13F

Investor

UNITED BANK

CIK 0001286478 · filed 2026-05-11 · SEC filing

13F book

$780.8M

Positions

121

5 new · 12 sold

Largest name

18.0%

Hubbell Inc · HUBB

Est. mark

$36.1M

Price effect on 116 names still held. Flow −$12.4M.
NameTickerSharesValueWeightEst. markChange
Hubbell IncHUBB285.9K$140.3M18.0%$13.3MHeld
Ishares Tr362.7K$45.1M5.8%$1.5MCut−$2.08M
Ishares Tr343.1K$34.1M4.4%−$194.1KAdded$2.28M
Apple Inc.AAPL117.5K$29.8M3.8%−$2.12MCut−$2.88M
United Bankshares Inc West V710.7K$29.4M3.8%$2.15MCut$2.05M
Jpmorgan Chase & Co.98.2K$28.9M3.7%−$2.76MCut−$2.82M
Microsoft CorpMSFT68.7K$25.4M3.3%−$7.78MAdded−$7.73M
Corning Inc167.1K$22.7M2.9%$8.09MCut$2.28M
Chevron Corp NewCVX90.3K$18.7M2.4%$4.92MCut$4.1M
Cisco Sys Inc187.4K$14.5M1.9%$104.9KCut−$755.8K
Iron Mtn Inc Del141.6K$14.5M1.9%$2.72MCut$2.11M
Johnson & JohnsonJNJ57.7K$14.1M1.8%$2.16MCut$972.3K
Amgen IncAMGN36.3K$12.8M1.6%$890.1KCut$378.5K
Cummins IncCMI23.1K$12.5M1.6%$638.1KCut−$1.52M
Dover CorpDOV58.1K$12.1M1.6%$767.7KCut$293.4K
Waste Mgmt Inc Del52.3K$12M1.5%$526.8KCut$306.9K
Mcdonalds CorpMCD38.5K$12M1.5%$198.8KCut$119.3K
Eog Res Inc81.7K$11.8M1.5%$3.04MAdded$3.73M
Procter And Gamble CoPG77.9K$11.3M1.4%$83.7KAdded$629.6K
General Dynamics CorpGD32.3K$11.1M1.4%$211.9KCut−$642.2K
Abbott LabsABT105.8K$10.9M1.4%−$2.19MAdded−$1.26M
Texas Instrs Inc52.3K$10.2M1.3%$1.08MCut$908.2K
Air Prods & Chems Inc34.2K$9.94M1.3%$1.45MAdded$1.67M
Pepsico IncPEP62.1K$9.65M1.2%$681.9KAdded$1.33M
BlackRock, Inc.BLK9.73K$9.35M1.2%−$1.05MAdded−$943.1K
Exxon Mobil Corp54.1K$9.18M1.2%$2.67MCut$2.47M
Cme Group Inc.CME30.2K$8.91M1.1%$671.8KCut$527.3K
Honeywell Intl Inc38.3K$8.67M1.1%$1.18MAdded$1.2M
Gilead Sciences, Inc.GILD62.1K$8.66M1.1%$1.03MCut$698.4K
Ishares Tr76.2K$8.62M1.1%−$773.5KCut−$5.85M
Hershey CoHSY41K$8.53M1.1%$1.06MCut$753K
Lockheed Martin CorpLMT13.9K$8.39M1.1%$1.68MCut$1.02M
Vanguard Index Fds28.8K$8.27M1.1%−$87.5KCut−$231.2K
Ishares Tr72.3K$7.98M1.0%$17.3KCut−$39.7K
Aflac IncAFL72.7K$7.97M1.0%−$38.1KAdded$472.2K
American Wtr Wks Co Inc New56.6K$7.71M1.0%$277.8KAdded$1.22M
Illinois Tool Wks Inc29.4K$7.64M1.0%$390.7KAdded$764.2K
Vanguard Index Fds80.7K$7.16M0.9%$16.4KAdded$251.5K
Visa Inc.V21.7K$6.55M0.8%−$196.9KAdded$5.12M
Ishares Tr118.5K$6.23M0.8%−$33.4KAdded$712.4K
Atmos Energy CorpATO27.4K$5.07M0.6%New
Stryker CorpSYK15.1K$4.98M0.6%New
Vanguard Index Fds15K$4.81M0.6%−$216.9KCut−$1.44M
Kla CorpKLAC3.26K$4.8M0.6%$838.6KCut$46.4K
Vanguard Index Fds17.5K$4.57M0.6%$69.3KCut−$150.2K
Coca Cola CoKO50.1K$3.81M0.5%$307.3KCut$249.7K
Nvidia CorpNVDA19.6K$3.41M0.4%−$236.9KCut−$452.5K
Ishares Tr31.1K$3.13M0.4%$115.2KAdded$142.9K
Tesla, Inc.TSLA7.9K$2.94M0.4%−$615.8KCut−$643.7K
Vanguard Index Fds13.7K$2.69M0.3%$71.4KCut−$452.9K
Ishares Tr24.7K$2.4M0.3%$22.4KAdded$444.6K
Spdr S&P 500 Etf Tr3.64K$2.37M0.3%−$114.9KCut−$2.22M
Vanguard Growth Etf4.57K$2M0.3%−$233.6KHeld
Amazon Com IncAMZN9.14K$1.9M0.2%−$206KCut−$432.9K
Vanguard Bd Index Fds22.2K$1.72M0.2%−$15.6KHeld
Ishares Inc21.1K$1.66M0.2%$126KCut−$1.25M
Eli Lilly & CoLLY1.79K$1.64M0.2%−$275.1KAdded−$265.9K
American Elec Pwr Co Inc12.4K$1.63M0.2%$196.1KHeld
Alphabet Inc5.59K$1.6M0.2%−$150.7KCut−$198.7K
AbbVie Inc.ABBV7.21K$1.57M0.2%−$79.3KCut−$127.5K
Vanguard Star Fds20K$1.54M0.2%$33.4KHeld
Alphabet Inc5.16K$1.48M0.2%−$131.2KCut−$231.7K
Verizon Communications IncVZ29.1K$1.46M0.2%$275.5KCut$247.4K
At&T Inc44.2K$1.28M0.2%$183.3KCut$181.7K
Ishares Tr2.98K$1.27M0.2%−$139.6KCut−$316.1K
Truist Finl Corp27K$1.24M0.2%−$87.5KHeld
Pfizer IncPFE42.6K$1.2M0.2%$135.1KAdded$138.6K
Ishares Tr11K$1.16M0.1%−$10.5KCut−$16.9K
Southern Co11.5K$1.11M0.1%$107.3KCut$82.5K
Bristol-Myers Squibb Co18.1K$1.1M0.1%$121.4KHeld
Applovin CorpAPP2.57K$1.02M0.1%−$708.9KHeld
Walmart Inc.WMT8.15K$1.01M0.1%$104.9KCut−$28.9K
Meta Platforms, Inc.META1.7K$974.3K0.1%−$149.8KCut−$231.6K
Home Depot, Inc.HD2.96K$974.2K0.1%−$45.1KCut−$103.5K
Micron Technology IncMU2.67K$902K0.1%$140KHeld
Spdr Dow Jones Indl Average1.94K$900.4K0.1%−$33.8KHeld
Vanguard Bd Index Fds11K$865.2K0.1%−$4.41KHeld
Vanguard Index Fds2.77K$837.2K0.1%$389Cut−$459.1K
Duke Energy Corp New6.3K$825.6K0.1%$86.6KCut$58.4K
Ishares Tr8.67K$785.2K0.1%$8.05KAdded$112.3K
Altria Group, Inc.MO11.2K$739.4K0.1%$93.3KCut$53K
Consolidated Edison IncED6.45K$730K0.1%$89.4KHeld
Ishares Tr10.8K$727.1K0.1%$16.5KCut−$391.1K
Ge Aerospace2.37K$672.3K0.1%−$57.5KHeld
Ishares Tr996$650.6K0.1%−$31.6KHeld
Allstate Corp3K$622K0.1%−$2.43KHeld
Nextera Energy Inc6.64K$617K0.1%$83.7KCut$25K
Morgan Stanley3.74K$614.8K0.1%−$48.4KCut−$184.1K
Quest Diagnostics IncDGX3.12K$612.2K0.1%$70.1KCut−$51.3K
Merck & Co., Inc.MRK4.55K$547.7K0.1%$68.4KCut$66.1K
Spdr S&P Midcap 400 Etf Tr858$529.2K0.1%$11.6KCut−$89.2K
GE Vernova Inc.GEV592$516.8K0.1%$129.8KHeld
3M COMMM3.37K$488.8K0.1%−$50.1KHeld
Intel CorpINTC10.8K$476.1K0.1%$78KHeld
Advanced Micro Devices IncAMD2.11K$429.6K0.1%New
Costco Whsl Corp New424$422.5K0.1%$53.9KAdded$75.8K
Caterpillar IncCAT550$389.7K0.1%New
Asml Holding N V290$383K0.0%$72.8KHeld
Etf Ser Solutions3.55K$380.5K0.0%−$8.37KCut−$103.4K
Comcast Corp New13.2K$378.4K0.0%−$15.6KHeld
Bank America Corp7.71K$376.1K0.0%−$48.2KCut−$65.3K
PJT Partners Inc.PJT2.67K$373.8K0.0%−$73.5KHeld
Ishares Tr12.3K$373.3K0.0%−$7.88KHeld
Ishares Tr4.02K$372.6K0.0%−$5.71KCut−$192.3K
Trevi Therapeutics, Inc.TRVI31.2K$372.2K0.0%−$18.4KHeld
Ishares Tr2.4K$363.2K0.0%$24.6KHeld
L3harris Technologies Inc994$343.1K0.0%$51.3KCut−$82.6K
Deere & CoDE599$337.4K0.0%$58.5KHeld
Ishares Tr3.38K$328.6K0.0%$3.24KCut−$11.9K
Ishares Tr1.91K$322.2K0.0%$153Held
Mastercard IncMA642$320.8K0.0%−$45.7KHeld
Wells Fargo Co New4K$318.4K0.0%−$54.4KHeld
Dominion Energy, IncD5.09K$314.9K0.0%$16.5KCut−$25.5K
Ishares Bitcoin Trust EtfIBIT6.69K$257.1K0.0%−$75.2KHeld
Berkshire Hathaway Inc Del521$249.7K0.0%−$11.9KAdded−$4.68K
Vanguard Index Fds794$237.3K0.0%−$12.7KCut−$148.7K
Cincinnati Finl Corp1.4K$220.8K0.0%−$8.38KHeld
Vanguard Index Fds1K$217.3K0.0%$5.46KHeld
Zevra Therapeutics, Inc.ZVRA10.6K$98.5K0.0%New
Cardiff Oncology, Inc.CRDF22.4K$36.3K0.0%−$26.7KHeld
GENELUX CorpGNLX12.1K$29.2K0.0%−$23.4KHeld

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.