Callahan Advisors, LLC - Q4 2020 holdings

$683 Million is the total value of Callahan Advisors, LLC's 138 reported holdings in Q4 2020. The portfolio turnover from Q3 2020 to Q4 2020 was 4.2% .

 Value Shares↓ Weighting
AAPL SellApple Computer Inc$35,788,000
+5.6%
269,709
-7.8%
5.24%
-5.5%
MSFT SellMicrosoft Corp$26,690,000
+2.5%
119,999
-3.0%
3.91%
-8.2%
GOOG SellAlphabet Inc Class C$21,620,000
+16.6%
12,341
-2.2%
3.16%
+4.4%
DIS SellDisney Walt Hldg Co$19,409,000
+43.3%
107,127
-1.9%
2.84%
+28.2%
FB SellFacebook Inc Class A$18,588,000
+2.3%
68,049
-1.9%
2.72%
-8.5%
UNH SellUnited Healthcare Cor$17,718,000
+9.6%
50,526
-2.5%
2.59%
-1.9%
JNJ SellJohnson & Johnson$17,513,000
+4.2%
111,281
-1.5%
2.56%
-6.8%
FDX SellFedEx Corporation$15,488,000
-5.8%
59,656
-8.7%
2.27%
-15.7%
PG SellProcter & Gamble Co$14,759,000
-1.3%
106,070
-1.4%
2.16%
-11.6%
LOW SellLowes Companies Inc$14,462,000
-6.9%
90,099
-3.8%
2.12%
-16.7%
PEP SellPepsico Incorporated$13,430,000
+5.7%
90,563
-1.2%
1.96%
-5.4%
INTC SellIntel Corp$13,369,000
-9.9%
268,338
-6.4%
1.96%
-19.4%
SYK SellStryker Corp$13,223,000
+16.9%
53,964
-0.6%
1.94%
+4.6%
NKE SellNike Inc Class B$12,526,000
+9.0%
88,542
-3.2%
1.83%
-2.4%
PFE SellPfizer Incorporated$12,249,000
-1.4%
332,758
-1.7%
1.79%
-11.8%
BRKB SellBerkshire Hathaway Cl B$11,402,000
+5.5%
49,176
-3.1%
1.67%
-5.5%
ABT SellAbbott Laboratories$11,345,000
-2.0%
103,619
-2.6%
1.66%
-12.4%
WMT SellWal-Mart Stores Inc$10,529,000
+2.3%
73,039
-0.7%
1.54%
-8.4%
BAM SellBrookfield Asset Mgmt$10,427,000
+24.8%
252,654
-0.0%
1.53%
+11.7%
CNI SellCanadian Natl Ry Co$9,708,000
-1.6%
88,371
-4.6%
1.42%
-11.9%
PAYX SellPaychex Inc$8,421,000
-2.2%
90,378
-16.2%
1.23%
-12.5%
CSCO SellCisco Systems Inc$8,279,000
+3.6%
185,014
-8.8%
1.21%
-7.2%
KMI SellKinder Morgan Inc$7,804,000
-1.8%
570,879
-11.5%
1.14%
-12.2%
SWKS SellSkyworks Solutions Inc$7,594,000
-0.4%
49,672
-5.2%
1.11%
-10.9%
ACN SellAccenture PLC CL A$7,539,000
+13.1%
28,862
-2.2%
1.10%
+1.2%
CAT SellCaterpillar Inc$7,335,000
+15.0%
40,300
-5.8%
1.07%
+2.9%
CVX SellChevron Corp$7,135,000
+16.4%
84,488
-0.8%
1.04%
+4.1%
D SellDominion Res Inc Va New$7,007,000
-11.0%
93,179
-6.6%
1.02%
-20.4%
DOW SellDow Chemical Company$6,761,000
+11.6%
121,817
-5.4%
0.99%
-0.1%
DLTR SellDollar Tree Inc$5,919,000
+16.4%
54,785
-1.6%
0.87%
+4.2%
DEO SellDiageo Plc New Adr$5,818,000
+5.0%
36,637
-9.0%
0.85%
-6.1%
DHR SellDanaher Corp Del$5,764,000
-3.0%
25,946
-6.0%
0.84%
-13.3%
XOM SellExxon Mobil Corporation$5,123,000
+17.5%
124,295
-2.1%
0.75%
+5.2%
ABTX SellAllegiance Bancshare$5,091,000
+41.1%
149,175
-3.4%
0.74%
+26.3%
CTAS SellCintas Corp$4,832,000
+5.9%
13,671
-0.3%
0.71%
-5.2%
BKNG SellBooking Holdings Inc$3,662,000
+27.7%
1,644
-1.9%
0.54%
+14.3%
ABBV SellAbbVie Inc$3,651,000
+22.1%
34,072
-0.2%
0.53%
+9.2%
IQV SellIqvia Holdings Inc$3,389,000
+12.7%
18,917
-0.8%
0.50%
+0.8%
ZTS SellZoetis Inc$3,009,000
-1.3%
18,181
-1.4%
0.44%
-11.8%
THO SellThor Industries Inc$2,670,000
-4.4%
28,713
-2.1%
0.39%
-14.4%
TJX SellT J X Cos Inc$2,517,000
+20.7%
36,864
-1.7%
0.37%
+7.9%
FISV SellFiserv Inc$1,982,000
+7.4%
17,410
-2.8%
0.29%
-4.0%
ETN SellEaton Corporation$1,761,000
-9.7%
14,660
-23.3%
0.26%
-19.1%
WLTW SellWillis Towers Watson$1,703,000
-19.6%
8,085
-20.3%
0.25%
-28.0%
URI SellUnited Rentals Inc$1,687,000
+32.7%
7,273
-0.1%
0.25%
+18.8%
BIPC SellBrookfield Infrastruct FClass A$1,670,000
+28.2%
23,093
-1.8%
0.24%
+14.6%
BIP SellBrookfield Infra Ptnrs$1,634,000
-1.1%
33,069
-4.8%
0.24%
-11.5%
CFR SellCullen Frost Bankers$1,535,000
+21.0%
17,598
-11.3%
0.22%
+8.7%
SYY SellSysco Corporation$1,451,000
+3.6%
19,544
-13.2%
0.21%
-7.4%
HD SellHome Depot Inc$1,311,000
-5.0%
4,934
-0.7%
0.19%
-15.0%
NTRS SellNorthern Trust Corp$1,142,000
+10.3%
12,265
-7.6%
0.17%
-1.2%
LAZ SellLazard Ltd$1,052,000
+7.0%
24,876
-16.4%
0.15%
-4.3%
RTX SellRaytheon Technologies Co$971,000
+23.4%
13,574
-0.8%
0.14%
+10.1%
SCHB SellSchwab US Market ETFetf$971,000
+7.4%
10,666
-6.0%
0.14%
-4.1%
TEN SellTenneco Inc$530,000
+4.5%
50,000
-31.5%
0.08%
-6.0%
RF SellRegions Financial Cp New$475,000
+30.9%
29,450
-6.4%
0.07%
+18.6%
HBI SellHanesbrands Inc$439,000
-62.8%
30,100
-59.9%
0.06%
-66.8%
FRD SellFriedman Inds Inc.$432,000
+15.5%
63,000
-2.3%
0.06%
+3.3%
BNS SellBank Of Nova Scotia$404,000
-16.2%
7,477
-35.6%
0.06%
-25.3%
SCHO SellSch St US Trsr Etfetf$354,000
-10.4%
6,885
-10.3%
0.05%
-20.0%
VWO SellVanguard Emerging Marketetf$316,000
+5.7%
6,311
-8.9%
0.05%
-6.1%
MRK SellMerck & Co Inc$298,000
-4.5%
3,645
-3.1%
0.04%
-13.7%
VZ SellVerizon Communications$288,000
-3.4%
4,896
-2.4%
0.04%
-14.3%
ZION SellZions Bancorp$276,000
+3.4%
6,350
-30.5%
0.04%
-9.1%
STZ SellConstellation Brand$261,000
+14.5%
1,194
-0.8%
0.04%
+2.7%
CLX SellClorox Company$237,000
-11.9%
1,172
-8.4%
0.04%
-20.5%
WPM SellWheaton Precious Met$219,000
-28.7%
5,253
-16.0%
0.03%
-36.0%
VGT SellVanguard Info Technologyetf$212,000
+5.0%
600
-7.7%
0.03%
-6.1%
HCRSQ ExitHi-Crush Partners LP$0-20,000
-100.0%
0.00%
BP ExitBp Plc Adr$0-13,000
-100.0%
-0.04%
SABR ExitSabre Corporation$0-45,000
-100.0%
-0.05%
Original filings

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

  • View 13F-HR filed 2021-01-20
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Apple Computer Inc42Q3 20235.5%
Microsoft Corp42Q3 20234.9%
Johnson & Johnson42Q3 20233.1%
JPMorgan Chase & Co.42Q3 20233.0%
United Healthcare Cor42Q3 20233.5%
McDonalds Corp42Q3 20232.7%
Pfizer Incorporated42Q3 20232.8%
Exxon Mobil Corporation42Q3 20233.2%
Procter & Gamble Co42Q3 20232.5%
Berkshire Hathaway Cl B42Q3 20232.8%

View Callahan Advisors, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-24
13F-HR2024-01-24
13F-HR2023-10-23
13F-HR2023-07-31
13F-HR2023-04-28
13F-HR2023-02-03
13F-HR/A2022-11-14
13F-HR2022-10-27
13F-HR2022-07-29
13F-HR2022-04-27

View Callahan Advisors, LLC's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (683361000.0 != 683363000.0)

Export Callahan Advisors, LLC's holdings