InvestInfoAI
Kentucky Farm Bureau Mutual Insurance Co

Q2 2019 · 13F-HR

Kentucky Farm Bureau Mutual Insurance Coholdings as filed

Filed 2026-05-15 · accession 0001104659-26-062369

$238.0M
Reported value
84
Positions
2019-06-30
Period end
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The Brief · Kentucky Farm Bureau Mutual Insurance Co · Q2 2019

AI · grounded in 13F

Kentucky Farm Bureau Mutual Insurance Co closed its position in 3M CO MMM, reducing exposure by $2.08M. The fund also exited positions in KELLOGG CO K for $860.7K and LIVENT CORP for $229.7K. To add to the portfolio, the fund established a new position in ASHLAND GLOBAL HLDGS ASH valued at $1.6M and trimmed its holding in UNITEDHEALTH GROUP I UNH by 11.76%.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
78462F103SPYSPDR S&P 500 ETF TR$31.6M13.3%108,000CommonSOLE
46090E103QQQINVESCO QQQ TR$23.0M9.65%123,000CommonSOLE
92826C839VVISA INC$5.2M2.19%30,000CommonSOLE
883556102TMOTHERMO FISHER SCIENT$5.0M2.10%17,000CommonSOLE
81369Y803XLKSELECT SECTOR SPDR T$4.7M1.97%60,000CommonSOLE
037833100AAPLAPPLE INC$4.0M1.66%20,000CommonSOLE
91324P102UNHUNITEDHEALTH GROUP I$3.7M1.54%15,000CommonSOLE
097023105BABOEING CO$3.6M1.53%10,000CommonSOLE
539830109LMTLOCKHEED MARTIN CORP$3.6M1.53%10,000CommonSOLE
46625H100JPMJPMORGAN CHASE & CO$3.6M1.50%32,000CommonSOLE
907818108UNPUNION PACIFIC CORP$3.6M1.49%21,000CommonSOLE
478160104JNJJOHNSON & JOHNSON$3.5M1.46%25,000CommonSOLE
171484108CHDNCHURCHILL DOWNS INC$3.5M1.45%30,000CommonSOLE
57636Q104MAMASTERCARD INC$3.4M1.44%13,000CommonSOLE
594918104MSFTMICROSOFT CORP$3.3M1.41%25,000CommonSOLE
921943858VEAVANGUARD TAX MANAGED$3.1M1.31%75,000CommonSOLE
437076102HDHOME DEPOT INC$3.1M1.31%15,000CommonSOLE
166764100CVXCHEVRON CORP NEW$3.1M1.31%25,000CommonSOLE
254687106DISDISNEY WALT CO$3.1M1.29%22,000CommonSOLE
G96629103WTWWILLIS TOWERS WATSON$2.9M1.21%15,000CommonSOLE
235851102DHRDANAHER CORPORATION$2.9M1.20%20,000CommonSOLE
654106103NKENIKE INC$2.7M1.13%32,000CommonSOLE
58933Y105MRKMERCK & CO INC$2.7M1.12%31,718CommonSOLE
03027X100AMTAMERICAN TOWER CORP$2.7M1.12%13,000CommonSOLE
22160K105COSTCOSTCO WHSL CORP NEW$2.6M1.11%10,000CommonSOLE
913017109UTXZUNITED TECHNOLOGIES$2.6M1.09%20,000CommonSOLE
464287697IDUISHARES TR$2.6M1.08%17,000CommonSOLE
030420103AWKAMERICAN WTR WKS CO$2.6M1.07%22,000CommonSOLE
192446102CTSHCOGNIZANT TECHNOLOGY$2.5M1.07%40,000CommonSOLE
413875105HRSEURHARRIS CORP DEL$2.5M1.03%13,000CommonSOLE
34959J108FTVFORTIVE CORP$2.4M1.03%30,000CommonSOLE
79466L302CRMSALESFORCE COM INC$2.4M1.02%16,000CommonSOLE
00724F101ADBEADOBE INC$2.4M0.99%8,000CommonSOLE
922042858VWOVANGUARD INTL EQUITY$2.3M0.98%55,000CommonSOLE
30303M102METAFACEBOOK INC$2.3M0.97%12,000CommonSOLE
11135F101AVGOBROADCOM INC$2.3M0.97%8,000CommonSOLE
693475105PNCPNC FINL SVCS GROUP$2.3M0.95%16,500CommonSOLE
036752103ELVANTHEM INC$2.3M0.95%8,000CommonSOLE
548661107LOWLOWES COS INC$2.2M0.93%22,000CommonSOLE
81369Y605XLFSELECT SECTOR SPDR T$2.2M0.93%80,000CommonSOLE
922042874VGKVANGUARD INTL EQUITY$2.2M0.92%40,000CommonSOLE
G5960L103MDTMEDTRONIC PLC$2.1M0.90%22,000CommonSOLE
31428X106FDXFEDEX CORP$2.1M0.90%13,000CommonSOLE
855244109SBUXSTARBUCKS CORP$2.1M0.88%25,000CommonSOLE
580135101MCDMCDONALDS CORP$2.1M0.87%10,000CommonSOLE
149123101CATCATERPILLAR INC DEL$2.0M0.86%15,000CommonSOLE
256677105DGDOLLAR GEN CORP NEW$2.0M0.85%15,000CommonSOLE
872540109TJXTJX COS INC NEW$2.0M0.84%38,000CommonSOLE
78464A698KRESPDR SERIES TRUST$1.9M0.79%35,000CommonSOLE
031162100AMGNAMGEN INC$1.8M0.77%10,000CommonSOLE
14040H105COFCAPITAL ONE FINL COR$1.8M0.76%20,000CommonSOLE
755111507RTN1USDRAYTHEON CO$1.7M0.73%10,000CommonSOLE
30231G102XOMEXXON MOBIL CORP$1.7M0.72%22,300CommonSOLE
023135106AMZNAMAZON COM INC$1.7M0.72%900CommonSOLE
56585A102MPCMARATHON PETE CORP$1.7M0.70%30,000CommonSOLE
115637209BF/BBROWN FORMAN CORP$1.7M0.70%30,000CommonSOLE
20825C104COPCONOCOPHILLIPS$1.7M0.70%27,214CommonSOLE
988498101YUMYUM BRANDS INC$1.7M0.70%15,000CommonSOLE
302491303FMCF M C CORP$1.7M0.70%20,000CommonSOLE
742718109PGPROCTER AND GAMBLE C$1.6M0.69%15,000CommonSOLE
044186104ASHASHLAND GLOBAL HLDGS$1.6M0.67%20,000CommonSOLE
81369Y100XLBSELECT SECTOR SPDR T$1.6M0.66%26,700CommonSOLE
277432100EMNEASTMAN CHEMICAL CO$1.6M0.65%20,000CommonSOLE
191216100KOCOCA COLA CO$1.5M0.64%30,000CommonSOLE
19248C105LDPCOHEN & STEERS LTD D$1.5M0.63%60,000CommonSOLE
68389X105ORCLORACLE CORP$1.4M0.60%25,000CommonSOLE
02079K305GOOGLALPHABET INC$1.4M0.59%1,300CommonSOLE
27579R104EWBCEAST WEST BANCORP IN$1.4M0.59%30,000CommonSOLE
521865204LEALEAR CORP$1.4M0.59%10,000CommonSOLE
01609W102BABAALIBABA GROUP HLDG L$1.4M0.57%8,000CommonSOLE
00206R102TAT&T INC$1.3M0.56%40,000CommonSOLE
26441C204DUKDUKE ENERGY CORP NEW$1.3M0.56%15,000CommonSOLE
285512109EAELECTRONIC ARTS INC$1.3M0.55%13,000CommonSOLE
713448108PEPPEPSICO INC$1.3M0.55%10,000CommonSOLE
81369Y506XLESELECT SECTOR SPDR T$1.3M0.54%20,000CommonSOLE
17275R102CSCOCISCO SYS INC$1.3M0.53%23,000CommonSOLE
525327102LDOSLEIDOS HLDGS INC$1.2M0.50%15,000CommonSOLE
949746101WMT2WELLS FARGO CO NEW$1.2M0.50%25,000CommonSOLE
08579W103BERYEURBERRY GLOBAL GROUP I$1.2M0.49%22,000CommonSOLE
902973304USBUS BANCORP DEL$1.0M0.44%20,000CommonSOLE
718172109PMPHILIP MORRIS INTL I$1.0M0.43%13,000CommonSOLE
002824100ABTABBOTT LABS$1.0M0.42%12,000CommonSOLE
70450Y103PYPLPAYPAL HLDGS INC$915,6800.38%8,000CommonSOLE
464287515IGVISHARES TR$655,3800.28%3,000CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.