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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
Mastercard Inc MACL A7,436,646-641,1561,750,958,000227,081,00003/31/2019
NESTLE SA NSRGYCommon13,842,483-1,055,0831,319,465,000113,358,00003/31/2019
BERKSHIRE HATHAWAY INC BRK.ACommon4,098-3191,234,379,000-117,223,00003/31/2019
HEINEKEN HOLDING N V HKHHFCommon9,662,797-651,765968,894,00099,301,00003/31/2019
PERNOD RICARD S A /FI PDRDFCommon5,253,465-386,087943,816,00019,982,00003/31/2019
Philip Morris International Inc. PMCommon9,624,084-400,016850,673,000181,464,00003/31/2019
COMPAGNIE FINANCIERE RICHEMONT AG /FI CFRHFCom10,904,881-571,663794,297,00060,860,00003/31/2019
UNILEVER N V UNN Y SHS NEW13,309,242-1,013,538775,796,0005,230,00003/31/2019
Anheuser-Busch InBev SA/NV BUDFFCOM8,053,414253,689676,038,000161,570,00003/31/2019
WELLS FARGO & COMPANY/MN WFCCommon12,648,868-692,586611,193,000-3,581,00003/31/2019
BERKSHIRE HATHAWAY INC BRK/BCommon2,417,601-67,656485,672,000-21,768,00003/31/2019
MARTIN MARIETTA MATERIALS INC MLMCommon1,853,170-91,767372,821,00038,545,00003/31/2019
SWATCH GROUP SWGAFCommon1,163,414-30,500332,938,000-14,288,00003/31/2019
ALTRIA GROUP, INC. MOCommon5,113,999-217,977293,697,00030,351,00003/31/2019
DIAGEO PLC DGEAFCommon6,250,344-1,327,804255,575,000-14,185,00003/31/2019
COMCAST CORP CMCSACommon6,287,439-492,372251,372,00020,519,00003/31/2019
JCDECAUX SA /FI JCDXFCommon6,910,347-324,337210,432,0007,644,00003/31/2019
BROWN FORMAN CORP BF.ACL A4,053,990-162,935207,443,0007,476,00003/31/2019
Alphabet Inc. GOOGCOM93,319749109,492,00013,626,00003/31/2019
BROWN FORMAN CORP BF.BCL B2,008,798-410,649106,024,000-9,093,00003/31/2019
VISA INC. VCL A520,170-64,29181,245,0004,131,00003/31/2019
DIAGEO PLC DEOSPON ADR NEW343,801-20,25556,249,0004,626,00003/31/2019
AMERICAN EXPRESS CO AXPCommon144,814-18,93515,828,000219,00003/31/2019
MEXICAN ECONOMIC DEVELOPMENT INC FMXADR137,134-15,86112,655,000-510,00003/31/2019
SWEDISH MATCH CORP SWMAFCommon242,790-2,65512,405,0002,740,00003/31/2019
EXXON MOBIL CORP XOMCommon151,284-33212,224,0001,885,00003/31/2019
CRANE CO /DE/ CRCommon102,593-4,4008,681,000958,00003/31/2019
GROUPE DANONE DANOYADR557,639-173,8108,602,000-1,684,00003/31/2019
OUTFRONT Media Inc. OUTCOM341,359-68,9677,988,000553,00003/31/2019
MARKEL CORP MKLCommon7,769-1517,740,000-481,00003/31/2019
HORMEL FOODS CORP /DE/ HRLCommon153,493-1,8806,870,000239,00003/31/2019
Vulcan Materials CO VMCCommon54,1633636,413,0001,098,00003/31/2019
MILLER HERMAN INC MLHRCommon176,716-6,5006,217,000675,00003/31/2019
COCA COLA CO KOCommon110,999-5,9245,201,000-335,00003/31/2019
HEINEKEN N V/ /FI HINKFCommon45,98804,858,000800,00003/31/2019
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