
33.4K
% Port
2.43%
G

GOLDMAN SACHS GROUP INC

-4.4%
Value
$11.2M
Shares
11.1K
% Port
2.37%
A
11.ABBV

ABBVIE INC

+0.1%
Value
$10.6M
Shares
41.9K
% Port
2.23%
M
12.MCD

MCDONALDS CORP

+1.9%
Value
$9M
Shares
33.5K
% Port
1.92%
D

DUKE ENERGY CORP NEW

+5.1%
Value
$8.3M
Shares
65.3K
% Port
1.75%
?
14.N/A

ROCKWELL AUTOMATION INC

-2.7%
Value
$6.9M
Shares
13.9K
% Port
1.46%
B

BERKSHIRE HATHAWAY INC DEL

+4.5%
Value
$6.8M
Shares
13.6K
% Port
1.44%
P
16.PEP

PEPSICO INC

+1.3%
Value
$6.8M
Shares
50.0K
% Port
1.43%
J
17.JNJ

JOHNSON & JOHNSON

-1.0%
Value
$6.6M
Shares
26.1K
% Port
1.41%
M
18.MRK

MERCK & CO INC

+2.4%
Value
$5.8M
Shares
45.4K
% Port
1.24%
P
19.PG

PROCTER & GAMBLE CO

+1.3%
Value
$5.8M
Shares
39.3K
% Port
1.22%
T

TRUIST FINL CORP

-4.3%
Value
$5.8M
Shares
115.5K
% Port
1.22%
D
21.DE

DEERE & CO

+0.6%
Value
$5.2M
Shares
8.3K
% Port
1.11%
S

SCHWAB STRATEGIC TR

-3.0%
Value
$5M
Shares
173.8K
% Port
1.07%
H
23.HD

HOME DEPOT INC

+4.2%
Value
$4.8M
Shares
13.7K
% Port
1.02%
L
24.LOW

LOWES COS INC

+4.7%
Value
$4.7M
Shares
21.3K
% Port
1.00%
R

ROYAL BK CDA

-1.3%
Value
$4.3M
Shares
20.9K
% Port
0.92%
P
26.PANW

PALO ALTO NETWORKS INC

+3.5%
Value
$4.2M
Shares
12.3K
% Port
0.89%
C
27.CVX

CHEVRON CORPORATION

-3.6%
Value
$3.8M
Shares
22.8K
% Port
0.80%
A
28.AMAT

APPLIED MATLS INC

-3.2%
Value
$3.7M
Shares
5.2K
% Port
0.79%
E
29.EMR

EMERSON ELEC CO

+5.1%
Value
$3.6M
Shares
25.2K
% Port
0.76%
R
30.RTX

RTX CORPORATION

+1.6%
Value
$3.6M
Shares
19.0K
% Port
0.76%
L
31.LLY

ELI LILLY & CO

+79.3%
Value
$3.6M
Shares
3.0K
% Port
0.75%
C
32.COST

COSTCO WHOLESALE CORPORATION

+0.6%
Value
$3.5M
Shares
3.8K
% Port
0.74%
M
33.MMM

3M CO

+7.0%
Value
$3.3M
Shares
20.4K
% Port
0.70%
C
34.CMI

CUMMINS INC

-11.9%
Value
$3.3M
Shares
4.6K
% Port
0.69%
S

SCHWAB STRATEGIC TR

-2.4%
Value
$3.2M
Shares
103.2K
% Port
0.68%
K
36.KO

COCA COLA CO

+1.0%
Value
$3.2M
Shares
38.8K
% Port
0.67%
?
37.N/A

INVESCO EXCH TRD SLF IDX FD

+14.2%
Value
$3M
Shares
148.3K
% Port
0.64%
M
38.MU

MICRON TECHNOLOGY INC

-11.7%
Value
$3M
Shares
2.6K
% Port
0.64%
M
39.MO

ALTRIA GROUP INC

+1.6%
Value
$2.8M
Shares
39.4K
% Port
0.60%
I
40.IAU

ISHARES GOLD TR

-1.4%
Value
$2.8M
Shares
37.1K
% Port
0.59%
M
41.META

META PLATFORMS INC

+4.3%
Value
$2.8M
Shares
5.0K
% Port
0.59%
S

SCHWAB STRATEGIC TR

+18.8%
Value
$2.7M
Shares
80.8K
% Port
0.58%
I
43.ISRG

INTUITIVE SURGICAL INC

-2.6%
Value
$2.4M
Shares
6.1K
% Port
0.51%
B
44.B

BARRICK MNG CORP

-2.2%
Value
$2.3M
Shares
63.0K
% Port
0.49%
A
45.ABT

ABBOTT LABORATORIES

-8.7%
Value
$2.3M
Shares
25.4K
% Port
0.49%
S

SCHWAB CHARLES CORP

+17.0%
Value
$2.3M
Shares
24.9K
% Port
0.49%
?
47.N/A

ADAM NAT RES FD INC

+1.2%
Value
$2.2M
Shares
90.6K
% Port
0.47%
?
48.N/A

SELECT SECTOR SPDR TR

-0.0%
Value
$2.2M
Shares
43.8K
% Port
0.47%
S

SCHWAB STRATEGIC TR

-0.4%
Value
$2.2M
Shares
68.0K
% Port
0.46%
?
50.N/A

ISHARES TR

+18.8%
Value
$2.1M
Shares
68.1K
% Port
0.44%