John D. Spears / Portfolio / 2020-Q2

    Company Shares Market value Share price
    Berkshire Hathaway Inc. 1K $278M $267K
    Johnson & Johnson 1.8M $259M $141
    Cisco Systems Inc 5.4M $253M $47
    Alphabet Inc. 130K $184M $1.4K
    Baidu, Inc. 1.4M $168M $120
    Alphabet Inc. 119K $168M $1.4K
    The Bank of New York Mellon Corporation 3.8M $145M $39
    Coca-Cola FEMSA, S.A.B. de C.V. 2.7M $120M $44
    AutoZone, Inc. 99K $111M $1.1K
    Autoliv, Inc. 1.1M $74M $65
    Fox Corporation 2.5M $68M $27
    ConocoPhillips 1.6M $66M $42
    Wells Fargo & Company 2.5M $63M $26
    3M Company 384K $60M $156
    Berkshire Hathaway Inc. 316K $56M $179
    Comcast Corporation 1.1M $44M $39
    U.S. Bancorp 1.1M $42M $37
    Emerson Electric Co. 601K $37M $62
    Union Pacific Corporation 188K $32M $169
    Diageo plc 221K $30M $134
    American Express Company 307K $29M $95
    UNILEVER N V - ADR 535K $29M $53
    Phillips 66 362K $26M $72
    Morgan Stanley 463K $22M $48
    AbbVie Inc. 206K $20M $98
    Verizon Communications Inc. 349K $19M $55
    The Goldman Sachs Group, Inc. 90K $18M $198
    National Western Life Group, Inc. 69K $14M $203
    Novartis AG 144K $13M $87
    CNH INDUSTRIALS 1.3M $9.3M $7
    TotalEnergies SE 242K $9.3M $38
    Unilever PLC 125K $6.9M $55
    GLAXO SMITHKLINE PLC ADR 156K $6.3M $41
    UniFirst Corporation 31K $5.5M $179
    Baxter International Inc. 63K $5.4M $86
    Shenandoah Telecommunications Company 80K $3.9M $49
    Applied Industrial Technologies, Inc. 55K $3.4M $62
    American National Group, Inc. 30K $2.2M $72
    HSBC Holdings plc 86K $2M $23
    ALCON INC ADR 25K $1.4M $57
    Shell plc 42K $1.4M $33
    Merck & Co., Inc. 3.3K $256K $77
    CKX Lands, Inc. 11K $85K $8

    Notifications