Terry Smith / Transactions / 2017-Q2

    Company Shares change Shares owned end of quarter Transaction type Price range
    Automatic Data Processing, Inc.
    US0530151036
    +1.2M 5.2M BUY $87.65–$96.49
    Becton, Dickinson and Company
    US0758871091
    +6.1K 2.4M BUY $158.82–$171.30
    Colgate-Palmolive Company
    US1941621039
    -18K 2.1M SELL $64.52–$69.81
    IDEXX Laboratories, Inc.
    US45168D1046
    -34K 4.4M SELL $140.52–$154.72
    Johnson & Johnson
    US4781601046
    -26K 4.1M SELL $112.05–$122.19
    The Estée Lauder Companies Inc.
    US5184391044
    +118K 3.8M BUY $78.99–$87.67
    Marriott International, Inc.
    US5719032022
    +60 185K BUY $84.20–$96.63
    Microsoft Corporation
    US5949181045
    +519K 11M BUY $59.85–$64.20
    PayPal Holdings, Inc.
    US70450Y1038
    +890K 14M BUY $39.97–$48.68
    PepsiCo, Inc.
    US7134481081
    -35K 5.3M SELL $100.56–$106.86
    Philip Morris International Inc.
    US7181721090
    +79K 5.2M BUY $101.06–$110.30
    The J. M. Smucker Company
    US8326964058
    -1.6M 2M SELL $103.01–$122.79
    Stryker Corporation
    US8636671013
    +552 5.2M BUY $120.11–$129.06
    3M Company
    US88579Y1010
    +200K 2.2M BUY $174.39–$191.98
    Visa Inc.
    US92826C8394
    +263K 5.2M BUY $82.39–$85.54
    Waters Corporation
    US9418481035
    +401K 3.8M BUY $144.74–$166.40

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