HoldingsChannel.com
All Stocks Held By Schwerin Boyle Capital Management Inc.
As of  09/30/2022, we find all stocks held by Schwerin Boyle Capital Management Inc. to be as follows, presented in the table below with each row detailing each Schwerin Boyle Capital Management Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Schwerin Boyle Capital Management Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Schwerin Boyle Capital Management Inc. as of the latest filing.

   EntityAmountChange
 06/30/2022 to 09/30/2022
Position Size
($ in 1000's)
BERKSHIRE HATH B      $131,713
     BRK.B490,225-1,278$130,900
     BRK.A2UNCH$813
ALPHABET INC 727,160 +690,742 $69,916
     GOOG727,160+690,742$69,916
WELLS FARGO 1,340,371 -2,100 $53,910
     WFC1,340,371-2,100$53,910
AMER EXPRESS 375,879 -150 $50,710
     AXP375,879-150$50,710
ACCENTURE PLC 195,225 -700 $50,231
     ACN195,225-700$50,231
BANK OF AMERICA 1,511,924 +3,486 $45,660
     BAC1,511,924+3,486$45,660
GARTNER INC 136,262 -41,341 $37,702
     IT136,262-41,341$37,702
EXXON MOBIL 387,310 +3,475 $33,816
     XOM387,310+3,475$33,816
APPLE INC 236,915 +650 $32,742
     AAPL236,915+650$32,742
MASTERCARD INC 110,119 -150 $31,311
     MA110,119-150$31,311
CARMAX INC 403,205 -1,550 $26,620
     KMX403,205-1,550$26,620
AGCO CORP 272,571 -1,150 $26,213
     AGCO272,571-1,150$26,213
JP MORGAN CHASE 217,476 -550 $22,726
     JPM217,476-550$22,726
SPX TECH. INC. 375,740 -1,475 $20,748
     SPXC375,740-1,475$20,748
LOEWS CORP 366,760 UNCH $18,279
     L366,760UNCH$18,279
VALERO ENERGY 162,000 UNCH $17,310
     VLO162,000UNCH$17,310
US BANCORP 421,113 +600 $16,979
     USB421,113+600$16,979
SCHLUMBERGER 465,085 +800 $16,697
     SLB465,085+800$16,697
META PLATFORMS 121,500 -3,565 $16,485
     FB121,500-3,565$16,485
MCKESSON CORP 46,000 UNCH $15,634
     MCK46,000UNCH$15,634
ALIBABA GROUP HOLDING SP ADR 189,875 -600 $15,188
     BABA189,875-600$15,188
LIBERTY SIRIUS A 387,030 +9,500 $14,734
     LSXMA387,030+9,500$14,734
MICROSOFT 60,210 -700 $14,023
     MSFT60,210-700$14,023
PHILLIPS 66 145,101 -800 $11,713
     PSX145,101-800$11,713
PAYPAL HOLDINGS 130,724 -250 $11,251
     PYPL130,724-250$11,251
COGNIZANT TECH 181,475 UNCH $10,424
     CTSH181,475UNCH$10,424
AMERISOURCEBERGEN 75,975 UNCH $10,282
     ABC75,975UNCH$10,282
ALLEGION PLC 107,756 -333 $9,664
     ALLE107,756-333$9,664
ALTRIA GROUP INC 232,925 UNCH $9,406
     MO232,925UNCH$9,406
CHARLES SCHWAB 127,075 -450 $9,133
     SCHW127,075-450$9,133
EVERTEC INC 253,800 UNCH $7,957
     EVTC253,800UNCH$7,957
GENTEX CORP 324,000 UNCH $7,724
     GNTX324,000UNCH$7,724
CITIGROUP 167,635 UNCH $6,985
     C167,635UNCH$6,985
LIBERTY MED FORM 1 115,048 -1,650 $6,730
     FWONK115,048-1,650$6,730
TEXAS PAC LAND 3,700 UNCH $6,576
     TPL3,700UNCH$6,576
ATLAS CORP 408,574 -175,676 $5,679
     ATCO408,574-175,676$5,679
ANSYS INC 24,975 UNCH $5,537
     ANSS24,975UNCH$5,537
MEDTRONIC PLC 60,000 UNCH $4,845
     COM60,000UNCH$4,845
SHYFT GROUP 220,557 UNCH $4,506
     SHYF220,557UNCH$4,506
WALT DISNEY CO. 46,225 -20,000 $4,360
     DIS46,225-20,000$4,360
ANHEUSER BUSCH ADR 87,540 UNCH $3,953
     BUD87,540UNCH$3,953
EXPEDITERS INTERNATIONAL WASH 7,124 UNCH $629
     EXPD7,124UNCH$629
BRISTOL MYERS 8,475 UNCH $602
     BMY8,475UNCH$602
ORACLE CORP 7,124 UNCH $435
     ORCL7,124UNCH$435
WABTEC CORP 5,081 -12 $413
     WAB5,081-12$413
NOW INC 30,518 -137 $307
     DNOW30,518-137$307
LIBERTY BROADBAND 0 -2,375 $0 (exited)
     LBRDK0-2,375$0

See Summary: Schwerin Boyle Capital Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Schwerin Boyle Capital Management Inc.

EntityShares/Amount
Change
Position Value
Change
LBRDK -2,375-$275
EntityShares/Amount
Change
Position Value
Change
GOOG +690,742-$9,747
LSXMA +9,500+$1,128
BAC +3,486-$1,298
XOM +3,475+$944
SLB +800+$94
AAPL +650+$440
USB +600-$2,373
L UNCH-$3,455
VLO UNCH+$93
MCK UNCH+$628
EntityShares/Amount
Change
Position Value
Change
ATCO -175,676-$578
IT -41,341-$5,248
DIS -20,000-$1,892
FB -3,565-$3,682
WFC -2,100+$1,325
FWONK -1,650-$677
KMX -1,550-$10,002
SPXC -1,475+$816
BRK -1,278-$3,295
Size ($ in 1000's)
At 09/30/2022: $918,458
At 06/30/2022: $979,804

Schwerin Boyle Capital Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Schwerin Boyle Capital Management Inc. 13F filings. Link to 13F filings: SEC filings

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