Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
BERKSHIRE HATHAWAY INCORPORATED DEL CLASS B NEW | $43,504 | ||
BRK.B | 103,849 | +82 | $43,504 |
APPLE INCORPORATED | 230,026 | -2,878 | $38,838 |
AAPL | 230,026 | -2,878 | $38,838 |
MICROSOFT CORPORATION | 90,517 | +94 | $38,147 |
MSFT | 90,517 | +94 | $38,147 |
EATON CORPORATION PLC SHS | 72,215 | +1,626 | $22,730 |
ETN | 72,215 | +1,626 | $22,730 |
JPMORGAN CHASE & COMPANY | 102,334 | +1,233 | $20,350 |
JPM | 102,334 | +1,233 | $20,350 |
WALMART INCORPORATED | 331,282 | +224,262 | $19,599 |
WMT | 331,282 | +224,262 | $19,599 |
ALPHABET INCORPORATED CAP STK CLASS C | 104,414 | -397 | $16,275 |
GOOG | 104,414 | -397 | $16,275 |
MERCK & COMPANY INCORPORATED | 92,190 | +2,645 | $12,017 |
MRK | 92,190 | +2,645 | $12,017 |
UNION PAC CORPORATION | 47,873 | +479 | $11,611 |
UNP | 47,873 | +479 | $11,611 |
AMAZON COM INCORPORATED | 63,336 | -792 | $11,444 |
AMZN | 63,336 | -792 | $11,444 |
DEERE & COMPANY | 28,303 | +236 | $11,434 |
DE | 28,303 | +236 | $11,434 |
BROADCOM INCORPORATED | 8,482 | +294 | $11,355 |
AVGO | 8,482 | +294 | $11,355 |
JOHNSON & JOHNSON | 68,585 | +1,793 | $10,818 |
JNJ | 68,585 | +1,793 | $10,818 |
MARATHON PETE CORPORATION | 49,193 | +3,756 | $10,398 |
MPC | 49,193 | +3,756 | $10,398 |
ELI LILLY & COMPANY | 13,573 | -86 | $10,369 |
LLY | 13,573 | -86 | $10,369 |
VISA INCORPORATED COM CLASS A | 36,666 | -800 | $10,209 |
V | 36,666 | -800 | $10,209 |
COMCAST CORPORATION NEW CLASS A | 237,108 | +5,770 | $9,913 |
CMCSA | 237,108 | +5,770 | $9,913 |
STARBUCKS CORPORATION | 108,019 | -5,024 | $9,646 |
SBUX | 108,019 | -5,024 | $9,646 |
NVIDIA CORPORATION | 10,580 | -17 | $9,464 |
NVDA | 10,580 | -17 | $9,464 |
ENTERPRISE PRODUCTS PARTNERS L P | 284,724 | -1,508 | $8,471 |
EPD | 284,724 | -1,508 | $8,471 |
TRANE TECHNOLOGIES PLC SHS | 28,348 | +721 | $8,434 |
TT | 28,348 | +721 | $8,434 |
CHUBB LIMITED | 28,717 | +3,150 | $7,361 |
CB | 28,717 | +3,150 | $7,361 |
PEPSICO INCORPORATED | 42,230 | -782 | $7,240 |
PEP | 42,230 | -782 | $7,240 |
MOTOROLA SOLUTIONS INCORPORATED COM NEW | 20,492 | +2,620 | $7,215 |
MSI | 20,492 | +2,620 | $7,215 |
LOWES COMPANIES INCORPORATED | 28,480 | -1,965 | $6,962 |
LOW | 28,480 | -1,965 | $6,962 |
VERIZON COMMUNICATIONS INCORPORATED | 158,953 | +1,909 | $6,762 |
VZ | 158,953 | +1,909 | $6,762 |
HOME DEPOT INCORPORATED | 18,565 | +909 | $6,739 |
HD | 18,565 | +909 | $6,739 |
MCCORMICK & COMPANY INCORPORATED COM NON VTG | 80,822 | -2,890 | $6,326 |
MKC | 80,822 | -2,890 | $6,326 |
SALESFORCE INCORPORATED | 20,015 | -114 | $6,085 |
CRM | 20,015 | -114 | $6,085 |
MEDTRONIC PLC SHS | 71,227 | +3,031 | $6,069 |
MDT | 71,227 | +3,031 | $6,069 |
EXXON MOBIL CORPORATION | 46,115 | -1,289 | $5,501 |
XOM | 46,115 | -1,289 | $5,501 |
DEVON ENERGY CORPORATION NEW | 106,200 | +7,622 | $5,482 |
DVN | 106,200 | +7,622 | $5,482 |
CHEVRON CORPORATION NEW | 33,985 | +6,257 | $5,430 |
CVX | 33,985 | +6,257 | $5,430 |
PROCTER AND GAMBLE COMPANY | 33,017 | +165 | $5,302 |
PG | 33,017 | +165 | $5,302 |
CME GROUP INCORPORATED | 24,548 | +1,670 | $5,273 |
CME | 24,548 | +1,670 | $5,273 |
POOL CORPORATION | 13,135 | +210 | $5,145 |
POOL | 13,135 | +210 | $5,145 |
CUMMINS INCORPORATED | 17,079 | -250 | $5,053 |
CMI | 17,079 | -250 | $5,053 |
BEST BUY INCORPORATED | 62,762 | +4,382 | $5,032 |
BBY | 62,762 | +4,382 | $5,032 |
JOHNSON CONTROLS INTERNATIONAL PLC SHS | 75,896 | +4,806 | $4,971 |
JCI | 75,896 | +4,806 | $4,971 |
BLACKROCK INCORPORATED | 6,072 | -451 | $4,958 |
BLK | 6,072 | -451 | $4,958 |
GARMIN LIMITED SHS | 33,229 | -275 | $4,843 |
GRMN | 33,229 | -275 | $4,843 |
CISCO SYSTEMS INCORPORATED | 97,407 | +7,268 | $4,808 |
CSCO | 97,407 | +7,268 | $4,808 |
DARDEN RESTAURANTS INCORPORATED | 29,133 | +1,326 | $4,777 |
DRI | 29,133 | +1,326 | $4,777 |
IQVIA HLDGS INCORPORATED | 19,392 | +192 | $4,761 |
IQV | 19,392 | +192 | $4,761 |
STRYKER CORPORATION | 13,015 | -162 | $4,547 |
SYK | 13,015 | -162 | $4,547 |
AIR PRODUCTS & CHEMICALS INCORPORATED | 18,442 | +1,785 | $4,423 |
APD | 18,442 | +1,785 | $4,423 |
META PLATFORMS INCORPORATED CLASS A | 8,653 | -9 | $4,304 |
META | 8,653 | -9 | $4,304 |
MASTERCARD INCORPORATED CLASS A | 8,925 | -762 | $4,279 |
MA | 8,925 | -762 | $4,279 |
DISNEY WALT COMPANY | 33,668 | -527 | $4,135 |
DIS | 33,668 | -527 | $4,135 |
RAYMOND JAMES FINL INCORPORATED | 29,737 | -1,341 | $3,827 |
RJF | 29,737 | -1,341 | $3,827 |
See Full List: All Stocks Held By Cullen Investment Group LTD.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Cullen Investment Group LTD.
Size ($ in 1000's)
At 03/31/2024: $634,871 At 12/31/2023: $570,987 Cullen Investment Group LTD. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Cullen Investment Group LTD. 13F filings. Link to 13F filings: SEC filings |