Lummis Asset Management, LP - Q1 2024 holdings

$74.6 Million is the total value of Lummis Asset Management, LP's 156 reported holdings in Q1 2024. The portfolio turnover from Q4 2023 to Q1 2024 was 0.0% .

 Value Shares↓ Weighting
VGK  Vanguard Ftse Europe$914,073
+4.4%
13,5740.0%1.22%
+82.8%
GOOGL  Alphabet Inc. Class A$515,275
+8.0%
3,4140.0%0.69%
+89.3%
NUV  Nuveen Mun Value Fd Inc$191,620
+1.3%
22,0000.0%0.26%
+77.2%
BSV  Vanguard Short-Term Bond$188,608
-0.5%
2,4600.0%0.25%
+74.5%
XEL  XCEL Energy$176,461
-13.2%
3,2830.0%0.24%
+51.9%
 Brookfield Corp$134,445
+4.4%
3,2110.0%0.18%
+81.8%
SHY  ishares 1-3 Year Treasry$130,439
-0.3%
1,5950.0%0.18%
+75.0%
CET  Central Securities Corp$126,814
+10.6%
3,0360.0%0.17%
+93.2%
ATO  Atmos Energy Corp$89,390
+2.6%
7520.0%0.12%
+79.1%
 Howard Hughes Holding Co$65,358
-15.1%
9000.0%0.09%
+49.2%
ET  Energy Transfer Equity$64,021
+14.0%
4,0700.0%0.09%
+100.0%
V  Visa Inc Cl A$63,351
+7.2%
2270.0%0.08%
+88.9%
FDS  Factset Research Systems$63,615
-4.7%
1400.0%0.08%
+66.7%
EPD  Enterprise Prd Prtnrs Lp$62,766
+10.7%
2,1510.0%0.08%
+95.3%
MDLZ  Mondelez Intl$57,750
-3.4%
8250.0%0.08%
+67.4%
DUK  Duke Energy Corporation$48,355
-0.3%
5000.0%0.06%
+75.7%
CFR  Cullen Frost Bankers$44,690
+3.8%
3970.0%0.06%
+81.8%
LUV  Southwest Airlines Co$43,785
+1.1%
1,5000.0%0.06%
+78.8%
MSI  Motorola Solutions$41,533
+13.4%
1170.0%0.06%
+100.0%
 Triple Flag Precious M$37,267
+8.6%
2,5790.0%0.05%
+92.3%
JPM  J.P. Morgan Chase & Co.$36,455
+17.8%
1820.0%0.05%
+104.2%
NVDA  Nvidia Corp$36,142
+82.5%
400.0%0.05%
+220.0%
 Tpg Inc$33,883
+3.5%
7580.0%0.04%
+80.0%
BAM  Brookfield Asset Mgm$33,490
+4.6%
7970.0%0.04%
+80.0%
ACN  Accenture Plc$30,155
-1.2%
870.0%0.04%
+73.9%
ADSK  Autodesk Inc$28,907
+7.0%
1110.0%0.04%
+85.7%
PXD  Pioneer Natural Resources$26,250
+16.7%
1000.0%0.04%
+105.9%
APA  Apache Corp$24,066
-4.2%
7000.0%0.03%
+68.4%
UNH  Unitedhealth Group$22,756
-6.0%
460.0%0.03%
+63.2%
TXN  Texas Instruments$22,125
+2.2%
1270.0%0.03%
+76.5%
FISV  Fiserv Inc$21,416
+20.3%
1340.0%0.03%
+107.1%
IDXX  Idexx Labs Inc$18,898
-2.7%
350.0%0.02%
+66.7%
MDT  Medtronic Inc$18,563
+5.8%
2130.0%0.02%
+92.3%
BAC  Bank of America Corp$17,481
+12.6%
4610.0%0.02%
+91.7%
AZO  Autozone Inc$15,758
+21.9%
50.0%0.02%
+110.0%
HD  Home Depot Inc.$15,728
+10.7%
410.0%0.02%
+90.9%
ETN  Eaton Corp.$15,009
+29.8%
480.0%0.02%
+122.2%
PBT  Permian Basin Royalty Tr$14,870
-13.9%
1,2330.0%0.02%
+53.8%
PGR  Progressive Co Ohio$15,098
+29.9%
730.0%0.02%
+122.2%
DHR  Danaher Corp.$14,733
+7.9%
590.0%0.02%
+100.0%
CTSH  Cognizant Tech Sol Cl A$13,192
-3.0%
1800.0%0.02%
+80.0%
VRTX  Vertex Pharmaceutica$12,122
+2.7%
290.0%0.02%
+77.8%
BKNG  Booking Holdings Inc$10,884
+2.3%
30.0%0.02%
+87.5%
ANTM  Elevance Health Inc$9,334
+10.0%
180.0%0.01%
+116.7%
VRT  Vertiv Hldg Co$9,147
+70.1%
1120.0%0.01%
+200.0%
AVGO  Broadcom Inc$9,278
+18.7%
70.0%0.01%
+100.0%
LIN  Linde Plc$8,822
+13.1%
190.0%0.01%
+100.0%
NSRGY  Nestle Sa$9,239
-8.2%
870.0%0.01%
+50.0%
CSX  CSX Corp.$8,489
+6.9%
2290.0%0.01%
+83.3%
NXPI  Nxp Semiconductors$7,433
+7.9%
300.0%0.01%
+100.0%
EOG  E O G Resources Inc$7,415
+5.7%
580.0%0.01%
+100.0%
 Qualcomm, Inc.$7,111
+17.1%
420.0%0.01%
+100.0%
COST  Costco Wholesale$7,326
+11.0%
100.0%0.01%
+100.0%
DIS  Disney Walt Hldg Co$7,097
+35.5%
580.0%0.01%
+150.0%
ZTS  Zoetis Inc$6,768
-14.3%
400.0%0.01%
+50.0%
MRK  Merck & Company Inc.$6,466
+21.0%
490.0%0.01%
+125.0%
RBC  Regal Rexnord Corp$6,304
+21.7%
350.0%0.01%
+100.0%
NKE  Nike Inc$5,827
-13.4%
620.0%0.01%
+60.0%
OTIS  Otis Worldwide Corp$4,964
+11.0%
500.0%0.01%
+133.3%
 Stellar Bancorp Inc$4,872
-12.5%
2000.0%0.01%
+75.0%
 Sprott Uranium Miners$5,471
+2.1%
1110.0%0.01%
+75.0%
EW  Edwards Lifesciences$5,065
+25.3%
530.0%0.01%
+133.3%
ADBE  Adobe Systems, Inc.$4,541
-15.4%
90.0%0.01%
+50.0%
CRM  Salesforce Com$4,217
+14.5%
140.0%0.01%
+100.0%
REGN  Regeneron Pharms Inc$4,812
+9.6%
50.0%0.01%
+100.0%
NEE  Nextera Energy Inc$3,899
+5.2%
610.0%0.01%
+66.7%
FWONK  Liberty Media Corp$3,805
+3.9%
580.0%0.01%
+66.7%
ORLY  O Reilly Automotive$3,387
+18.8%
30.0%0.01%
+150.0%
SWN  Southwestern Energy Co$3,790
+15.7%
5000.0%0.01%
+66.7%
LUNMF  Lundin Mining Corp$2,866
+25.1%
2800.0%0.00%
+100.0%
PAYX  Paychex, Inc$2,702
+3.1%
220.0%0.00%
+100.0%
ALGN  Align Technology Inc$2,623
+19.7%
80.0%0.00%
+100.0%
VFH  Vanguard Financials Etf$3,174
+11.0%
310.0%0.00%
+100.0%
PLD  Prologis Inc.$2,735
-2.3%
210.0%0.00%
+100.0%
GE  General Electric Co.$2,106
+37.5%
120.0%0.00%
+200.0%
ICE  Intrcontinentalexchange$2,061
+7.0%
150.0%0.00%
+200.0%
URI  United Rentals Inc$2,163
+25.8%
30.0%0.00%
+200.0%
PM  Philip Morris Intl Inc$2,107
-2.6%
230.0%0.00%
+50.0%
MA  Mastercard Inc$1,926
+12.9%
40.0%0.00%
+200.0%
MMC  Marsh & Mc Lennan Co Inc$1,648
+8.7%
80.0%0.00%
+100.0%
VWO  Vanguard Ftse Emerging$1,545
+1.6%
370.0%0.00%
+100.0%
FECCF  Frontera Energy Corpor$1,623
+1.0%
2660.0%0.00%
+100.0%
 Veralto Corp$1,685
+7.8%
190.0%0.00%
+100.0%
IR  Ingersoll Rand Co.$1,424
+22.8%
150.0%0.00%
+100.0%
UAL  United Airlines Hldgs$862
+16.0%
180.0%0.00%0.0%
TCEHY  Tencent Holdings$1,093
+3.3%
280.0%0.00%0.0%
 Altria Group$1,047
+8.2%
240.0%0.00%0.0%
SIX  Six Flags Entertainm$1,105
+4.9%
420.0%0.00%0.0%
NOC  Northrop Grumman Corp$957
+2.2%
20.0%0.00%0.0%
NERD  Roundhill Bitkrft Esprt$1,008
-0.8%
650.0%0.00%0.0%
KDP  Keurig Dr Pepper Inc$889
-8.0%
290.0%0.00%0.0%
HON  Honeywell Int'l$1,026
-2.2%
50.0%0.00%0.0%
CME  Cme Group Inc$646
+2.2%
30.0%0.00%
CBOE  Cboe Global Mkts Inc$1,102
+2.9%
60.0%0.00%0.0%
 Ge Healthcare Technologi$364
+17.8%
40.0%0.00%
RUN  Sunrun Inc.$343
-32.7%
260.0%0.00%
 Liberty Media Corp$88
+17.3%
20.0%0.00%
Original filings

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

  • View 13F-HR filed 2024-05-17
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Matador Resources Co3Q2 202413.7%
Apple Computer Inc3Q2 202410.9%
Microsoft Corp3Q2 20248.8%
Berkshire Hathaway Cl B3Q2 20245.0%
Alphabet Inc Class C3Q2 20244.6%
Oracle Corp3Q2 20244.4%
Amern Tower Corp Class A3Q2 20243.2%
General Dynamics Corp3Q2 20243.0%
American International Group3Q2 20243.1%
Ross Stores Inc3Q2 20242.8%

View Lummis Asset Management, LP's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-08-14
13F-HR2024-05-17
13F-HR2024-02-14

View Lummis Asset Management, LP's complete filings history.

Export Lummis Asset Management, LP's holdings