AUXIER ASSET MANAGEMENT - Q4 2020 holdings

$539 Million is the total value of AUXIER ASSET MANAGEMENT's 157 reported holdings in Q4 2020. The portfolio turnover from Q3 2020 to Q4 2020 was 1.2% .

 Value Shares↓ Weighting
UNH SellUnitedHealth Group Inc.$30,837,000
+12.2%
87,934
-0.2%
5.72%
-0.4%
MSFT SellMicrosoft Corp.$27,835,000
+5.5%
125,144
-0.2%
5.17%
-6.4%
MDT SellMedtronic PLCfor$16,854,000
+12.6%
143,882
-0.1%
3.13%
-0.1%
PEP SellPepsico Inc.$15,645,000
+6.4%
105,493
-0.6%
2.90%
-5.6%
ANTM SellAnthem, Inc.$15,595,000
+19.4%
48,569
-0.1%
2.89%
+6.0%
JNJ SellJohnson & Johnson$14,156,000
+5.4%
89,948
-0.3%
2.63%
-6.5%
KR SellKroger Co.$12,014,000
-6.3%
378,261
-0.0%
2.23%
-16.9%
ZBH SellZimmer Biomet Holdings$10,580,000
+11.3%
68,664
-1.7%
1.96%
-1.3%
BK SellBank of New York Mellon Corp$10,171,000
+23.4%
239,654
-0.2%
1.89%
+9.5%
V SellVisa, Inc.$9,429,000
+9.1%
43,107
-0.3%
1.75%
-3.2%
ABT SellAbbott Laboratories$9,393,000
+0.1%
85,793
-0.5%
1.74%
-11.2%
TRV SellThe Travelers Companies Inc.$8,555,000
+29.5%
60,948
-0.2%
1.59%
+14.9%
WMT SellWal Mart Stores$7,717,000
+2.8%
53,537
-0.2%
1.43%
-8.8%
GOOGL SellAlphabet, Inc Voting Class$7,545,000
+19.5%
4,305
-0.0%
1.40%
+6.1%
HD SellHome Depot Inc.$7,040,000
-4.5%
26,503
-0.2%
1.31%
-15.3%
KO SellCoca-Cola Company$6,637,000
+11.0%
121,031
-0.1%
1.23%
-1.5%
LYB SellLyondellBasell Industries N.V.for$6,500,000
+29.7%
70,918
-0.3%
1.21%
+15.1%
CERN SellCerner Corporation$6,342,000
+8.5%
80,815
-0.1%
1.18%
-3.8%
GLW SellCorning Inc$6,050,000
+9.0%
168,051
-1.8%
1.12%
-3.2%
BRKB SellBerkshire Hathaway Inc. Class$6,051,000
+8.4%
26,098
-0.4%
1.12%
-3.8%
DISCA SellDiscovery,Inc. Series A$5,827,000
+37.0%
193,650
-0.9%
1.08%
+21.6%
UN SellUnilever PCL ADRfor$5,586,000
-0.2%
92,548
-0.2%
1.04%
-11.4%
LOW SellLowes Companies$5,552,000
-3.4%
34,590
-0.2%
1.03%
-14.3%
CMCSA SellComcast Corp Cl A$5,228,000
+12.9%
99,767
-0.3%
0.97%
+0.2%
AAPL SellApple, Inc.$5,134,000
+14.5%
38,695
-0.0%
0.95%
+1.7%
BKNG SellBooking Holdings Inc.$4,904,000
+30.1%
2,202
-0.1%
0.91%
+15.5%
DGX SellQuest Diagnostics Inc.$4,405,000
+4.0%
36,965
-0.1%
0.82%
-7.8%
MMC SellMarsh & McLennan Co.$4,287,000
+1.6%
36,637
-0.4%
0.80%
-9.8%
BP SellBP p.l.c.for$4,192,000
+16.7%
204,279
-0.7%
0.78%
+3.6%
DD SellDuPont de Nemours, Inc$4,099,000
+27.7%
57,643
-0.4%
0.76%
+13.2%
PAYX SellPaychex Inc.$4,072,000
+16.2%
43,700
-0.5%
0.76%
+3.1%
PG SellProcter & Gamble Co.$3,902,000
+0.0%
28,045
-0.1%
0.72%
-11.3%
CE SellCelanese Corp$3,868,000
+20.3%
29,765
-0.5%
0.72%
+6.8%
FDX SellFedex Corp$3,740,000
+2.7%
14,405
-0.5%
0.69%
-8.8%
COST SellCostco Wholesale Corp$3,623,000
+5.1%
9,617
-1.0%
0.67%
-6.8%
CTSH SellCognizant Technology Solutions$3,601,000
+16.3%
43,943
-1.5%
0.67%
+3.1%
VLO SellValero Energy Corp.$3,505,000
+30.4%
61,957
-0.2%
0.65%
+15.7%
BEN SellFranklin Resources Inc.$3,303,000
+21.7%
132,168
-0.9%
0.61%
+7.9%
DOW SellDow Inc.$3,244,000
+17.7%
58,443
-0.2%
0.60%
+4.5%
PFE SellPfizer Inc.$3,130,000
+0.2%
85,026
-0.1%
0.58%
-11.0%
DIS SellThe Walt Disney Co.$3,001,000
+45.6%
16,562
-0.3%
0.56%
+29.2%
AMX SellAmerica Movil ADRfor$2,809,000
+13.9%
193,194
-2.1%
0.52%
+1.0%
CS SellCredit Suisse Group ADRfor$2,728,000
+28.0%
213,123
-0.3%
0.51%
+13.5%
MCD SellMcDonalds Corp$2,591,000
-2.4%
12,073
-0.2%
0.48%
-13.3%
CSCO SellCisco Sys Inc.$2,412,000
+13.1%
53,896
-0.4%
0.45%
+0.4%
NKE SellNike Inc Class B$2,268,000
+9.1%
16,030
-3.1%
0.42%
-3.2%
CTVA SellCorteva, Inc.$2,261,000
+33.9%
58,387
-0.4%
0.42%
+19.0%
VZ SellVerizon Communications$2,200,000
-1.8%
37,446
-0.5%
0.41%
-12.8%
MDLZ SellMondelez International, Inc.$2,193,000
-0.2%
37,511
-1.9%
0.41%
-11.5%
UNP SellUnion Pacific Corp$2,182,000
+5.7%
10,477
-0.1%
0.40%
-6.2%
GSK SellGlaxo SmithKline PLCfor$2,065,000
-2.5%
56,106
-0.2%
0.38%
-13.5%
DEO SellDiageo PLC ADRfor$1,982,000
+14.7%
12,479
-0.6%
0.37%
+1.9%
UNM SellUnum Group$1,630,000
+35.7%
71,072
-0.4%
0.30%
+20.3%
TGH SellTextainer Group Holdings Limitfor$1,533,000
+35.2%
79,950
-0.2%
0.28%
+19.8%
MOS SellThe Mosaic Company$1,521,000
+25.7%
66,106
-0.2%
0.28%
+11.5%
TT SellTrane Technologies PLCfor$1,496,000
+19.1%
10,305
-0.5%
0.28%
+5.7%
ADP SellAutomatic Data Processing$1,443,000
+24.1%
8,187
-1.8%
0.27%
+10.3%
WAFD SellWashington Federal$1,189,000
+22.6%
46,212
-0.6%
0.22%
+8.9%
COP SellConocoPhillips$1,193,000
+20.9%
29,844
-0.7%
0.22%
+7.3%
TEF SellTelefonica S.A. ADRfor$1,073,000
+4.2%
265,527
-11.3%
0.20%
-7.4%
T SellAT & T, Inc. New$1,074,000
-1.3%
37,331
-2.2%
0.20%
-12.7%
AXP SellAmerican Express Co.$1,035,000
+19.2%
8,558
-1.2%
0.19%
+5.5%
HRB SellH & R Block Inc.$998,000
-3.8%
62,917
-1.2%
0.18%
-14.7%
CAG SellConAgra Foods Inc.$960,000
+1.2%
26,475
-0.4%
0.18%
-10.1%
GILD SellGilead Sciences Inc.$821,000
-15.9%
14,098
-8.8%
0.15%
-25.5%
LW SellLamb Weston Holdings$747,000
+18.6%
9,484
-0.3%
0.14%
+5.3%
WU SellWestern Union Company$604,000
+1.2%
27,531
-1.1%
0.11%
-10.4%
XOM SellExxon Mobil Corp$566,000
+17.9%
13,735
-1.7%
0.10%
+5.0%
ALK SellAlaska Air Group Inc.$528,000
+25.4%
10,145
-11.7%
0.10%
+11.4%
KHC SellThe Kraft Heinz Company$428,000
+14.7%
12,349
-0.9%
0.08%
+1.3%
KDP SellKeurig Dr. Pepper Inc.$424,000
+14.6%
13,249
-1.1%
0.08%
+2.6%
AGCO SellAGCO Corp$428,000
+24.1%
4,150
-10.8%
0.08%
+9.7%
MAN SellManpowerGroup Inc.$390,000
+20.7%
4,325
-1.7%
0.07%
+5.9%
LUMN SellLumen Technologies, Inc.$390,000
-6.0%
39,950
-2.9%
0.07%
-17.2%
WW SellWW International, Inc.$354,000
+28.7%
14,497
-0.7%
0.07%
+13.8%
DAL SellDelta Airlines - New$342,000
-11.6%
8,500
-32.8%
0.06%
-22.2%
HPQ SellHP Inc.$295,000
+25.5%
11,984
-3.1%
0.06%
+12.2%
LH SellLaboratory Corp. of America$280,000
+7.7%
1,375
-0.4%
0.05%
-3.7%
PH SellParker-Hannifin Corp.$271,000
+12.0%
995
-16.7%
0.05%
-2.0%
GE SellGeneral Electric Co.$242,000
+71.6%
22,433
-0.7%
0.04%
+55.2%
HPE SellHewlett Packard Enterprise Co.$148,000
+18.4%
12,481
-6.6%
0.03%
+3.8%
LYG SellLloyds TSB Group$32,000
+28.0%
16,500
-15.4%
0.01%
+20.0%
DNKN ExitDunkin Brands Group, Inc.$0-4,825
-100.0%
-0.08%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2021-03-05
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
UnitedHealth Group Inc.42Q3 20238.0%
Microsoft Corp.42Q3 20236.5%
Philip Morris International42Q3 20234.9%
Pepsico Inc.42Q3 20233.6%
Kroger Co.42Q3 20233.9%
Bank of New York Mellon Corp42Q3 20233.2%
Johnson & Johnson42Q3 20233.0%
Mastercard Inc.42Q3 20233.7%
Merck & Co.Inc. New42Q3 20232.4%
Molson Coors Brewing Co42Q3 20234.0%

View AUXIER ASSET MANAGEMENT's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-22
13F-HR2023-11-21
13F-HR2023-08-17
13F-HR2023-05-15
13F-HR2023-02-17
13F-HR2022-11-15
13F-HR2022-08-11
13F-HR2022-05-17
13F-HR2022-03-01
13F-HR2021-11-18

View AUXIER ASSET MANAGEMENT's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (538848000.0 != 538846000.0)

Export AUXIER ASSET MANAGEMENT's holdings