John D. Spears / Portfolio / 2023-Q1

    Company Shares Market value Share price
    Berkshire Hathaway Inc. 680 $317M $466K
    Alphabet Inc. 2M $209M $104
    Johnson & Johnson 1.2M $191M $155
    Coca-Cola FEMSA, S.A.B. de C.V. 1.9M $155M $80
    FMC Corporation 1.1M $128M $122
    Ionis Pharmaceuticals, Inc. 3.5M $127M $36
    Autoliv, Inc. 1.1M $100M $93
    Alphabet Inc. 601K $63M $104
    Berkshire Hathaway Inc. 191K $59M $309
    AutoZone, Inc. 22K $53M $2.5K
    Cisco Systems Inc 848K $44M $52
    FedEx Corporation 170K $39M $228
    Wells Fargo & Company 959K $36M $37
    The Bank of New York Mellon Corporation 782K $36M $45
    Concentrix Corporation 276K $34M $122
    Truist Financial Corporation 912K $31M $34
    Diageo plc 146K $27M $181
    American Express Company 120K $20M $165
    Unilever PLC 327K $17M $52
    Bank of America Corporation 497K $14M $29
    U.S. Bancorp 374K $13M $36
    CNH INDUSTRIALS 860K $13M $15
    National Western Life Group, Inc. 44K $11M $243
    TOTALENERGIES SE ADR 166K $9.8M $59
    Intel Corporation 280K $9.1M $33
    Union Pacific Corporation 45K $9.1M $201
    Novartis AG 98K $9M $92
    Thor Industries, Inc. 110K $8.7M $80
    Paramount Global 383K $8.5M $22
    Fresenius Medical Care AG & Co. KGaA 344K $7.3M $21
    Comcast Corporation 158K $6M $38
    The Progressive Corporation 35K $4.9M $143
    GSK plc 135K $4.8M $36
    Alibaba Group Holding Limited 36K $3.7M $102
    Enterprise Products Partners L.P. 136K $3.5M $26
    Baidu, Inc. 23K $3.4M $151
    Phillips 66 32K $3.3M $101
    ConocoPhillips 31K $3M $99
    Verizon Communications Inc. 65K $2.5M $39
    Emerson Electric Co. 23K $2M $87
    Baxter International Inc. 38K $1.5M $41
    Haleon plc 133K $1.1M $8.1
    Carlisle Companies Incorporated 2.5K $558K $226
    CKX Lands, Inc. 11K $100K $9.4

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