Paul Lountzis Holdings Activity

Lountzis Asset Management Portfolio 13F

Lountzis Asset Management has disclosed a total of 14 changes to the portfolio in the latest (2024 Q1) SEC report(s): increased the number of shares of 7, bought 1 totally new and decreased the number of shares of 6 position(s).

What stocks is Paul Lountzis buying now?

In the recent quarter Paul Lountzis has bought 8 securities out of which top 5 purchases (by % change to portfolio) are (LIN) LINDE PLC (new buy), (BRK.B) BERKSHIRE HATHAWAY INC CL-B (added shares +0.19%), (XOM) EXXON MOBIL CORP (added shares +6.89%), (AMAT) APPLIED MATERIALS INC (added shares +0.19%) and (GEF) GREIF INC-CL A (added shares +8.18%).

What does Paul Lountzis invest in?

Paul Lountzis's top 5 holdings (by % of portfolio) are (BRK.B) BERKSHIRE HATHAWAY INC CL-B (27.83%), (AMAT) APPLIED MATERIALS INC (10.45%), (PGR) PROGRESSIVE CORP (7.94%), (WFC) WELLS FARGO & CO (6.93%) and (USB) US BANCORP (5.4%).

In the latest report(s) the following changes have been made to the top investments: (BRK.B) BERKSHIRE HATHAWAY INC CL-B (added shares +0.19%), (AMAT) APPLIED MATERIALS INC (added shares +0.19%), (PGR) PROGRESSIVE CORP (reduced shares -0.93%) and (WFC) WELLS FARGO & CO (reduced shares -0.07%).

2022 Q4 (21 results)
SPLK
+122.41%
+45,289
+2.82%
$103.81
51.15% $156.90
5.13%
IBM
buy
+1,500
+0.12%
$136.00
23.98% $168.61
0.00%
MHK
+0.88%
+80
+0.01%
$121.71
3.01% $118.04
0.67%
UNH
+0.13%
+15
+0.00%
$475.17
4.04% $494.38
3.33%
LOW
-0.56%
-100
-0.01%
$216.92
6.81% $231.70
2.32%
FRFHF
-21.68%
-160
-0.06%
$647.06
75.60% $1,136.21
0.22%
LH
-2.34%
-235
-0.03%
$244.49
17.77% $201.04
1.44%
PEP
-1.58%
-642
-0.07%
$171.81
2.34% $175.82
4.13%
GOOGL
-2.73%
-1,345
-0.08%
$102.88
63.39% $168.10
2.96%
ORCL
-2.51%
-1,629
-0.09%
$88.52
33.68% $118.34
3.37%
ZTS
-3.24%
-1,674
-0.17%
$165.31
0.39% $165.95
4.96%
MLM
-16.83%
-2,099
-0.45%
$356.82
68.09% $599.79
2.22%
PGR
-3.51%
-3,217
-0.27%
$137.67
56.54% $215.51
7.32%
KKR
-2.99%
-3,361
-0.11%
$56.02
75.38% $98.25
3.67%
AMAT
-3.98%
-4,560
-0.32%
$117.68
77.48% $208.86
7.78%
BRO
-3.60%
-5,256
-0.19%
$59.12
42.43% $84.21
4.99%
BK
-7.97%
-5,290
-0.16%
$50.54
13.74% $57.48
1.85%
BRK.B
-4.11%
-6,200
-1.15%
$308.43
31.29% $404.92
26.77%
USB
-4.04%
-8,105
-0.24%
$48.95
14.56% $41.82
5.66%
WFC
-3.91%
-10,548
-0.30%
$47.98
25.46% $60.19
7.47%
AVLR
-100.00%
-47,522
-2.62%
$91.79
1.84% $93.48
0.00%
2022 Q3 (25 results)
KKR
buy
+112,465
+3.28%
$42.99
128.54% $98.25
3.28%
XOM
+0.10%
+8
+0.00%
$87.25
33.81% $116.75
0.45%
ZTS
-0.01%
-4
-0.00%
$148.29
11.91% $165.95
5.20%
GOOGL
-0.15%
-76
-0.00%
$95.65
75.75% $168.10
3.20%
MSFT
-8.37%
-88
-0.01%
$232.61
77.79% $413.54
0.15%
MHK
-1.73%
-160
-0.01%
$91.15
29.50% $118.04
0.56%
ORCL
-0.25%
-160
-0.01%
$61.06
93.81% $118.34
2.69%
ABT
-2.27%
-200
-0.01%
$96.70
9.25% $105.64
0.57%
MLM
-1.77%
-225
-0.05%
$322.03
86.25% $599.79
2.73%
LH
-2.51%
-258
-0.04%
$204.77
1.82% $201.04
1.39%
AVLR
-0.57%
-272
-0.02%
$91.79
1.84% $93.48
0.00%
UNH
-2.33%
-278
-0.10%
$504.98
2.10% $494.38
3.99%
PEP
-0.79%
-325
-0.04%
$163.25
7.70% $175.82
4.51%
SPLK
-0.98%
-366
-0.02%
$75.19
108.66% $156.90
1.89%
YUMC
-10.19%
-521
-0.02%
$47.28
20.28% $37.69
0.15%
AMAT
-0.64%
-737
-0.04%
$81.93
154.94% $208.86
6.38%
PGR
-0.85%
-790
-0.06%
$116.21
85.46% $215.51
7.24%
USB
-0.46%
-937
-0.03%
$40.80
2.50% $41.82
5.56%
BK
-1.48%
-1,000
-0.03%
$38.52
49.22% $57.48
1.73%
BRK.B
-0.79%
-1,205
-0.22%
$267.02
51.65% $404.92
27.32%
JNJ
-100.00%
-1,237
-0.15%
$177.04
16.08% $148.58
0.00%
WFC
-0.49%
-1,329
-0.04%
$40.22
49.66% $60.19
7.37%
IBM
-100.00%
-1,500
-0.14%
$140.67
19.86% $168.61
0.00%
BRO
-1.09%
-1,609
-0.07%
$60.47
39.25% $84.21
5.99%
GOOG
-100.00%
-1,860
-0.14%
$109.14
55.61% $169.83
0.00%
46 of 404

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.