WEIK CAPITAL MANAGEMENT - Q4 2020 holdings

$223 Million is the total value of WEIK CAPITAL MANAGEMENT's 111 reported holdings in Q4 2020. The portfolio turnover from Q3 2020 to Q4 2020 was 1.5% .

 Value Shares↓ Weighting
MSFT SellMicrosoft Corp.$17,604,000
+5.1%
79,146
-0.6%
7.89%
-3.5%
BRKB SellBerkshire Hathaway B$12,872,000
+7.7%
55,515
-1.1%
5.77%
-1.2%
PGR SellProgressive Corp.$10,540,000
+3.8%
106,597
-0.6%
4.72%
-4.7%
TJX SellTJX Companies$10,445,000
+22.1%
152,951
-0.5%
4.68%
+12.0%
NSRGY SellNestle Reg ADR$8,721,000
-1.5%
74,029
-0.3%
3.91%
-9.6%
GOOG SellAlphabet Inc. Cl C$8,232,000
+17.0%
4,699
-1.9%
3.69%
+7.4%
CMCSA SellComcast Corp. A$6,478,000
+11.7%
123,629
-1.3%
2.90%
+2.5%
JNJ SellJohnson & Johnson$6,069,000
+4.8%
38,564
-0.9%
2.72%
-3.9%
WMT SellWalmart Inc.$5,669,000
+2.1%
39,330
-0.9%
2.54%
-6.3%
DEO SellDiageo PLC ADR$5,478,000
+15.3%
34,496
-0.1%
2.45%
+5.8%
MHK SellMohawk Industries$4,263,000
+42.1%
30,243
-1.7%
1.91%
+30.4%
DIS SellDisney (Walt)$4,245,000
+42.4%
23,430
-2.5%
1.90%
+30.7%
COST SellCostco Wholesale$4,055,000
+4.3%
10,761
-1.7%
1.82%
-4.3%
MLM SellMartin Marietta Matrls.$3,956,000
+17.8%
13,932
-2.3%
1.77%
+8.1%
TIF SellTiffany & Company$3,687,000
-4.9%
28,050
-16.2%
1.65%
-12.7%
UNH SellUnitedHealth Group$3,666,000
+9.5%
10,455
-2.7%
1.64%
+0.4%
CTAS SellCintas Corp.$3,653,000
+6.0%
10,335
-0.2%
1.64%
-2.7%
LBRDK SellLiberty Broadband C$3,554,000
+7.0%
22,438
-3.5%
1.59%
-1.8%
MA SellMastercard, Inc.$3,549,000
+5.1%
9,943
-0.4%
1.59%
-3.6%
KO SellCoca-Cola Co.$3,539,000
+11.0%
64,540
-0.0%
1.59%
+1.9%
HD SellHome Depot$3,463,000
-5.4%
13,038
-1.0%
1.55%
-13.2%
AAPL SellApple Inc.$2,949,000
+14.5%
22,225
-0.1%
1.32%
+5.0%
UNP SellUnion Pacific$2,712,000
+4.8%
13,025
-1.0%
1.22%
-3.9%
WFC SellWells Fargo$2,596,000
+16.0%
86,008
-9.6%
1.16%
+6.5%
ORLY SellO'Reilly Automotive$2,401,000
-4.8%
5,305
-3.0%
1.08%
-12.6%
LSXMK SellLiberty Sirius C$2,310,000
+28.4%
53,102
-2.3%
1.04%
+17.9%
FB SellFacebook, Inc. Cl A$2,256,000
-2.6%
8,260
-6.6%
1.01%
-10.6%
JPM SellJPMorgan Chase$2,074,000
+25.5%
16,320
-4.9%
0.93%
+15.1%
POOL SellPool Corp.$2,049,000
+2.1%
5,500
-8.3%
0.92%
-6.3%
BA SellBoeing Co.$1,765,000
+23.7%
8,246
-4.5%
0.79%
+13.5%
MDLZ SellMondelez Int'l$1,696,000
-3.9%
29,000
-5.6%
0.76%
-11.7%
WY SellWeyerhaeuser Co.$1,637,000
+17.1%
48,809
-0.4%
0.73%
+7.3%
SCHP SellSchwab US TIPS ETFetf$1,542,000
-6.5%
24,840
-7.2%
0.69%
-14.3%
AMZN SellAmazon.com, Inc.$1,498,000
+1.9%
460
-1.5%
0.67%
-6.5%
IAC SellIAC/InterActiveCorp.$1,484,000
+52.4%
7,835
-3.6%
0.66%
+39.7%
THO SellThor Industries$1,325,000
-3.7%
14,245
-1.4%
0.59%
-11.6%
CVS SellCVS Health$1,262,000
+15.4%
18,480
-1.4%
0.56%
+5.8%
PG SellProcter & Gamble$1,189,000
-2.1%
8,545
-2.3%
0.53%
-10.1%
MSGS SellMSG Sports$1,137,000
+21.1%
6,178
-1.0%
0.51%
+11.1%
TRV SellTravelers, Inc.$1,121,000
+27.4%
7,985
-1.8%
0.50%
+16.7%
FDX SellFedEx Corp.$859,000
-0.8%
3,310
-3.9%
0.38%
-9.0%
BAC SellBank of America$847,000
+24.4%
27,950
-1.1%
0.38%
+13.8%
PEP SellPepsiCo, Inc.$776,000
+5.7%
5,230
-1.2%
0.35%
-2.8%
STZ SellConstellation Brands$751,000
+12.3%
3,430
-2.8%
0.34%
+2.8%
PSX SellPhillips 66$739,000
+28.1%
10,560
-5.1%
0.33%
+17.4%
GPC SellGenuine Parts$737,000
+5.1%
7,340
-0.3%
0.33%
-3.5%
XRAY SellDentsply Sirona$686,000
+6.5%
13,095
-11.1%
0.31%
-2.2%
MSGE SellMSG Entertainment$659,000
+51.8%
6,278
-1.0%
0.30%
+39.2%
GS SellGoldman Sachs$659,000
+25.8%
2,500
-4.0%
0.30%
+15.2%
HRC SellHill-Rom Holdings$656,000
+13.1%
6,695
-3.6%
0.29%
+3.9%
SCHF SellSchwab Int'l Equity ETFetf$545,000
+11.9%
15,135
-2.4%
0.24%
+2.5%
GPN SellGlobal Payments Inc$495,000
+11.5%
2,300
-8.0%
0.22%
+2.3%
DISCK SellDiscovery Comm. C$493,000
+25.1%
18,832
-6.4%
0.22%
+15.1%
SONY SellSony Corp.$479,000
+24.7%
4,740
-5.3%
0.22%
+15.0%
INTC SellIntel Corp.$461,000
-6.7%
9,245
-3.1%
0.21%
-14.1%
AXP SellAmerican Express$461,000
+15.5%
3,810
-4.4%
0.21%
+6.2%
BFB SellBrown Forman B$452,000
+4.6%
5,687
-0.9%
0.20%
-3.8%
ACN SellAccenture PLC$436,000
-3.8%
1,670
-16.7%
0.20%
-11.8%
GNMA SelliShares GNMA ETFetf$431,000
-18.2%
8,460
-18.0%
0.19%
-24.9%
SCHX SellSchwab Large-Cap ETFetf$379,000
-89.0%
4,170
-2.3%
0.17%
-89.9%
FOX SellFox Corp. Cl B$377,000
-29.7%
13,050
-31.9%
0.17%
-35.5%
XOM SellExxonMobil Corp.$336,000
-6.9%
8,141
-22.5%
0.15%
-14.2%
AMLP SellAlerian MLP ETFetf$292,000
-4.6%
11,380
-25.6%
0.13%
-12.1%
GE SellGeneral Electric$132,000
+69.2%
12,200
-2.4%
0.06%
+55.3%
SCHZ ExitSchwab US Agg Bd ETFetf$0-4,960
-100.0%
-0.14%
Original filings

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

  • View 13F-HR filed 2021-02-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Berkshire Hathaway B42Q3 20238.3%
Microsoft Corp.42Q3 20239.4%
TJX Companies42Q3 20236.8%
Nestle Reg ADR42Q3 20234.8%
Progressive Corp.42Q3 20236.7%
Mohawk Industries42Q3 20234.6%
Berkshire Hathaway A42Q3 20233.7%
Johnson & Johnson42Q3 20233.2%
Diageo PLC ADR42Q3 20233.1%
Wal-Mart Stores42Q3 20233.1%

View WEIK CAPITAL MANAGEMENT's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-13
13F-HR2023-11-13
13F-HR2023-08-14
13F-HR2023-05-15
13F-HR2023-02-10
13F-HR2022-11-14
13F-HR2022-08-12
13F-HR2022-05-13
13F-HR2022-02-14
13F-HR2021-11-12

View WEIK CAPITAL MANAGEMENT's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (223208000.0 != 223207000.0)

Export WEIK CAPITAL MANAGEMENT's holdings