UNITED BANK, INC.

data from 30/09/2017

Capitalization

$ 251.577 M 5.83 %

Average holding period

27 ans

Performance

$ 72.554 M 22 570.88 %

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in UNITED BANK, INC.

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2017/09/30 UBSI UNITED BANKSHARES INC 14.53% 36.545 M $ 983710 2001/12/31 -1.813 M $ -5.23 %
2017/09/30 HUBB HUBBELL INC 12.31% 30.973 M $ 266964 2015/12/31 760.847 K $ 2.52 %
2017/09/30 IJH ISHARES 5.14% 12.923 M $ 72235 2017/03/31 321.245 K $ 2.85 %
2017/09/30 AAPL APPLE INC 3.57% 8.992 M $ 58349 2011/03/31 584.539 K $ 7.00 %
2017/09/30 DOW DOWDUPONT INC 2.92% 7.354 M $ 106213 2017/09/30 0.000 $ 0.00 %
2017/09/30 ABT ABBOTT LABORATORIES 2.81% 7.076 M $ 132607 2001/12/31 625.247 K $ 9.77 %
2017/09/30 CVX CHEVRON CORPORATION 2.81% 7.070 M $ 60172 2001/12/31 782.429 K $ 12.62 %
2017/09/30 MSFT MICROSOFT CORP 2.80% 7.034 M $ 94423 2001/12/31 521.316 K $ 8.07 %
2017/09/30 T AT&T INC 2.76% 6.945 M $ 177286 2005/12/31 247.202 K $ 3.79 %
2017/09/30 UPS UNITED PARCEL SERVICE INC 2.48% 6.232 M $ 51892 2011/03/31 486.257 K $ 8.59 %
2017/09/30 IP INTERNATIONAL PAPER COMPANY 2.33% 5.857 M $ 103093 2014/09/30 21.338 K $ 0.37 %
2017/09/30 CSCO CISCO SYSTEMS INC 2.32% 5.835 M $ 173490 2001/12/31 398.746 K $ 7.44 %
2017/09/30 RTN RAYTHEON 2.17% 5.463 M $ 29279 2016/03/31 734.576 K $ 15.54 %
2017/09/30 UNP UNION PACIFIC 2.14% 5.381 M $ 46402 2016/03/31 323.227 K $ 6.48 %
2017/09/30 AMGN AMGEN INC 2.09% 5.250 M $ 28160 2015/06/30 396.467 K $ 8.26 %
2017/09/30 MCD MCDONALDS CORP 1.95% 4.901 M $ 31282 2011/06/30 55.404 K $ 2.30 %
2017/09/30 CTRA CABOT OIL & GAS CORP 1.81% 4.547 M $ 169964 2012/06/30 280.272 K $ 6.66 %
2017/09/30 MRK MERCK & CO INC 1.80% 4.517 M $ 70548 2009/12/31 -4.374 K $ -0.10 %
2017/09/30 VTI VANGUARD 1.65% 4.149 M $ 32031 2016/03/31 165.063 K $ 4.07 %
2017/09/30 XOM EXXON MOBIL CORP 1.64% 4.117 M $ 50217 2001/12/31 63.003 K $ 1.55 %
2017/09/30 QCOM QUALCOMM INC. 1.62% 4.083 M $ 78766 2011/12/31 -256.403 K $ -6.12 %
2017/09/30 BB&T CORP 1.30% 3.260 M $ 69460 2001/12/31 104.884 K $ 3.32 %
2017/09/30 HFC HOLLYFRONTIER CORP 1.21% 3.038 M $ 84469 2013/09/30 725.305 K $ 30.94 %
2017/09/30 PG PROCTER & GAMBLE CO 1.20% 3.028 M $ 33285 2001/12/31 127.581 K $ 4.39 %
2017/09/30 JNJ JOHNSON & JOHNSON 0.95% 2.378 M $ 18299 2001/12/31 -41.721 K $ -1.72 %
2017/09/30 SPY SPDR 0.91% 2.301 M $ 9160 2014/09/30 86.378 K $ 3.90 %
2017/09/30 JPM JPMORGAN CHASE & CO 0.89% 2.251 M $ 23576 2001/12/31 96.897 K $ 4.50 %
2017/09/30 BIV VANGUARD 0.87% 2.183 M $ 25789 2016/03/31 3.407 K $ 0.15 %
2017/09/30 APD AIR PRODS & CHEMS INC 0.80% 2.018 M $ 13342 2013/06/30 108.870 K $ 5.70 %
2017/09/30 MMM 3M CO 0.79% 1.997 M $ 9514 2002/06/30 13.617 K $ 0.69 %
2017/09/30 VXUS VANGUARD 0.70% 1.771 M $ 32360 2016/03/31 90.781 K $ 5.31 %
2017/09/30 IJR ISHARES 0.66% 1.655 M $ 22300 2005/12/31 15.453 K $ 5.85 %
2017/09/30 D DOMINION ENERGY INC. 0.53% 1.324 M $ 17212 2001/12/31 5.163 K $ 0.39 %
2017/09/30 MDY SPDR S&P MIDCAP 400 ETF TR 0.48% 1.196 M $ 3665 2010/03/31 31.922 K $ 2.74 %
2017/09/30 PFE PFIZER INC 0.47% 1.171 M $ 32805 2001/12/31 68.942 K $ 6.27 %
2017/09/30 PM PHILIP MORRIS INTL INC 0.45% 1.126 M $ 10142 2008/06/30 -68.064 K $ -5.48 %
2017/09/30 F FORD MOTOR 0.45% 1.123 M $ 93783 2014/03/31 335.333 K $ 6.97 %
2017/09/30 KO COCA COLA CO 0.44% 1.116 M $ 24795 2001/12/31 3.967 K $ 0.36 %
2017/09/30 GE GENERAL ELECTRIC CORP 0.42% 1.056 M $ 43685 2001/12/31 -76.819 K $ -6.52 %
2017/09/30 IWM ISHARES 0.41% 1.027 M $ 6932 2013/03/31 50.326 K $ 5.15 %
2017/09/30 FTS FORTIS INC. 0.40% 1.017 M $ 28423 2016/12/31 17.622 K $ 1.76 %
2017/09/30 BSV VANGUARD 0.40% 1.010 M $ 12659 2016/03/31 -385.000 $ -0.04 %
2017/09/30 HON HONEYWELL INTL INC 0.40% 1.006 M $ 7101 2010/03/31 59.285 K $ 6.26 %
2017/09/30 ROK ROCKWELL AUTOMATION INC. 0.37% 934.000 K $ 5245 2013/06/30 85.231 K $ 10.03 %
2017/09/30 PRU PRUDENTIAL FINANCIAL INC 0.35% 881.000 K $ 8281 2012/06/30 -16.907 K $ -1.68 %
2017/09/30 INTC INTEL CORP 0.34% 864.000 K $ 22709 2001/12/31 97.689 K $ 12.85 %
2017/09/30 ABBV ABBVIE INC 0.34% 859.000 K $ 9670 2013/03/31 158.104 K $ 22.55 %
2017/09/30 HD HOME DEPOT INC 0.33% 818.000 K $ 4996 2013/03/31 54.061 K $ 6.63 %
2017/09/30 NRP NATURAL RESOURCE PARTNERS LP 0.32% 796.000 K $ 32162 2016/03/31 -90.053 K $ -10.16 %
2017/09/30 MO ALTRIA GROUP INC 0.31% 788.000 K $ 12419 2003/03/31 -139.351 K $ -14.84 %
2017/09/30 IWF ISHARES 0.30% 750.000 K $ 6000 2017/06/30 36.240 K $ 5.08 %
2017/09/30 GLW CORNING INC 0.29% 731.000 K $ 24448 2013/06/30 -3.178 K $ -0.43 %
2017/09/30 GOOG ALPHABET INC 0.24% 609.000 K $ 635 2015/12/31 32.004 K $ 5.55 %
2017/09/30 UNITED TECHNOLOGIES CORP 0.23% 575.000 K $ 4957 2001/12/31 -29.989 K $ -4.96 %
2017/09/30 OC OWENS CORNING INC 0.22% 564.000 K $ 7287 2013/06/30 76.003 K $ 15.57 %
2017/09/30 GOOGL ALPHABET INC 0.22% 562.000 K $ 577 2015/12/31 25.503 K $ 4.75 %
2017/09/30 V VISA INC 0.22% 554.000 K $ 5261 2015/09/30 63.362 K $ 12.23 %
2017/09/30 VNQ VANGUARD 0.22% 554.000 K $ 6671 2009/12/31 -889.000 $ -0.17 %
2017/09/30 DUK DUKE ENERGY CORP 0.21% 531.000 K $ 6339 2012/09/30 2.091 K $ 0.39 %
2017/09/30 PPG PPG INDUSTRIES INC 0.21% 525.000 K $ 4834 2009/09/30 -6.462 K $ -1.18 %
2017/09/30 VZ VERIZON COMMUNICATIONS INC 0.20% 503.000 K $ 10170 2001/12/31 51.009 K $ 10.83 %
2017/09/30 CELG CELGENE CORP 0.20% 493.000 K $ 3386 2013/09/30 54.006 K $ 12.27 %
2017/09/30 IWR ISHARES 0.19% 480.000 K $ 2434 2013/03/31 12.267 K $ 2.62 %
2017/09/30 CHCO CITY HOLDING CO 0.19% 473.000 K $ 6567 2001/12/31 39.664 K $ 9.16 %
2017/09/30 DVY ISHARES 0.18% 465.000 K $ 4965 2015/06/30 6.847 K $ 1.56 %
2017/09/30 IBB ISHARES 0.17% 440.000 K $ 1318 2010/12/31 30.999 K $ 7.58 %
2017/09/30 DIA SPDR DOW JONES INDUST AVERAGE 0.17% 435.000 K $ 1944 2015/09/30 20.567 K $ 4.96 %
2017/09/30 TIP ISHARES 0.17% 431.000 K $ 3795 2015/06/30 554.000 $ 0.13 %
2017/09/30 KHC THE KRAFT HEINZ CO 0.17% 424.000 K $ 5477 2015/09/30 -45.935 K $ -9.45 %
2017/09/30 VV VANGUARD 0.17% 420.000 K $ 3636 2013/03/31 15.925 K $ 3.94 %
2017/09/30 CSX CSX CORP 0.17% 419.000 K $ 7715 2016/09/30 -2.314 K $ -0.55 %
2017/09/30 AR ANTERO RESOURCES CORP 0.16% 407.000 K $ 20458 2017/06/30 -34.983 K $ -7.91 %
2017/09/30 QQQ POWERSHARES 0.15% 378.000 K $ 2600 2013/09/30 20.306 K $ 5.67 %
2017/09/30 VB VANGUARD 0.15% 374.000 K $ 2650 2013/03/31 15.317 K $ 4.27 %
2017/09/30 BMY BRISTOL MYERS SQUIBB CO 0.15% 374.000 K $ 5865 2001/12/31 47.037 K $ 14.38 %
2017/09/30 ED CONSOLIDATED EDISON INC 0.15% 371.000 K $ 4600 2010/12/31 -659.000 $ -0.17 %
2017/09/30 PFBI PREMIER FINANCIAL BANKCORP INC 0.15% 370.000 K $ 17000 2016/03/31 20.017 K $ 5.72 %
2017/09/30 IBM IBM CORP 0.14% 364.000 K $ 2508 2001/12/31 -21.905 K $ -5.67 %
2017/09/30 NKE NIKE INC 0.14% 349.000 K $ 6733 2013/06/30 -50.593 K $ -12.13 %
2017/09/30 BRK-B BERKSHIRE HATHAWAY INC 0.14% 340.000 K $ 1856 2011/12/31 28.499 K $ 8.24 %
2017/09/30 MDLZ MONDELEZ INTERNATIONAL INC 0.13% 339.000 K $ 8333 2012/12/31 -21.864 K $ -5.86 %
2017/09/30 NFG NATIONAL FUEL GAS CO 0.13% 331.000 K $ 5852 2012/06/30 4.506 K $ 1.38 %
2017/09/30 CTSH COGNIZANT TECH SOLUTIONS CORP 0.13% 330.000 K $ 4555 2016/12/31 29.072 K $ 9.26 %
2017/09/30 PEP PEPSICO INC 0.13% 329.000 K $ 2956 2001/12/31 -12.001 K $ -3.52 %
2017/09/30 DIS WALT DISNEY CO 0.13% 326.000 K $ 3305 2016/06/30 -25.382 K $ -7.23 %
2017/09/30 GIS GENERAL MILLS INC 0.13% 322.000 K $ 6229 2013/06/30 -26.313 K $ -6.58 %
2017/09/30 META FACEBOOK INC 0.13% 320.000 K $ 1872 2016/03/31 37.234 K $ 13.16 %
2017/09/30 IWV ISHARES 0.13% 316.000 K $ 2115 2013/03/31 11.124 K $ 3.65 %
2017/09/30 AFL AFLAC INC 0.13% 316.000 K $ 3888 2013/06/30 14.463 K $ 4.79 %
2017/09/30 ALL ALLSTATE CORP 0.13% 315.000 K $ 3426 2017/03/31 11.888 K $ 3.92 %
2017/09/30 PRICELINE GROUP INC 0.12% 314.000 K $ 172 2017/03/31 -7.569 K $ -2.24 %
2017/09/30 IWS ISHARES 0.12% 312.000 K $ 3670 2010/03/31 3.082 K $ 1.00 %
2017/09/30 SO SOUTHERN CO 0.12% 309.000 K $ 6300 2002/12/31 7.937 K $ 2.64 %
2017/09/30 ADP AUTOMATIC DATA PROCESSING INC 0.12% 300.000 K $ 2739 2001/12/31 18.789 K $ 6.71 %
2017/09/30 TROW T ROWE PRICE GROUP INC 0.12% 290.000 K $ 3195 2012/06/30 56.635 K $ 22.12 %
2017/09/30 ADM ARCHER DANIELS MIDLAND CO 0.11% 289.000 K $ 6809 2014/03/31 8.462 K $ 2.73 %
2017/09/30 NSC NORFOLK SOUTHERN CORP 0.11% 288.000 K $ 2179 2012/03/31 22.966 K $ 8.67 %
2017/09/30 AMZN AMAZON.COM INC 0.11% 287.000 K $ 299 2016/06/30 -1.973 K $ -0.68 %
2017/09/30 KLAC KLA TENCOR CORP 0.11% 273.000 K $ 2571 2011/12/31 37.253 K $ 15.79 %
2017/09/30 USB US BANCORP 0.10% 255.000 K $ 4767 2016/12/31 7.960 K $ 3.21 %