HoldingsChannel.com
Armstrong Henry H Associates Inc. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Berkshire Hathaway      $168,875
     BRK.A372-7$101,184
     BRK.B370,242+16,931$67,691
Microsoft 893,828 +2,839 $140,966
     MSFT893,828+2,839$140,966
Johnson & Johnson 434,304 +3,991 $59,950
     JNJ434,304+3,991$59,950
Procter & Gamble 419,628 +11,140 $46,159
     PG419,628+11,140$46,159
Moody s Corp 194,800 +1,976 $41,200
     MCO194,800+1,976$41,200
Intel Corp 511,649 -4,989 $27,690
     INTC511,649-4,989$27,690
Medtronic PLC 218,534 +2,676 $19,707
     MDT218,534+2,676$19,707
Walgreen Boots Alliance 385,838 -7,074 $17,652
     WBA385,838-7,074$17,652
Coca Cola Co 219,477 -11,423 $9,712
     KO219,477-11,423$9,712
Air Products & Chemicals 37,906 +561 $7,566
     APD37,906+561$7,566
Union Pacific Corp 40,769 -195 $5,750
     UNP40,769-195$5,750
Alphabet Inc Cl C 4,309 +158 $5,011
     GOOG4,309+158$5,011
Apple Computer 16,939 +571 $4,307
     AAPL16,939+571$4,307
McCormick & Co 25,659 +475 $3,623
     MKC25,659+475$3,623
Mastercard Inc 14,361 +505 $3,469
     MA14,361+505$3,469
Western Union 151,623 -3,750 $2,749
     WU151,623-3,750$2,749
Automatic Data 19,334 +200 $2,643
     ADP19,334+200$2,643
3M Company 18,227 +150 $2,488
     MMM18,227+150$2,488
Abbott Labs 30,052 -175 $2,371
     ABT30,052-175$2,371
Pepsico 18,199 -750 $2,186
     PEP18,199-750$2,186
Alphabet Inc Cl A 1,717 UNCH $1,995
     GOOGL1,717UNCH$1,995
Home Depot 10,634 UNCH $1,985
     HD10,634UNCH$1,985
Abbvie Inc 24,266 -175 $1,849
     ABBV24,266-175$1,849
Carmax Inc. 30,601 UNCH $1,647
     KMX30,601UNCH$1,647
Amazon Com Inc. 773 UNCH $1,507
     AMZN773UNCH$1,507
Waters Corp. 8,169 +80 $1,487
     WAT8,169+80$1,487
Jacobs Engineering Gp 17,881 UNCH $1,417
     JEC17,881UNCH$1,417
Facebook Inc. 7,552 UNCH $1,260
     FB7,552UNCH$1,260
ExxonMobile 32,382 -2,657 $1,230
     XOM32,382-2,657$1,230
Visa      $1,178
     Common7,314-36$1,178
Bausch Health Cos Inc 73,875 -120 $1,145
     BHC73,875-120$1,145
Liberty Broadband Corp Cl C 9,947 UNCH $1,101
     LBRDK9,947UNCH$1,101
General Electric 131,396 UNCH $1,043
     GE131,396UNCH$1,043
The Charles Schwab Corp 27,591 UNCH $928
     SCHW27,591UNCH$928
Liberty Media Corp Ser C 34,002 UNCH $926
     FWONK34,002UNCH$926
Walt Disney Co 9,305 UNCH $899
     DIS9,305UNCH$899
Fastenal Co 28,335 +180 $885
     FAST28,335+180$885
Pfizer Inc 24,131 +600 $788
     PFE24,131+600$788
IBM 6,644 +90 $737
     IBM6,644+90$737
Amgen Inc. 2,841 UNCH $576
     AMGN2,841UNCH$576
Taiwan Semiconductor 10,658 UNCH $509
     TSM10,658UNCH$509
Vanguard Total Stock Mkt (VTI) 3,921 UNCH $505
     VTI3,921UNCH$505
Costco Wholesale Corp 1,576 -50 $449
     COST1,576-50$449
TJX Companies 9,030 +50 $432
     TJX9,030+50$432
Emerson Elec 7,384 UNCH $352
     EMR7,384UNCH$352
Hershey Foods 2,430 UNCH $322
     HSY2,430UNCH$322
Kimberly Clark 2,493 UNCH $319
     KMB2,493UNCH$319
Expeditors Intl Wash 4,392 -250 $293
     EXPD4,392-250$293
S&P Depository Receipts 1,101 UNCH $284
     SPY1,101UNCH$284
Ishares S&P500 Index Fd (IVV) 965 UNCH $249
     IVV965UNCH$249

See Full List: All Stocks Held By Armstrong Henry H Associates Inc.
Including:
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Armstrong Henry H Associates Inc.

Size ($ in 1000's)
At 03/31/2020: $603,263
At 12/31/2019: $694,589

Armstrong Henry H Associates Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Armstrong Henry H Associates Inc. 13F filings. Link to 13F filings: SEC filings

Armstrong Henry H Associates Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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