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Richard C. Young & CO., LTD.

Q3 2025 · 13F-HR

Richard C. Young & CO., LTD.holdings as filed

Filed 2025-11-12 · accession 0001387304-25-000007

$1.08B
Reported value
91
Positions
2025-09-30
Period end
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The Brief · Richard C. Young & CO., LTD. · Q3 2025

AI · grounded in 13F

Richard C. Young & CO., LTD. established a new position in World Gold TR GLDM1USD valued at $49.8M. The fund also initiated new stakes in Broadcom Inc AVGO for $44.4M and SPDR Gold Trust GLD for $43.6M. Additional new positions include Nvidia Corporation NVDA at $34.9M and Alphabet Inc GOOGL at $32M.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
98149E204GLDMWorld Gold TR$49.8M4.62%650,874CommonNONE
11135F101AVGOBroadcom Inc$44.4M4.13%134,653CommonNONE
78463V107GLDSPDR Gold Trust$43.6M4.05%122,710CommonNONE
67066G104NVDANvidia Corporation$34.9M3.24%186,824CommonNONE
02079K305GOOGLAlphabet Inc$32.0M2.97%131,577CommonNONE
68389X105ORCLOracle Corp$29.9M2.78%106,334CommonNONE
92826C839VVisa Inc$29.2M2.72%85,637CommonNONE
46428Q109SLViShares Silver Trust$25.8M2.40%609,624CommonNONE
149123101CATCaterpillar Inc Del$24.7M2.30%51,811CommonNONE
00206R102TAT&T Inc$23.5M2.18%831,530CommonNONE
30303M102METAMeta Platforms Inc$22.4M2.08%30,509CommonNONE
46625H100JPMJPMorgan Chase & Co$22.2M2.06%70,442CommonNONE
24703L202DELLDell Technologies Inc$21.7M2.01%152,781CommonNONE
842587107SOSouthern Co$21.2M1.97%223,975CommonNONE
502431109LHXL3 Harris Technologies Inc$21.1M1.96%69,063CommonNONE
023135106AMZNAmazon Com Inc$20.9M1.94%95,269CommonNONE
037833100AAPLApple Inc$20.7M1.92%81,280CommonNONE
49456B101KMIKinder Morgan Inc Del$20.6M1.92%729,420CommonNONE
594918104MSFTMicrosoft Corp$20.6M1.92%39,832CommonNONE
459200101IBMInternational Business Machs$20.3M1.89%72,094CommonNONE
931142103WMTWal-Mart Stores Inc$20.2M1.87%195,795CommonNONE
30231G102XOMExxon Mobil Corp$20.2M1.87%178,726CommonNONE
053015103ADPAutomatic Data Processing In$19.9M1.85%67,958CommonNONE
969457100WMBWilliams Cos Inc$19.6M1.82%310,061CommonNONE
02209S103MOAltria Group Inc$18.9M1.75%285,716CommonNONE
655844108NSCNorfolk Southern Corp$18.8M1.75%62,601CommonNONE
548661107LOWLowes Cos Inc$18.3M1.70%72,756CommonNONE
742718109PGProcter & Gamble Co$18.1M1.68%117,835CommonNONE
693475105PNCPNC Finl Svcs Group Inc$17.0M1.58%84,463CommonNONE
92343V104VZVerizon Communications Inc$16.1M1.50%366,853CommonNONE
231021106CMICummins Inc$16.1M1.49%38,076CommonNONE
166764100CVXChevron Corp New$16.0M1.49%103,288CommonNONE
291011104EMREmerson Elec Co$15.8M1.47%120,726CommonNONE
882508104TXNTexas Instrs Inc$14.9M1.39%81,250CommonNONE
478160104JNJJohnson & Johnson$13.9M1.29%74,877CommonNONE
532457108LLYEli Lilly & Co$13.9M1.29%18,185CommonNONE
91913Y100VLOValero Energy Corp$13.8M1.28%81,041CommonNONE
580135101MCDMcDonalds Corp$13.4M1.24%44,102CommonNONE
92537N108VRTVertiv Holdings Co$13.3M1.23%87,900CommonNONE
718546104PSXPhillips 66$13.0M1.21%95,538CommonNONE
369550108GDGeneral Dynamics Corp$12.7M1.18%37,245CommonNONE
717081103PFEPfizer Inc$11.4M1.06%446,417CommonNONE
191216100KOCoca Cola Co$11.3M1.05%170,927CommonNONE
859241101STRLSterling Infrastructure Inc$10.6M0.99%31,306CommonNONE
22160K105COSTCostco WHSL Corp New$10.6M0.99%11,475CommonNONE
501044101KRKroger Co$10.3M0.96%153,101CommonNONE
437076102HDHome Depot Inc$9.8M0.91%24,246CommonNONE
020002101ALLAllstate Corp$9.4M0.87%43,810CommonNONE
666807102NOCNorthrop Grumman Corp$9.2M0.85%15,029CommonNONE
65339F101NEENextera Energy Inc$7.7M0.72%102,135CommonNONE
452308109ITWIllinois Tool WKS Inc$7.5M0.70%28,830CommonNONE
032654105ADIAnalog Devices Inc$7.5M0.70%30,507CommonNONE
253393102DKSDicks Sporting Goods Inc$7.1M0.66%32,071CommonNONE
349553107FTSFortis Inc$7.0M0.65%137,845CommonNONE
747525103QCOMQualcomm Inc$6.8M0.64%41,162CommonNONE
00287Y109ABBVAbbvie Inc$6.1M0.57%26,427CommonNONE
87612E106TGTTarget Corp$5.4M0.50%60,472CommonNONE
26441C204DUKDuke Energy Corp New$5.3M0.49%42,689CommonNONE
316092865FUTYFidelity Covington Trust$4.2M0.39%73,630CommonNONE
009158106APDAir Products & Chems Inc$4.1M0.38%15,071CommonNONE
921946406VYMVanguard Whitehall FDS INC$4.1M0.38%28,979CommonNONE
907818108UNPUnion Pac Corp$4.0M0.37%20,923CommonNONE
084670108BRK/ABerkshire Hathaway Inc Del$3.8M0.35%5CommonNONE
003264108SIVRAberdeen STD Silver ETF TR$2.7M0.25%60,111CommonNONE
773903109ROKRockwell Automation Inc$2.2M0.20%6,201CommonNONE
92939U106WECWEC Energy Group Inc$1.7M0.15%14,417CommonNONE
921908844VIGVanguard Group$1.6M0.15%7,294CommonNONE
194162103CLColgate Palmolive Co$1.4M0.13%17,551CommonNONE
80105N105SNYSanofi$1.3M0.12%28,122CommonNONE
922042775VEUVanguard INTL Equity Index F$894,5520.08%12,534CommonNONE
92204A207VDCVanguard World FDS$735,7480.07%3,442CommonNONE
922908769VTIVanguard Index FDS$572,7250.05%1,745CommonNONE
874039100TSMTaiwan Semiconductor Mfg Ltd$558,7200.05%2,001CommonNONE
88160R101TSLATesla Inc$522,5130.05%1,175CommonNONE
88579Y101MMM3M Co$517,1200.05%3,322CommonNONE
084670702BRK/BBerkshire Hathaway Inc Del$480,7900.04%956CommonNONE
09260D107BXBlackstone Inc$476,9430.04%2,792CommonNONE
09290D101BLKBlackrock Inc$446,9970.04%383CommonNONE
316092600FHLCFidelity Covington Trust$398,1580.04%5,954CommonNONE
85208R101CEFSprott Physical Gold & Silve$390,1960.04%10,635CommonNONE
713448108PEPPepsico Inc$389,7850.04%2,775CommonNONE
458140100INTCIntel Corp$319,9950.03%9,538CommonNONE
007903107AMDAdvanced Micro Devices Inc$310,1510.03%1,917CommonNONE
02079K107GOOGAlphabet Inc$308,5060.03%1,267CommonNONE
651639106NEMNewmont Corp$265,9780.02%3,155CommonNONE
75513E101RTXRTX Corporation$254,4890.02%1,521CommonNONE
29670G102WTRGEssential Utils Inc$245,5090.02%6,153CommonNONE
00162Q452AMLPALPS ETF TR$225,4910.02%4,805CommonNONE
595112103MUMicron Technology Inc$208,0320.02%1,243CommonNONE
494368103KMBKimberly-Clark Corp$207,8470.02%1,672CommonNONE
539830109LMTLockheed Martin Corp$205,6480.02%412CommonNONE

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.