Thomas Russo's Portfolio

Gardner Russo & Quinn 13F holdings

What is Thomas Russo's portfolio?

Gardner Russo & Quinn has disclosed a total of 84 security holdings in their (2022 Q1) SEC 13F filing(s) with portfolio value of $10,392,949,000.

What stocks does Thomas Russo own?

In Thomas Russo's portfolio as of 31 Mar 2022, the top 5 holdings are (BRK.A) BERKSHIRE HATHAWAY INC CL-A (14.24%), (NSRGY) NESTLE SA-SPONS ADR (11.16%), (MA) MASTERCARD INC - A (9.62%), (GOOG) ALPHABET INC-CL C (9.42%) and (CFRHF) CIE FINANCIERE RICHEMO-A REG (7.31%).

To see the historical data of Gardner Russo & Quinn's portfolio holdings please click on the "2022 Q1" dropdown menu and select the date.

To see Gardner Russo & Quinn's original 13F reports (2022 Q1), please click on the "important" button.

Portfolio value: $10B+
Period: 2022 Q1
Number of stock: 84
Update: 12 May 2022
ABBV
0.02%
9,553
$162.12
2.65% $166.42
$1,548,820
Y
0.00%
324
$845.68
0.25% $847.79
$274,000
KO
0.01%
21,435
$62.00
1.66% $63.03
$1,329,000
DHR
0.00%
1,183
$293.32
9.38% $265.80
$347,000
DVCMY
0.00%
13,650
$11.72
8.29% $10.75
$160,000
DIS
0.01%
5,252
$137.09
24.68% $103.25
$720,000
FULT
0.01%
74,689
$16.62
4.48% $17.36
$1,241,000
KHC
0.00%
6,000
$39.33
8.47% $36.00
$236,000
LAMR
0.01%
4,499
$116.24
3.16% $119.91
$523,040
ORCL
0.00%
4,000
$82.75
49.24% $123.50
$331,000
PXD
0.01%
2,364
$250.00
7.85% $269.62
$591,000
WMT
0.01%
3,480
$148.85
56.57% $64.65
$518,000
CFDZF
0.00%
251,250
$0.45
-
$114,000
DGEAF
0.01%
19,401
$50.87
29.39% $35.92
$987,000
PHJMF
0.00%
5,000,000
$0.06
6.83% $0.06
$322,000
HINKF
0.04%
39,066
$96.32
6.63% $102.71
$3,763,000
JCDXF
0.00%
10,500
$23.81
18.10% $19.50
$250,000
COCXF
0.02%
16
$121,473.68
7.93% $111,838.71
$2,031,040
LRLCF
0.03%
6,745
$404.89
21.10% $490.34
$2,731,000
LTG
0.00%
1,775,000
$0.17
-
$305,000
20 of 84

Completely sold out

LVMUY
1,222
-0.00%
NKE
1,542
-0.00%
SHW
585
-0.00%
SBUX
1,778
-0.00%

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.