John D. Spears / Portfolio / 2021-Q1

    Company Shares Market value Share price
    Berkshire Hathaway Inc. 996 $384M $386K
    Johnson & Johnson 1.8M $290M $164
    Alphabet Inc. 128K $265M $2.1K
    Alibaba Group Holding Limited 1.1M $251M $227
    Alphabet Inc. 117K $241M $2.1K
    Baidu, Inc. 978K $213M $218
    Cisco Systems Inc 4M $206M $52
    The Bank of New York Mellon Corporation 2.9M $139M $47
    Coca-Cola FEMSA, S.A.B. de C.V. 2.8M $131M $46
    AutoZone, Inc. 90K $126M $1.4K
    Autoliv, Inc. 1.1M $105M $93
    Wells Fargo & Company 2.4M $93M $39
    Fox Corporation 2.5M $88M $35
    Bank of America Corporation 2M $76M $39
    Berkshire Hathaway Inc. 295K $75M $255
    3M Company 368K $71M $193
    U.S. Bancorp 1.2M $65M $55
    Comcast Corporation 1.1M $62M $54
    Truist Financial Corporation 864K $50M $58
    Emerson Electric Co. 528K $48M $90
    AbbVie Inc. 392K $42M $108
    American Express Company 292K $41M $141
    Intel Corporation 642K $41M $64
    Union Pacific Corporation 180K $40M $220
    Carlisle Companies Incorporated 228K $38M $165
    Morgan Stanley 404K $31M $78
    Unilever PLC 560K $31M $56
    Diageo plc 183K $30M $164
    Fresenius Medical Care AG & Co. KGaA 530K $20M $37
    CNH INDUSTRIALS 1.2M $19M $16
    Verizon Communications Inc. 316K $18M $58
    Concentrix Corporation 102K $15M $150
    ConocoPhillips 252K $13M $53
    The Progressive Corporation 136K $13M $96
    National Western Life Group, Inc. 49K $12M $249
    Novartis AG 128K $11M $85
    TotalEnergies SE 220K $10M $47
    GLAXO SMITHKLINE PLC ADR 193K $6.9M $36
    Phillips 66 63K $5.1M $82
    Applied Industrial Technologies, Inc. 50K $4.6M $91
    Baxter International Inc. 42K $3.5M $84
    Jefferies Financial Group Inc. 100K $3M $30
    Enterprise Products Partners L.P. 136K $3M $22
    American National Group, Inc. 15K $1.6M $108
    HSBC Holdings plc 54K $1.6M $29
    CKX Lands, Inc. 11K $137K $13

    Notifications