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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
BERKSHIRE HATHAWAY INC BRK.ACommon3,3629403,440,000-4,955,00006/30/2010
Philip Morris International Inc. PMCommon7,424,875294,400340,356,000-31,570,00006/30/2010
COMCAST CORP CMCSKCommon8,523,637-1,201,315140,043,000-34,714,00006/30/2010
WELLS FARGO & CO/MN WFCCommon5,450,277-499,747139,527,000-45,638,00006/30/2010
UNILEVER N V UNN Y SHS NEW5,064,326499,455138,357,000680,00006/30/2010
ALTRIA GROUP, INC. MOCommon6,484,799-476,563129,955,000-12,892,00006/30/2010
MARTIN MARIETTA MATERIALS INC MLMCommon1,508,246-186,439127,914,000-13,677,00006/30/2010
Scripps Networks Interactive, Inc. SNICommon2,174,790-353,64287,731,000-24,405,00006/30/2010
BROWN FORMAN CORP BF.ACL A1,501,171-59587,368,000-6,943,00006/30/2010
WASHINGTON POST CO WPOCl B160,181-26,10865,751,000-16,995,00006/30/2010
MASTERCARD INC MACL A323,940222,31064,636,00038,822,00006/30/2010
HASBRO INC HASCommon1,020,722-22,47341,952,0002,018,00006/30/2010
DIAGEO PLC DEOSPON ADR NEW479,925-54430,111,000-2,297,00006/30/2010
ANHEUSER-BUSCH COMPANIES, INC. BUDADR625,995625,99530,054,00030,054,00006/30/2010
ABBOTT LABORATORIES ABTCommon431,6701,32520,194,000-2,477,00006/30/2010
MILLER HERMAN INC MLHRCommon729,189-18,45013,760,000258,00006/30/2010
PROCTER & GAMBLE CO PGCommon221,557-41,13013,289,000-3,331,00006/30/2010
MARKEL CORP MKLCommon37,509-86512,753,000-1,624,00006/30/2010
HORMEL FOODS CORP /DE/ HRLCommon286,124-31,07511,582,000-1,744,00006/30/2010
EXXON MOBIL CORP XOMCommon199,1781,42611,367,000-1,878,00006/30/2010
BROWN FORMAN CORP BF.BCL B168,735-9,3609,657,000-931,00006/30/2010
PEPSICO INC PEPCommon127,043-8597,743,000-719,00006/30/2010
CRANE CO /DE/ CRCommon199,647-2006,031,000-1,064,00006/30/2010
MCCORMICK & CO INC MKCCommon152,450-3,7005,787,000-203,00006/30/2010
MICROSOFT CORP MSFTCommon207,722-2,1254,780,000-1,366,00006/30/2010
GOLDMAN SACHS GROUP INC GSCommon35,65035,6504,680,0004,680,00006/30/2010
CHEVRON CORP CVXCommon65,8928234,471,000-463,00006/30/2010
STAPLES INC SPLSCommon231,43010,8004,409,000-755,00006/30/2010
AMERICAN EXPRESS CO AXPCommon93,15526,0003,698,000927,00006/30/2010
MEXICAN ECONOMIC DEVELOPMENT INC FMXADR84,50051,0003,646,0002,054,00006/30/2010
AMERICAN TOWER CORP /MA/ AMTCommon75,835-253,375,000143,00006/30/2010
COCA COLA CO KOCommon60,67624,9453,041,0001,076,00006/30/2010
Royal Dutch Shell plc RDS.ASPONS ADR A57,844-1,0952,905,000-505,00006/30/2010
PRAXAIR INC PXCommon37,17530,5002,825,0002,271,00006/30/2010
PROGRESSIVE CORP/OH/ PGRCommon149,914-10,8002,806,000-262,00006/30/2010
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