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Auxier Asset Management LLC

All holdings · as of Mar 31, 2026

176 positions

CompanyClassValueShares% of portfolio
CISCO SYSTEMS, INC.$3.65M47,0500.5%
PAYCHEX INC$3.49M37,8930.5%
Arcos Dorados Hldgs.$3.46M419,5470.5%
Amazon.com Inc$3.43M16,4770.5%
FISERV INC$3.37M60,4650.5%
AMGEN INC$3.13M8,9100.5%
Phillips 66$3.03M16,6330.4%
FedEx Corp$3.03M8,5010.4%
MCDONALD'S CORP$2.96M9,5170.4%
Becton Dickinson & Co$2.80M17,8190.4%
Keurig Dr. Pepper Inc.$2.80M106,2560.4%
The Boeing Company$2.71M13,5950.4%
Qnity Electronics Inc.$2.67M23,1340.4%
CENTRAL PACIFIC FINANCIAL CORP$2.67M83,4800.4%
PROCTER & GAMBLE Co$2.58M17,8400.4%
Trane Technologies PLC$2.51M6,0200.4%
WELLS FARGO & COMPANY/MN$2.45M30,8150.4%
Grand Canyon Education, Inc.$2.45M14,4100.4%
WAFD INC$2.45M77,9920.4%
DR Horton, Inc$2.36M17,2000.3%
Comcast Corp Cl A$2.32M80,7850.3%
General Motors Company$2.30M30,8790.3%
Ameriprise Financial Inc.$2.22M4,9880.3%
DuPont de Nemours, Inc$2.10M45,7820.3%
CATERPILLAR INC$2.09M2,9510.3%
EXXON MOBIL CORP$2.03M11,9610.3%
Parker-Hannifin Corp$1.98M2,2170.3%
AMERICAN EXPRESS CO$1.95M6,4610.3%
Alphabet, Inc Non-Voting Class$1.95M6,8100.3%
Warner Bros. Discovery, Inc.$1.93M70,1410.3%
America Movil ADR$1.92M75,2800.3%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$1.89M5,5870.3%
Cognizant Technology Solutions Corp$1.89M30,7430.3%
Mondelez International, Inc.$1.76M30,5520.3%
Celanese Corp$1.75M26,5330.3%
ORACLE CORP$1.74M11,8520.3%
PFIZER INC$1.73M61,7590.2%
Union Pacific Corp$1.71M7,0440.2%
The Mosaic Company$1.69M66,2640.2%
Yum! Brands Inc$1.68M10,8360.2%
Biogen Inc.$1.63M8,8690.2%
HERSHEY CO$1.59M7,6600.2%
VERIZON COMMUNICATIONS INC$1.55M30,8470.2%
Glaxo SmithKline ADS$1.52M27,5320.2%
Shell PLC$1.51M16,1880.2%
United Parcel Service Inc$1.49M15,1500.2%
FTAI Aviation Ltd.$1.47M6,0000.2%
H&R Block Inc$1.37M43,2120.2%
AON Plc$1.36M4,2220.2%
Walt Disney Co$1.36M14,1140.2%
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