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Virginia Wealth Management Group, Inc.

All holdings · as of Dec 31, 2025

56 positions

CompanyClassValueShares% of portfolio
BERKSHIRE HATHAWAY INC DEL$9.06M125.3%
JPMORGAN CHASE & CO$7.56M23,4684.4%
Apple Inc.$5.73M21,0663.3%
CISCO SYSTEMS, INC.$5.71M74,1033.3%
Chubb Ltd$5.67M18,1713.3%
MICROSOFT CORP$5.57M11,5113.3%
KINDER MORGAN, INC.$5.46M198,7763.2%
BlackRock, Inc.$5.36M5,0083.1%
ISHARES TR$5.11M200,5853.0%
QUALCOMM INC/DE$5.05M29,5273.0%
PEPSICO INC$4.91M34,2012.9%
DARDEN RESTAURANTS INC$4.90M26,6052.9%
ISHARES TR$4.87M200,5852.8%
ISHARES TR$4.86M200,5852.8%
SOUTHERN CO$4.76M54,6422.8%
ISHARES TR$4.69M200,5852.7%
Duke Energy Corp$4.63M39,5302.7%
AFLAC INC$4.58M41,5492.7%
ISHARES TR$4.43M200,8602.6%
MID AMERICA APARTMENT COMMUNITIES INC.$4.24M30,5032.5%
HERSHEY CO$4.01M22,0322.3%
MCDONALD'S CORP$3.99M13,0552.3%
Phillips 66$3.96M30,7182.3%
EMERSON ELECTRIC CO$3.96M29,8042.3%
CHEVRON CORP$3.91M25,6842.3%
Walmart Inc.$3.88M34,8692.3%
AMGEN INC$3.76M11,4882.2%
Markel Group Inc$3.46M1,6102.0%
STAG Industrial, Inc.$3.37M91,6512.0%
DOMINION ENERGY, INC$3.21M54,8731.9%
Medtronic plc$3.21M33,4631.9%
REALTY INCOME CORP$3.09M54,7321.8%
PROCTER & GAMBLE Co$3.01M21,0371.8%
VERIZON COMMUNICATIONS INC$2.84M69,6621.7%
HOME DEPOT, INC.$2.05M5,9641.2%
TARGET CORP$1.87M19,1741.1%
SPDR S&P 500 ETF TR$1.36M2,0000.8%
ANALOG DEVICES INC$1.36M5,0000.8%
Blackstone Inc$1.35M8,7850.8%
LOWES COMPANIES INC$830.1K3,4420.5%
ABBOTT LABORATORIES$797.5K6,3650.5%
Alphabet Inc.$688.6K2,2000.4%
COSTCO WHOLESALE CORP /NEW$543.3K6300.3%
CINTAS CORP$376.1K2,0000.2%
NVIDIA Corp$373.0K2,0000.2%
INVESCO EXCHANGE TRADED FD T$366.7K1,9140.2%
Alphabet Inc.$357.1K1,1380.2%
SPDR GOLD TR$352.7K8900.2%
EQUIFAX INC$325.5K1,5000.2%
Warren E. Buffett$268.4K5340.2%
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