Keystone Financial Planning, Inc. Top Holdings and 13F Report (2024) About Keystone Financial Planning, Inc.Investment ActivityKeystone Financial Planning, Inc. has $302.18 million in total holdings as of June 30, 2024.Keystone Financial Planning, Inc. owns shares of 49 different stocks, but just 16 companies or ETFs make up 80% of its holdings.Approximately 12.87% of the portfolio was purchased this quarter.About 12.97% of the portfolio was sold this quarter.This quarter, Keystone Financial Planning, Inc. has purchased 49 new stocks and bought additional shares in 8 stocks.Keystone Financial Planning, Inc. sold shares of 26 stocks and completely divested from 5 stocks this quarter.Largest Holdings Schwab US Dividend Equity ETF $137,178,949Microsoft $12,388,337Verizon Communications $10,016,615Philip Morris International $8,461,055SPDR Portfolio S&P 500 High Dividend ETF $7,691,799 Largest New Holdings this Quarter CME Group $6,817,302 HoldingToronto-Dominion Bank $6,157,114 HoldingBank of Nova Scotia $5,833,461 HoldingSOLVENTUM CORP $910,699 HoldingNovo Nordisk A/S $203,431 Holding Largest Purchases this Quarter Schwab US Dividend Equity ETF 238,175 shares (about $18.52M)CME Group 34,676 shares (about $6.82M)Toronto-Dominion Bank 112,029 shares (about $6.16M)Bank of Nova Scotia 127,591 shares (about $5.83M)SOLVENTUM CORP 17,222 shares (about $910.70K) Largest Sales this Quarter Public Service Enterprise Group 117,658 shares (about $8.67M)iShares Core High Dividend ETF 62,636 shares (about $6.81M)Franklin Resources 3,942 shares (about $88.10K)AT&T 3,423 shares (about $65.41K)Cisco Systems 1,276 shares (about $60.62K) Sector Allocation Over TimeMap of 500 Largest Holdings ofKeystone Financial Planning, Inc. Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorSCHDSchwab US Dividend Equity ETF$137,178,949$18,520,484 ▲15.6%1,764,13345.4%ETFMSFTMicrosoft$12,388,3370.0%27,7184.1%Computer and TechnologyVZVerizon Communications$10,016,615$33,157 ▲0.3%242,8863.3%Computer and TechnologyPMPhilip Morris International$8,461,055$14,592 ▼-0.2%83,5002.8%Consumer StaplesSPYDSPDR Portfolio S&P 500 High Dividend ETF$7,691,799$47,793 ▲0.6%191,1962.5%ETFTROWT. Rowe Price Group$7,487,355$75,413 ▲1.0%64,9322.5%FinancePFEPfizer$7,188,355$7,415 ▼-0.1%256,9102.4%MedicalWECWEC Energy Group$6,852,539$53,588 ▲0.8%87,3382.3%UtilitiesCMECME Group$6,817,302$6,817,302 ▲New Holding34,6762.3%FinanceUPSUnited Parcel Service$6,485,677$152,860 ▲2.4%47,3932.1%TransportationPNWPinnacle West Capital$6,420,167$7,027 ▼-0.1%84,0562.1%UtilitiesTDToronto-Dominion Bank$6,157,114$6,157,114 ▲New Holding112,0292.0%FinanceBNSBank of Nova Scotia$5,833,461$5,833,461 ▲New Holding127,5911.9%FinanceXOMExxon Mobil$5,775,705$19,340 ▼-0.3%50,1711.9%Oils/EnergyBMYBristol-Myers Squibb$5,640,854$78,865 ▲1.4%135,8261.9%MedicalBTIBritish American Tobacco$5,364,471$9,186 ▼-0.2%173,4391.8%Consumer StaplesQCOMQUALCOMM$5,352,763$34,657 ▼-0.6%26,8741.8%Computer and TechnologyTAT&T$5,281,350$65,413 ▼-1.2%276,3661.7%Computer and TechnologyMOAltria Group$5,020,690$6,924 ▼-0.1%110,2241.7%Consumer StaplesCVXChevron$3,979,982$23,307 ▼-0.6%25,4441.3%Oils/EnergyHDViShares Core High Dividend ETF$3,478,889$6,808,639 ▼-66.2%32,0041.2%ETFGPCGenuine Parts$3,109,572$25,036 ▼-0.8%22,4811.0%Retail/WholesaleVYMVanguard High Dividend Yield ETF$2,964,786$48,745 ▼-1.6%24,9981.0%ETFCSCOCisco Systems$2,468,976$60,622 ▼-2.4%51,9680.8%Computer and TechnologyBENFranklin Resources$2,420,203$88,104 ▼-3.5%108,2860.8%FinanceKOCoca-Cola$2,383,531$30,680 ▼-1.3%37,4470.8%Consumer StaplesUSBU.S. Bancorp$2,225,681$13,816 ▼-0.6%56,0620.7%FinanceMCDMcDonald's$2,181,558$13,507 ▼-0.6%8,5600.7%Retail/WholesaleIBMInternational Business Machines$1,945,774$35,975 ▼-1.8%11,2500.6%Computer and TechnologyHLNHaleon$1,911,721$2,519 ▼-0.1%231,4430.6%MedicalPGProcter & Gamble$1,487,7430.0%9,0210.5%Consumer StaplesJNJJohnson & Johnson$1,461,588$21,193 ▼-1.4%10,0000.5%MedicalSNYSanofi$1,114,238$9,316 ▼-0.8%22,9640.4%MedicalSOLVENTUM CORP$910,699$910,699 ▲New Holding17,2220.3%COM SHSLMTLockheed Martin$905,2400.0%1,9380.3%AerospaceCLColgate-Palmolive$861,2300.0%8,8750.3%Consumer StaplesEMREmerson Electric$566,222$29,853 ▼-5.0%5,1400.2%Industrial ProductsKKellanova$506,9500.0%8,7890.2%Consumer DiscretionaryPEGPublic Service Enterprise Group$499,686$8,671,395 ▼-94.6%6,7800.2%UtilitiesWBDWarner Bros. Discovery$499,083$699 ▼-0.1%67,0810.2%Consumer DiscretionaryTJXTJX Companies$457,050$1,541 ▲0.3%4,1510.2%Retail/WholesaleSOSouthern$427,2560.0%5,5080.1%UtilitiesVNQVanguard Real Estate ETF$413,9420.0%4,9420.1%ETFACNAccenture$329,1240.0%1,0850.1%Computer and TechnologyVTRSViatris$278,665$340 ▼-0.1%26,2150.1%MedicalJPMJPMorgan Chase & Co.$276,0850.0%1,3650.1%FinanceCVSCVS Health$267,010$2,953 ▼-1.1%4,5210.1%Retail/WholesaleBACBank of America$233,8740.0%5,8810.1%FinanceNVONovo Nordisk A/S$203,431$203,431 ▲New Holding1,4250.1%MedicalMMM3M$0$7,346,896 ▼-100.0%00.0%Multi-Sector ConglomeratesAEPAmerican Electric Power$0$7,190,642 ▼-100.0%00.0%UtilitiesULUnilever$0$6,457,184 ▼-100.0%00.0%Consumer StaplesGSKGSK$0$1,645,265 ▼-100.0%00.0%MedicalNJRNew Jersey Resources$0$501,060 ▼-100.0%00.0%UtilitiesShowing largest 100 holdings. View all holdings. 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