13F

Investor

EDMP, INC.

CIK 0001016021 · filed 2026-04-28 · SEC filing

13F book

$123.7M

Positions

71

7 new · 4 sold

Largest name

7.7%

Broadcom Inc. · AVGO

Est. mark

$601.3K

Price effect on 64 names still held. Flow $1.43M.
NameTickerSharesValueWeightEst. markChange
Broadcom Inc.AVGO30.8K$9.53M7.7%−$1.13MCut−$1.49M
Amgen IncAMGN15.5K$5.46M4.4%$381.1KCut$333.6K
AbbVie Inc.ABBV24.5K$5.34M4.3%−$269.8KCut−$347.4K
Altria Group, Inc.MO77.3K$5.1M4.1%$644.1KCut$571.2K
Omega Healthcare Invs Inc112.3K$4.92M4.0%−$58.4KCut−$139.8K
Aflac IncAFL42.3K$4.64M3.8%−$23.7KCut−$95.1K
Omnicom Group Inc.OMC61.3K$4.63M3.7%−$86.9KAdded$3.3M
Ugi Corp New118.4K$4.31M3.5%−$119.6KCut−$154.8K
Ameriprise Finl Inc7.25K$3.22M2.6%−$326.4KAdded−$260.2K
National Fuel Gas CoNFG33.5K$3.15M2.5%$465.7KCut$445.6K
Truist Finl Corp65.3K$3M2.4%−$211.5KCut−$224.6K
Chevron Corp NewCVX14.1K$2.91M2.4%$767.5KCut$686.3K
Sonoco Prods Co53.8K$2.91M2.4%New
At&T Inc99K$2.87M2.3%$411KCut$375K
Cencora, Inc.COR9K$2.83M2.3%−$212.4KCut−$430.3K
Eastman Chem Co36.2K$2.76M2.2%$452.2KCut$426.3K
BorgWarner IncBWA48.4K$2.63M2.1%$430.2KAdded$521.7K
Realty Income CorpO42.5K$2.6M2.1%$204.5KCut$99.5K
Verizon Communications IncVZ47.3K$2.37M1.9%$425.1KAdded$543.8K
Enterprise Prods Partners L58.1K$2.2M1.8%$336KCut$285.5K
Bristol-Myers Squibb Co35.9K$2.18M1.8%$241KCut$235.8K
Cummins IncCMI3.93K$2.11M1.7%$108.3KCut−$184.7K
Eversource EnergyES29.1K$2.01M1.6%$56.7KCut$22.4K
Oge Energy Corp.OGE40.8K$1.96M1.6%$214.8KCut$207K
Elevance Health Inc Formerly6.62K$1.94M1.6%−$382.6KCut−$389.2K
Ebay IncEBAY20.2K$1.84M1.5%$79.4KAdded$79.4K
Pepsico IncPEP11.6K$1.8M1.5%$136.8KCut$122.8K
Cigna GroupCI6.43K$1.71M1.4%−$48.8KAdded$132.6K
Amazon Com IncAMZN7.97K$1.66M1.3%−$170KAdded−$79.4K
Cisco Sys Inc21.4K$1.66M1.3%$12KCut−$60.4K
Royal Bk Cda9.89K$1.6M1.3%−$86.2KHeld
Citigroup Inc13.4K$1.52M1.2%−$43.7KAdded−$34.5K
Amdocs LtdDOX23K$1.5M1.2%−$310KAdded−$137K
Assurant Inc6.82K$1.49M1.2%−$157.2KHeld
3M COMMM9.82K$1.43M1.2%−$145.9KCut−$261.2K
Cognizant Technology Solutio21.5K$1.32M1.1%−$451.4KAdded−$413.9K
Magna Intl Inc20.9K$1.17M0.9%$52.6KCut$34.4K
Fedex CorpFDX2.94K$1.05M0.8%$198.1KCut$58.3K
NetApp, Inc.NTAP10.2K$1.05M0.8%−$48.1KAdded−$47.9K
Super Micro Computer Inc43.7K$995.5K0.8%−$273KAdded−$233.8K
Smucker J M Co9.92K$957K0.8%−$13.5KAdded−$4.11K
Medical Pptys Trust IncMPT197.5K$914.5K0.7%−$73.1KCut−$109.5K
Genpact Limited22.8K$852.4K0.7%New
Prudential Finl Inc7.76K$757.7K0.6%−$117.8KCut−$123.1K
Stifel Finl Corp9.73K$719K0.6%−$332.9KAdded−$93.7K
Target CorpTGT5.88K$712.4K0.6%$124.6KAdded$193.1K
Global Pmts Inc9.86K$663.6K0.5%−$93.3KAdded−$51K
Best Buy Co IncBBY9.81K$630.1K0.5%−$20.7KAdded$121.5K
Conagra Brands Inc.CAG39.8K$625.5K0.5%−$56.9KAdded$6.31K
Crown Hldgs Inc5.92K$593.7K0.5%−$16.1KHeld
Community Tr Bancorp Inc9.5K$577.1K0.5%$32.3KAdded$144.9K
Arrow Finl Corp14.2K$477.9K0.4%$30.9KHeld
Jpmorgan Chase & Co.1.54K$454.6K0.4%−$39.7KAdded−$2.65K
Comcast Corp New15.8K$453.4K0.4%−$17.4KAdded$13.4K
Fiserv IncFISV8.1K$452.1K0.4%New
Nvidia CorpNVDA2.42K$421.7K0.3%New
Archer-Daniels-Midland CoADM5.6K$407.1K0.3%$85.1KHeld
Chubb Limited1.05K$343.9K0.3%$14.6KHeld
First Solar, Inc.FSLR1.62K$319.2K0.3%−$76.1KAdded$8.3K
Timken CoTKR3.14K$315.7K0.3%$51.6KCut−$101.8K
Pfizer IncPFE11.2K$313.8K0.3%$35.5KCut$16.2K
Lear CorpLEA2.5K$302.9K0.2%$11.8KAdded$93.5K
Meta Platforms, Inc.META496$283.7K0.2%New
Travelers Companies, Inc.TRV945$275.6K0.2%$1.53KHeld
British Amern Tob Plc4.24K$247.9K0.2%$7.84KHeld
Pulte Group Inc2.09K$245.9K0.2%$732Held
Raymond James Finl Inc1.66K$240.6K0.2%−$26.3KHeld
Jabil IncJBL893$237.1K0.2%$33.6KHeld
Micron Technology IncMU661$223.3K0.2%New
Western Un Co20.1K$175.2K0.1%−$10.4KAdded$8.51K
Dnp Select Income Fd Inc12.3K$126.4K0.1%New

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.