Institutions / Foundation Resource Management Inc

Foundation Resource Management Inc

CIK 1179232 · Institution · as of Mar 31, 2026
Portfolio value
$888.52M
Positions
55
As of
Mar 31, 2026

Portfolio trend

Portfolio value

$888.52M+18.9%
$888.52M$818.00M$747.47MQ4 '25Q1 '26

Positions

55+5.8%
555452Q4 '25Q1 '26

Top holdings

Mar 31, 2026View all 55 →
CompanyClassValueShares% of portfolio
Exxon Mobil Corp$71.57M421,8498.1%
Newmont Corp$54.20M500,7346.1%
Chevron Corp$48.81M235,8975.5%
Teck Resources Ltd Cl B$47.26M913,2195.3%
Warren E. Buffett$46.47M96,9815.2%
Conocophillips$37.92M287,2364.3%
Agnico Eagle Mines Ltd$35.78M176,2954.0%
Dollar General Corp$33.65M283,4183.8%
Verizon Communications Inc$32.23M642,0703.6%
Pfizer Inc$26.18M932,4852.9%
Merck & Co., Inc.$24.32M202,2092.7%
Federated Hermes Inc$21.95M386,9862.5%
Hp Inc$21.27M1,107,0042.4%
Ambev S.A.ABEVADR$20.75M7,106,3512.3%
Intel Corp$20.24M458,5812.3%
Comcast Corp.$19.28M671,4742.2%
Adobe Sys Del Pv$ 0.001$19.07M78,4452.1%
Diageo PLC New$17.88M240,1642.0%
LKQ Corp$17.55M597,5672.0%
Mosaic$17.44M683,7312.0%
Barrick Gold Corp$15.78M386,8831.8%
Gilead Sciences, Inc.$14.35M102,9971.6%
Nutrien Ltd$14.06M186,2761.6%
Park Aerospace Corp$13.86M506,0771.6%
Franklin Resources, Inc.$13.83M585,4151.6%

Activity

InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
DateActionCompanyValueShares ΔPosition afterImpact
Q1 2026
as of
New00724f101$19.07M+78K
78,445
2.15% of portfolio
medium
Q1 2026
as of
AddHp Inc$14.07M+732K
+195.36%
1,107,004
2.39% of portfolio
medium
Q1 2026
as of
Add25243q205$10.00M+134K
+126.94%
240,164
2.01% of portfolio
medium
Q1 2026
as of
Trim06849f108$-8.57M-210K
-35.19%
386,883
1.78% of portfolio
medium
Q1 2026
as of
NewCAMPBELL'S Co$7.94M+357K
356,600
0.89% of portfolio
medium
Q1 2026
as of
TrimNewmont Corp$-7.69M-71K
-12.42%
500,734
6.10% of portfolio
medium
Q1 2026
as of
Trim008474108$-7.16M-35K
-16.68%
176,295
4.03% of portfolio
medium
Q1 2026
as of
TrimIntel Corp$-1.94M-44K
-8.76%
458,581
2.28% of portfolio
low
Q1 2026
as of
AddComcast Corp.$1.31M+46K
+7.28%
671,474
2.17% of portfolio
low
Q1 2026
as of
AddMerck & Co., Inc.$1.10M+9K
+4.72%
202,209
2.74% of portfolio
low