Institutions / Eubel Brady & Suttman Asset Management Inc

Eubel Brady & Suttman Asset Management Inc

CIK 1080382 · Institution · as of Mar 31, 2026
Portfolio value
$845.1K
Positions
113
As of
Mar 31, 2026

Portfolio trend

Portfolio value

$845.1K-5.0%
$890.0K$867.6K$845.1KQ4 '25Q1 '26

Positions

113+0.9%
113113112Q4 '25Q1 '26

Top holdings

Mar 31, 2026View all 113 →
CompanyClassValueShares% of portfolio
Brookfield Corp$38.1K941,1294.5%
Warren E. Buffett$36.6K76,3964.3%
Comcast Corp.$35.9K1,249,2024.2%
PayPal Holdings, Inc.$34.8K769,9864.1%
Medtronic plc$28.7K330,6943.4%
International Flavors & Fragrances Inc$28.6K394,3513.4%
Zimmer Biomet Holdings Inc$27.1K300,0903.2%
Intuit Inc.$26.7K61,8103.2%
Walt Disney Co$26.6K276,4393.2%
Brown Forman Corp$25.8K977,2323.1%
Slb LIMITED/NV$23.9K464,4872.8%
Microsoft Corp$23.7K63,9422.8%
Kenvue Inc.$23.4K1,359,1632.8%
Gentex Corp$22.5K1,027,5002.7%
CNH Industrial N.V.$22.2K2,016,5562.6%
Pool Corp$21.5K106,1302.5%
Etsy Inc$21.0K420,0942.5%
Garrett Motion Inc.GTXCommon Stock$20.9K1,147,4922.5%
Loews Corp$19.7K184,5922.3%
Crocs, Inc.$19.4K233,7852.3%
Polaris Inc.$19.1K349,5942.3%
CarMax Inc$18.6K446,8782.2%
Marketaxess Holdings Inc$18.4K111,4832.2%
Vontier Corp$17.1K480,8762.0%
Cnx Resources Corp$15.7K408,4621.9%

Activity

InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
DateActionCompanyValueShares ΔPosition afterImpact
Q1 2026
as of
ExitWarner Bros. Discovery, Inc.$-48.1K-1.7M
-100.00%
low
Q1 2026
as of
TrimGTX
Garrett Motion Inc.
Common Stock
$-29.6K-1.6M
-58.70%
1,147,492
2.47% of portfolio
low
Q1 2026
as of
AddIntuit Inc.$26.5K+61K
+12940.08%
61,810
3.16% of portfolio
low
Q1 2026
as of
NewPool Corp$21.5K+106K
106,130
2.54% of portfolio
low
Q1 2026
as of
NewCrocs, Inc.$19.4K+234K
233,785
2.30% of portfolio
low
Q1 2026
as of
TrimJohnson & Johnson$-18.8K-77K
-91.29%
7,329
0.21% of portfolio
low
Q1 2026
as of
NewMarketaxess Holdings Inc$18.4K+111K
111,483
2.18% of portfolio
low
Q1 2026
as of
TrimFortive Corp$-13.1K-237K
-95.68%
10,708
0.07% of portfolio
low
Q1 2026
as of
AddPayPal Holdings, Inc.$12.5K+275K
+55.70%
769,986
4.12% of portfolio
low
Q1 2026
as of
AddMicrosoft Corp$10.8K+29K
+84.16%
63,942
2.80% of portfolio
low