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R.H. Investment Group, LLC

All holdings · as of Jun 30, 2026

47 positions

CompanyClassValueShares% of portfolio
Philip Morris International Inc.$7.93M43,8546.0%
Alphabet Inc.$7.79M22,0545.9%
Walmart Inc.$7.08M62,5455.3%
TRAVELERS COMPANIES, INC.$6.66M20,1865.0%
JOHNSON & JOHNSON$6.58M25,9155.0%
Mastercard Inc$6.43M12,5234.8%
Apple Inc.$6.31M21,8124.8%
WELLS FARGO & COMPANY/MN$5.76M69,6564.3%
Warren E. Buffett$5.60M11,2004.2%
AMGEN INC$5.24M14,4773.9%
US BANCORP \DE$5.06M83,7843.8%
ConocoPhillips$4.99M47,9983.8%
ENTERPRISE PRODUCTS PARTNERS L.P.EPDMLP$4.92M133,9653.7%
EXXON MOBIL CORP$4.83M35,3313.6%
THERMO FISHER SCIENTIFIC INC.$4.60M9,1683.5%
Union Pacific Corp$4.59M16,8903.5%
AUTOMATIC DATA PROCESSING INC$4.09M18,2823.1%
PROCTER & GAMBLE Co$3.83M26,0862.9%
UNITEDHEALTH GROUP INC$3.77M9,0662.8%
MCDONALD'S CORP$3.32M12,2942.5%
VANGUARD INDEX FDS$3.25M8,7912.5%
VANGUARD INDEX FDS$2.78M4,0432.1%
JPMORGAN CHASE & CO$2.42M7,3901.8%
DIAGEO PLC$2.17M27,0351.6%
Alphabet Inc.$2.05M5,7411.5%
VANGUARD BD INDEX FDS$1.40M28,1001.1%
ISHARES TR$1.32M10,5921.0%
ISHARES TR$1.25M5,1620.9%
SELECT SECTOR SPDR TR$825.7K4,3340.6%
VANGUARD STAR FDS$577.5K6,7550.4%
NVIDIA Corp$506.0K2,5290.4%
ISHARES TR$462.1K3,1560.3%
ISHARES TR$442.4K2,6880.3%
ISHARES TR$442.4K1,1230.3%
ISHARES TR$377.8K1,7080.3%
INVESCO QQQ TR$353.5K4800.3%
VERIZON COMMUNICATIONS INC$351.4K8,3000.3%
CrowdStrike Holdings, Inc.$325.9K4270.2%
Amazon.com Inc$306.5K1,2860.2%
ISHARES TR$301.9K9,9000.2%
Palantir Technologies Inc$291.7K2,5000.2%
PEPSICO INC$254.6K1,8800.2%
Axon Enterprise Inc$248.3K4430.2%
SOUTHERN CO$221.8K2,3170.2%
Tesla Inc$214.1K5090.2%
NATIONAL FUEL GAS CO$206.9K2,6800.2%
Gossamer Bio, Inc.$4.3K26,3000.0%
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