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S&CO Inc

All holdings · as of Mar 31, 2026

218 positions

CompanyClassValueShares% of portfolio
EXXON MOBIL CORP$89.2K526,0035.5%
Warren E. Buffett$78.6K164,0754.9%
MICROSOFT CORP$70.4K190,1974.4%
CATERPILLAR INC$70.0K98,8274.3%
CHURCH & DWIGHT CO INC /DE$60.7K650,2303.8%
ECOLAB INC.$60.1K226,0603.7%
Apple Inc.$59.0K232,3573.7%
MERCK & CO INC$51.2K425,5283.2%
Amazon.com Inc$41.1K197,1532.5%
AUTOMATIC DATA PROCESSING INC$41.0K201,9782.5%
JOHNSON & JOHNSON$38.4K157,0982.4%
CAMECO CORP$35.6K327,5742.2%
SPDR GOLD TRUST$34.7K80,5652.2%
Alphabet Inc.$33.9K118,1132.1%
Air Products & Chemicals, Inc.$27.4K94,4281.7%
Alphabet Inc.$27.3K95,0871.7%
Mosaic Co/The$24.6K963,6671.5%
PROSUS NV -SPON ADR$22.4K2,497,4661.4%
ANTERO RESOURCES Corp$20.7K487,6041.3%
THERMO FISHER SCIENTIFIC INC.$20.6K41,8271.3%
ABBOTT LABORATORIES$20.5K199,7201.3%
PayPal Holdings, Inc.$20.1K445,2701.2%
ELI LILLY & Co$19.8K21,5191.2%
ROYALTY PHARMA PLC CL A$17.2K358,3771.1%
Union Pacific Corp$16.8K69,3531.0%
Liberty Live Holdings, Inc.$16.6K176,5711.0%
FULLER H B CO$16.1K261,1711.0%
Palo Alto Networks Inc$13.9K86,9250.9%
Sirius XM Holdings Inc$13.4K581,4270.8%
LINDE PLC$12.9K26,0520.8%
NVIDIA CORP COM$12.6K72,1560.8%
SPDR S&P BIOTECH ETF$12.0K94,2800.7%
PEPSICO INC$12.0K76,9820.7%
UNITEDHEALTH GROUP INC COM$11.9K44,0720.7%
Visa Inc$11.3K37,5530.7%
EVERPURE, INC. CLASS A$11.2K190,4200.7%
Mastercard Inc$10.7K21,4810.7%
GE VERNOVA INC$10.7K12,2410.7%
BOSTON SCIENTIFIC CORP$10.7K169,7910.7%
GENERAL ELECTRIC CO$10.6K37,4710.7%
Liberty Media Corp-Liberty Formula One$10.4K122,5280.6%
ASTRAZENECA PLC$9.8K50,7650.6%
MEDTRONIC PLC$9.4K108,1280.6%
AFLAC INC$9.2K83,5700.6%
ALKERMES PLC$8.7K244,7600.5%
GFL ENVIRONMENTAL$8.5K203,1740.5%
ROLLINS INC$8.4K156,3930.5%
CISCO SYSTEMS INC COM$8.3K107,5460.5%
ANALOG DEVICES INC$7.9K24,7890.5%
Airbnb, Inc.$7.9K62,3550.5%
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