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Keystone Financial Planning, Inc. Top Holdings and 13F Report (2025)

About Keystone Financial Planning, Inc.

Investment Activity

  • Keystone Financial Planning, Inc. has $322.38 million in total holdings as of December 31, 2024.
  • Keystone Financial Planning, Inc. owns shares of 46 different stocks, but just 15 companies or ETFs make up 80% of its holdings.
  • Approximately 32.50% of the portfolio was purchased this quarter.
  • About 0.28% of the portfolio was sold this quarter.
  • This quarter, Keystone Financial Planning, Inc. has purchased 47 new stocks and bought additional shares in 10 stocks.
  • Keystone Financial Planning, Inc. sold shares of 25 stocks and completely divested from 1 stock this quarter.

Largest Holdings

Microsoft
$11,682,926

Largest Purchases this Quarter

Schwab US Dividend Equity ETF
3,506,729 shares (about $95.80M)
GSK
221,853 shares (about $7.50M)
U.S. Bancorp
16,552 shares (about $791.68K)
Toronto-Dominion Bank
4,534 shares (about $241.39K)
CME Group
777 shares (about $180.44K)

Largest Sales this Quarter

Vanguard High Dividend Yield ETF
1,244 shares (about $158.73K)
Public Service Enterprise Group
1,021 shares (about $86.26K)
Haleon
6,322 shares (about $60.31K)
iShares Core High Dividend ETF
310 shares (about $34.80K)
Warner Bros. Discovery
2,946 shares (about $31.14K)

Sector Allocation Over Time

Map of 500 Largest Holdings ofKeystone Financial Planning, Inc.

 
 
Selling
 
 
Neutral
 
 
Buying
Issuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSector
Schwab US Dividend Equity ETF stock logo
SCHD
Schwab US Dividend Equity ETF
$146,588,919$95,803,829 188.6%5,365,62745.5%ETF
Microsoft Co. stock logo
MSFT
Microsoft
$11,682,9260.0%27,7183.6%Computer and Technology
Philip Morris International Inc. stock logo
PM
Philip Morris International
$9,944,761$27,079 -0.3%82,6323.1%Consumer Staples
Verizon Communications Inc. stock logo
VZ
Verizon Communications
$9,787,868$29,753 0.3%244,7583.0%Computer and Technology
Bristol-Myers Squibb stock logo
BMY
Bristol-Myers Squibb
$8,999,092$10,350 0.1%159,1072.8%Medical
SPDR Portfolio S&P 500 High Dividend ETF stock logo
SPYD
SPDR Portfolio S&P 500 High Dividend ETF
$8,402,468$108,273 1.3%194,3222.6%ETF
CME Group Inc. stock logo
CME
CME Group
$8,363,067$180,443 2.2%36,0122.6%Finance
T. Rowe Price Group, Inc. stock logo
TROW
T. Rowe Price Group
$8,010,323$111,394 1.4%70,8312.5%Finance
GSK plc stock logo
GSK
GSK
$7,708,018$7,503,069 3,660.9%227,9132.4%Medical
The Bank of Nova Scotia stock logo
BNS
Bank of Nova Scotia
$7,166,463$3,062 0.0%133,4042.2%Finance
Pinnacle West Capital Co. stock logo
PNW
Pinnacle West Capital
$7,000,866$13,055 -0.2%82,5872.2%Utilities
Pfizer Inc. stock logo
PFE
Pfizer
$6,796,653$13,583 -0.2%256,1872.1%Medical
British American Tobacco p.l.c. stock logo
BTI
British American Tobacco
$6,277,625$15,545 -0.2%172,8421.9%Consumer Staples
AT&T Inc. stock logo
T
AT&T
$6,275,695$17,783 -0.3%275,6121.9%Computer and Technology
The Toronto-Dominion Bank stock logo
TD
Toronto-Dominion Bank
$6,267,040$241,390 4.0%117,7131.9%Finance
United Parcel Service, Inc. stock logo
UPS
United Parcel Service
$5,958,679$10,214 -0.2%47,2541.8%Transportation
Altria Group, Inc. stock logo
MO
Altria Group
$5,735,884$19,922 -0.3%109,6941.8%Consumer Staples
Exxon Mobil Co. stock logo
XOM
Exxon Mobil
$5,361,899$10,542 -0.2%49,8461.7%Oils/Energy
QUALCOMM Incorporated stock logo
QCOM
QUALCOMM
$4,107,9520.0%26,7411.3%Computer and Technology
Chevron Co. stock logo
CVX
Chevron
$3,672,882$12,456 -0.3%25,3581.1%Oils/Energy
iShares Core High Dividend ETF stock logo
HDV
iShares Core High Dividend ETF
$3,560,045$34,801 -1.0%31,7121.1%ETF
U.S. Bancorp stock logo
USB
U.S. Bancorp
$3,473,104$791,677 29.5%72,6141.1%Finance
Cisco Systems, Inc. stock logo
CSCO
Cisco Systems
$3,043,265$5,210 -0.2%51,4060.9%Computer and Technology
Vanguard High Dividend Yield ETF stock logo
VYM
Vanguard High Dividend Yield ETF
$2,792,875$158,725 -5.4%21,8890.9%ETF
Genuine Parts stock logo
GPC
Genuine Parts
$2,612,739$12,143 -0.5%22,3770.8%Retail/Wholesale
McDonald's Co. stock logo
MCD
McDonald's
$2,481,6030.0%8,5600.8%Retail/Wholesale
The Coca-Cola Company stock logo
KO
Coca-Cola
$2,308,443$14,943 -0.6%37,0770.7%Consumer Staples
Franklin Resources, Inc. stock logo
BEN
Franklin Resources
$2,191,188$5,925 -0.3%107,9940.7%Finance
International Business Machines Co. stock logo
IBM
International Business Machines
$2,156,312$29,018 -1.3%9,8090.7%Computer and Technology
Haleon plc stock logo
HLN
Haleon
$2,145,731$60,312 -2.7%224,9190.7%Medical
The Procter & Gamble Company stock logo
PG
Procter & Gamble
$1,512,3710.0%9,0210.5%Consumer Staples
Johnson & Johnson stock logo
JNJ
Johnson & Johnson
$1,446,1880.0%10,0000.4%Medical
SOLVENTUM CORP
$1,114,102$22,460 -2.0%16,8650.3%COM SHS
Sanofi stock logo
SNY
Sanofi
$1,099,282$8,296 -0.7%22,7920.3%Medical
Lockheed Martin Co. stock logo
LMT
Lockheed Martin
$940,7800.0%1,9360.3%Aerospace
Colgate-Palmolive stock logo
CL
Colgate-Palmolive
$806,8260.0%8,8750.3%Consumer Staples
Kellanova stock logo
K
Kellanova
$708,973$2,672 -0.4%8,7560.2%Consumer Discretionary
Warner Bros. Discovery, Inc. stock logo
WBD
Warner Bros. Discovery
$677,981$31,139 -4.4%64,1420.2%Consumer Discretionary
Emerson Electric Co. stock logo
EMR
Emerson Electric
$617,543$19,457 -3.1%4,9830.2%Industrial Products
The TJX Companies, Inc. stock logo
TJX
TJX Companies
$504,618$1,450 0.3%4,1770.2%Retail/Wholesale
Public Service Enterprise Group Incorporated stock logo
PEG
Public Service Enterprise Group
$473,060$86,264 -15.4%5,5990.1%Utilities
Vanguard Real Estate ETF stock logo
VNQ
Vanguard Real Estate ETF
$440,2330.0%4,9420.1%ETF
Accenture plc stock logo
ACN
Accenture
$381,6040.0%1,0850.1%Computer and Technology
Viatris Inc. stock logo
VTRS
Viatris
$325,318$747 -0.2%26,1300.1%Medical
Bank of America Co. stock logo
BAC
Bank of America
$258,4550.0%5,8810.1%Finance
CVS Health Co. stock logo
CVS
CVS Health
$202,9480.0%4,5210.1%Retail/Wholesale
JPMorgan Chase & Co. stock logo
JPM
JPMorgan Chase & Co.
$0$267,370 -100.0%00.0%Finance

Showing largest 100 holdings. View all holdings.
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