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Latest ARMSTRONG HENRY H ASSOCIATES INC Stock Portfolio

$1.03Billion

Equity Portfolio Value
Last Reported on: 11 Apr, 2024

About ARMSTRONG HENRY H ASSOCIATES INC and it’s 13F Hedge Fund Stock Holdings

ARMSTRONG HENRY H ASSOCIATES INC is a hedge fund based in Pittsburgh, PA. On 06-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $903 Millions. In it's latest 13F Holdings report, ARMSTRONG HENRY H ASSOCIATES INC reported an equity portfolio of $941.2 Millions as of 31 Dec, 2023.

The top stock holdings of ARMSTRONG HENRY H ASSOCIATES INC are MSFT, BRKA, BRKA. The fund has invested 30.8% of it's portfolio in MICROSOFT and 19.2% of portfolio in BERKSHIRE HATHAWAY INC. A.

The fund managers got completely rid off NUTRIEN stocks. They significantly reduced their stock positions in PFIZER INC (PFE), THE CHARLES SCHWAB CORP (SCHW) and ABBVIE INC (ABBV). ARMSTRONG HENRY H ASSOCIATES INC opened new stock positions in RAYTHEON TECHNOLOGIES CO (RTX) and DONALDSON COMPANY INC. (DCI). The fund showed a lot of confidence in some stocks as they added substantially to NVIDIA CORP (NVDA), UNION PACIFIC CORP (UNP) and INTEL CORP (INTC).

New Buys

Ticker$ Bought
JACOBS SOLUTIONS INC2,625,860
VISA INC1,993,190
RB GLOBAL INC590,699
ADVANCED MICRO DEVICES INC201,247

New stocks bought by ARMSTRONG HENRY H ASSOCIATES INC

Additions

Ticker% Inc.
WALMART INC205
AMGEN INC26.98
EXXON MOBIL CORP21.9
CHEVRON CORP NEW13.39
ISHARES TR10.67
MERCK & CO INC6.33
EMERSON ELEC CO3.7
FASTENAL CO3.03

Additions to existing portfolio by ARMSTRONG HENRY H ASSOCIATES INC

Reductions

Ticker% Reduced
3M CO-15.52
INTERNATIONAL BUSINESS MACHS-14.56
AUTODESK INC-7.74
AUTOMATIC DATA PROCESSING IN-7.37
GE HEALTHCARE TECHNOLOGIES I-5.94
GENERAL ELECTRIC CO-5.42
COCA COLA CO-3.46
MICROSOFT CORP-2.25

ARMSTRONG HENRY H ASSOCIATES INC reduced stake in above stock

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ARMSTRONG HENRY H ASSOCIATES INC got rid off the above stocks

Current Stock Holdings of ARMSTRONG HENRY H ASSOCIATES INC

Last Reported on: 11 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC1.1669,33511,889,500REDUCED-0.55
ABBVABBVIE INC0.3318,6753,400,720REDUCED-2.1
ABTABBOTT LABS0.2724,2522,756,480REDUCED-1.62
ADPAUTOMATIC DATA PROCESSING IN0.3715,0783,765,580REDUCED-7.37
ADSKAUTODESK INC0.114,4701,164,080REDUCED-7.74
AGGISHARES TR0.03581305,450ADDED10.67
AMDADVANCED MICRO DEVICES INC0.021,115201,247NEW
AMGNAMGEN INC0.031,106314,458ADDED26.98
AMZNAMAZON COM INC0.2212,3852,234,010ADDED0.16
APDAIR PRODS & CHEMS INC1.2753,99113,080,500ADDED0.5
BHCBAUSCH HEALTH COS INC0.0544,215469,122UNCHANGED0.00
CDNACAREDX INC0.0216,036169,822UNCHANGED0.00
COSTCOSTCO WHSL CORP NEW0.081,116817,616UNCHANGED0.00
CVXCHEVRON CORP NEW0.021,550244,497ADDED13.39
DARDARLING INGREDIENTS INC0.000.000.00SOLD OFF-100
DCIDONALDSON INC0.023,175237,109UNCHANGED0.00
DISDISNEY WALT CO0.119,1791,123,140ADDED1.32
EMREMERSON ELEC CO0.054,484508,576ADDED3.7
EXPDEXPEDITORS INTL WASH INC0.064,964603,436ADDED1.64
FASTFASTENAL CO0.2228,9222,231,040ADDED3.03
GEGENERAL ELECTRIC CO0.2212,6022,212,030REDUCED-5.42
GOOGALPHABET INC1.4799,26615,114,200ADDED0.06
GOOGALPHABET INC0.5336,3625,488,120REDUCED-0.12
HDHOME DEPOT INC0.4211,1244,267,170ADDED2.03
HSYHERSHEY FOODS CORPORATION0.000.000.00SOLD OFF-100
IBMINTERNATIONAL BUSINESS MACHS0.084,225806,806REDUCED-14.56
INTCINTEL CORP1.93448,46119,808,500ADDED0.56
JJACOBS SOLUTIONS INC0.2617,0812,625,860NEW
JJACOBS ENGINEERING GROUP INC0.000.000.00SOLD OFF-100
JNJJOHNSON & JOHNSON5.78375,78959,446,000REDUCED-1.19
KINDNEXTDOOR HOLDINGS INC0.0010,20922,971UNCHANGED0.00
KMBKIMBERLY CLARK CORP.0.000.000.00SOLD OFF-100
KOCOCA COLA CO0.93155,6829,524,600REDUCED-3.46
MAMASTERCARD INCORPORATED0.6814,5637,013,100ADDED0.14
MCOMOODYS CORP6.01157,25161,804,300REDUCED-0.59
MDTMEDTRONIC PLC1.28150,52313,118,100REDUCED-0.6
MKCMCCORMICK & CO INC0.1824,2731,864,410REDUCED-1.52
MMM3M CO0.1312,7931,356,950REDUCED-15.52
MRKMERCK & CO INC0.043,223425,275ADDED6.33
MSFTMICROSOFT CORP30.82752,963316,787,000REDUCED-2.25
NVDANVIDIA CORPORATION0.131,5251,377,930UNCHANGED0.00
NVONOVO-NORDISK A S0.1310,3241,325,600UNCHANGED0.00
PEPPEPSICO INC0.3017,3193,031,000ADDED1.03
PFEPFIZER INC0.0518,022500,111REDUCED-1.64
PGPROCTER AND GAMBLE CO6.27397,37864,474,600REDUCED-0.35
RBARB GLOBAL INC0.067,755590,699NEW
RBARB GLOBAL, INC.0.000.000.00SOLD OFF-100
RTXRTX CORPORATION0.032,590252,603UNCHANGED0.00
SCHWSCHWAB CHARLES CORP0.1419,5911,417,210UNCHANGED0.00
SHWSHERWIN WILLIAMS CO0.041,200416,796UNCHANGED0.00
SPYSPDR S&P 500 ETF TR0.305,9903,132,950ADDED0.02
TJXTJX COS INC NEW0.087,970808,318UNCHANGED0.00
UNPUNION PAC CORP1.5464,20415,789,800ADDED0.96
VVISA INC0.197,1421,993,190NEW
VOOVANGUARD INDEX FDS0.093,500909,650UNCHANGED0.00
WATWATERS CORP0.3610,8193,724,220ADDED0.37
WMTWALMART INC0.035,852352,115ADDED205
XOMEXXON MOBIL CORP0.1412,1101,407,670ADDED21.9
BERKSHIRE HATHAWAY INC DEL20.43331210,000,000REDUCED-0.6
BERKSHIRE HATHAWAY INC DEL14.48354,010148,868,000REDUCED-0.53
GE HEALTHCARE TECHNOLOGIES I0.033,799345,368REDUCED-5.94
VISA INC.0.000.000.00SOLD OFF-100