John D. Spears / Portfolio / 2019-Q3

    Company Shares Market value Share price
    Berkshire Hathaway Inc. 1K $326M $312K
    Cisco Systems Inc 5.7M $284M $49
    Johnson & Johnson 2M $264M $129
    UNILEVER NV 3.6M $215M $60
    The Bank of New York Mellon Corporation 4.1M $188M $45
    Alphabet Inc. 135K $164M $1.2K
    Alphabet Inc. 122K $148M $1.2K
    Baidu, Inc. 1.4M $145M $103
    Wells Fargo & Company 2.6M $133M $50
    AutoZone, Inc. 105K $114M $1.1K
    ConocoPhillips 1.6M $92M $57
    3M Company 352K $58M $164
    MRC Global Inc. 4.5M $55M $12
    Berkshire Hathaway Inc. 249K $52M $208
    Emerson Electric Co. 723K $48M $67
    U.S. Bancorp 834K $46M $55
    Fox Corporation 1.3M $41M $32
    Diageo plc 232K $38M $164
    Phillips 66 365K $37M $102
    UniFirst Corporation 555K $33M $60
    American Express Company 279K $33M $118
    Coca-Cola FEMSA, S.A.B. de C.V. 520K $32M $61
    Union Pacific Corporation 195K $32M $162
    Devon Energy Corporation 1.2M $28M $24
    Verizon Communications Inc. 431K $26M $60
    Avnet, Inc. 580K $26M $44
    Comcast Corporation 454K $20M $45
    The Goldman Sachs Group, Inc. 98K $20M $207
    National Western Life Group, Inc. 75K $20M $268
    Novartis AG 155K $13M $87
    WPP plc 209K $13M $63
    TOTAL SA - ADR 245K $13M $52
    Halliburton Company 529K $10M $19
    CNH INDUSTRIALS 952K $9.7M $10
    Unilever PLC 130K $7.8M $60
    GLAXO SMITHKLINE PLC ADR 174K $7.4M $43
    Baxter International Inc. 72K $6.3M $87
    TotalEnergies SE 32K $6.3M $195
    CARNIVAL CORP 140K $6.1M $44
    HSBC Holdings plc 106K $4.1M $38
    AMERICAN NATIONAL INSURANCE CO 31K $3.8M $124
    Shell plc 49K $2.9M $59
    Shenandoah Telecommunications Company 80K $2.5M $32
    ALCON INC ADR 31K $1.8M $58
    CONNECTICUT WATER SERVICE INC 6.5K $454K $70
    Merck & Co., Inc. 3.3K $278K $84
    CKX Lands, Inc. 11K $103K $9.7

    Notifications