$369 Million is the total value of ARMSTRONG HENRY H ASSOCIATES INC's 35 reported holdings in Q2 2013. The portfolio turnover from Q1 2013 to Q2 2013 was - .
Value | Shares | ↓ Weighting | ||||||
---|---|---|---|---|---|---|---|---|
BRKA | New | Berkshire Hathaway | $80,591,000 | – | 478 | +100.0% | 21.85% | – |
JNJ | New | Johnson & Johnson | $37,100,000 | – | 432,098 | +100.0% | 10.06% | – |
MSFT | New | Microsoft | $34,315,000 | – | 993,347 | +100.0% | 9.30% | – |
CSCO | New | Cisco Systems | $32,549,000 | – | 1,337,539 | +100.0% | 8.83% | – |
LLTC | New | Linear Technology | $32,353,000 | – | 878,191 | +100.0% | 8.77% | – |
BRKB | New | Berkshire Hathaway | $29,309,000 | – | 261,874 | +100.0% | 7.95% | – |
PG | New | Procter & Gamble | $24,206,000 | – | 314,410 | +100.0% | 6.56% | – |
MCO | New | Moody's Corp | $20,295,000 | – | 333,082 | +100.0% | 5.50% | – |
WAG | New | Walgreen Co | $18,084,000 | – | 409,133 | +100.0% | 4.90% | – |
KO | New | Coca-Cola Co | $15,246,000 | – | 380,093 | +100.0% | 4.13% | – |
INTC | New | Intel Corp | $7,532,000 | – | 310,859 | +100.0% | 2.04% | – |
MDT | New | Medtronic | $7,439,000 | – | 144,522 | +100.0% | 2.02% | – |
XOM | New | ExxonMobile | $5,047,000 | – | 55,856 | +100.0% | 1.37% | – |
GE | New | General Electric | $4,186,000 | – | 180,488 | +100.0% | 1.14% | – |
WU | New | Western Union | $3,399,000 | – | 198,655 | +100.0% | 0.92% | – |
IBM | New | IBM | $2,990,000 | – | 15,643 | +100.0% | 0.81% | – |
MMM | New | 3M Company | $2,415,000 | – | 22,087 | +100.0% | 0.66% | – |
PEP | New | Pepsico | $1,587,000 | – | 19,408 | +100.0% | 0.43% | – |
ADP | New | Automatic Data | $1,535,000 | – | 22,297 | +100.0% | 0.42% | – |
DIS | New | Walt Disney Co | $1,206,000 | – | 19,099 | +100.0% | 0.33% | – |
ABBV | New | Abbvie Inc | $1,203,000 | – | 29,111 | +100.0% | 0.33% | – |
ABT | New | Abbott Labs | $1,089,000 | – | 31,211 | +100.0% | 0.30% | – |
CVX | New | Chevron Corp | $841,000 | – | 7,105 | +100.0% | 0.23% | – |
EMR | New | Emerson Elec | $788,000 | – | 14,450 | +100.0% | 0.21% | – |
AAPL | New | Apple Computer | $786,000 | – | 1,982 | +100.0% | 0.21% | – |
BPL | New | Buckeye Part | $396,000 | – | 5,650 | +100.0% | 0.11% | – |
VZ | New | Verizon Communications | $352,000 | – | 6,992 | +100.0% | 0.10% | – |
GOOGL | New | Google Inc | $292,000 | – | 332 | +100.0% | 0.08% | – |
MON | New | Monsanto | $283,000 | – | 2,860 | +100.0% | 0.08% | – |
PFE | New | Pfizer Inc | $255,000 | – | 9,094 | +100.0% | 0.07% | – |
RDSA | New | Royal Dutch Schell | $245,000 | – | 3,843 | +100.0% | 0.07% | – |
KMB | New | Kimberly Clark | $218,000 | – | 2,248 | +100.0% | 0.06% | – |
HPQ | New | Hewlett-Packard | $213,000 | – | 8,600 | +100.0% | 0.06% | – |
HSY | New | Hershey Foods | $214,000 | – | 2,400 | +100.0% | 0.06% | – |
T | New | Amer Tel & Tel | $204,000 | – | 5,761 | +100.0% | 0.06% | – |
Original filings
The following EDGAR filing(s) were analyzed to create this report:
- View 13F-HR filed 2013-07-23
Top long-term holdings
Name | Quarters owned | Latest quarter owned | Max weighting |
---|---|---|---|
BERKSHIRE HATHAWAY INC DEL | 45 | Q2 2024 | 36.8% |
MICROSOFT CORP | 45 | Q2 2024 | 31.1% |
BERKSHIRE HATHAWAY INC DEL | 45 | Q2 2024 | 14.5% |
JOHNSON & JOHNSON | 45 | Q2 2024 | 12.6% |
Procter & Gamble | 45 | Q2 2024 | 8.4% |
MOODYS CORP | 45 | Q2 2024 | 8.0% |
INTEL CORP | 45 | Q2 2024 | 4.9% |
Coca-Cola Company | 45 | Q2 2024 | 4.1% |
APPLE INC | 45 | Q2 2024 | 1.5% |
ExxonMobil Inc. | 45 | Q2 2024 | 1.4% |
View ARMSTRONG HENRY H ASSOCIATES INC's complete holdings history.
Latest filings
Type | Filed |
---|---|
N-PX/A | 2024-07-08 |
13F-HR/A | 2024-07-02 |
13F-HR | 2024-07-02 |
N-PX | 2024-07-02 |
13F-HR | 2024-04-11 |
13F-HR | 2024-01-11 |
13F-HR | 2023-10-16 |
13F-HR/A | 2023-07-10 |
13F-HR/A | 2023-07-10 |
13F-HR | 2023-07-10 |
View ARMSTRONG HENRY H ASSOCIATES INC's complete filings history.
All filings
- Holdings (13F-HR)
- Significant ownership (13-D/G)
- Insider transactions (4, 5, 6)
- Events (8-K)
- Shareholder votes (proxy)
View complete filings history.