FAYEZ SAROFIM & CO Q1 2020 Filing

Filed May 12, 2020

Portfolio Value

$16.3T

Holdings

240

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (240 positions)

#StockSharesValue% PortfolioType
1
AAPLAppleInc.
4,389,005$1.1T6.86%
2
4I1PhilipMorrisInt'lInc.
13,356,207$974.5B5.99%
3
MSFTMicrosoftCorp
6,071,171$957.5B5.88%
4
KOCoca-ColaCo
20,245,012$895.8B5.51%
5
TROWPrice(TRowe)GroupInc.
8,045,540$785.6B4.83%
6
METAFacebookInc.
3,151,118$525.6B3.23%
7
MOAltriaGroupInc.
13,316,025$514.9B3.16%
8
PGProcter&Gamble
3,584,663$394.3B2.42%
9
JPMJPMorganChase&Co.
3,917,137$352.7B2.17%
10
MCDMcDonaldsCorp
2,037,848$337.0B2.07%
11
CVXChevronCorp.
4,593,392$332.8B2.05%
12
PEPPepsiCoInc
2,649,042$318.1B1.96%
13
MDLZMondelezInternational
6,348,876$318.0B1.95%
14
AMZNAmazon.comInc
158,405$308.8B1.90%
15
GOOGAlphabet,Inc.ClassC
257,674$299.6B1.84%
16
XOMExxonMobilCorp
7,873,955$299.0B1.84%
17
SPGIS&PGlobalInc.
1,210,353$296.6B1.82%
18
ABTAbbottLaboratories
3,681,665$290.5B1.79%
19
TXNTexasInstruments
2,797,997$279.6B1.72%
20
VVisaInc.
1,726,156$278.1B1.71%
21
JNJJohnson&Johnson
1,973,073$258.7B1.59%
22
CMCSAComcastCorpClassA
7,504,500$258.0B1.59%
23
UNPUnionPacificCorp
1,824,196$257.3B1.58%
24
NVONovo-NordiskASADR
4,224,936$254.3B1.56%
25
CBChubbLtd.
2,250,812$251.4B1.54%
26
BKBankofNewYorkMellonCorp.
7,394,174$249.0B1.53%
27
MRKMerck&CoInc
3,235,714$249.0B1.53%
28
ABBVAbbvieInc.
3,046,368$232.1B1.43%
29
EPDEnterpriseProductsPartners,LP(MLP)
15,695,290$224.4B1.38%
30
DISWaltDisneyCompany
2,207,432$213.2B1.31%
31
BLKCHFBlackrockInc
472,523$207.9B1.28%
32
ELEsteeLauderCompaniesClassA
1,260,407$200.8B1.23%
33
APDAirProducts&Chemicals
960,358$191.7B1.18%
34
KMIKinderMorganInc.
13,747,747$191.4B1.18%
35
UNHUnitedHealthGroupInc
711,325$177.4B1.09%
36
EVEUREatonVanceCorp(non-voting)
5,160,000$166.4B1.02%
37
AXPAmericanExpressCo
1,795,588$153.7B0.94%
38
ADPAutomaticDataProcessing
947,312$129.5B0.80%
39
CP.TOCanadianPacificRailway
574,888$126.2B0.78%
40
UTXZUnitedTechnologiesCorp
1,327,274$125.2B0.77%
41
PGRProgressiveCorpOhio
1,579,556$116.6B0.72%
42
ISRGIntuitiveSurgicalInc.
234,779$116.3B0.71%
43
ASMLASMLHoldingsNV-NYRegisteredSharesADR
437,406$114.4B0.70%
44
WMTWal-MartStoresInc
879,236$99.9B0.61%
45
ICEIntercontinentalExchange,Inc.
1,106,090$89.3B0.55%
46
NKENIKEIncClassB
1,076,739$89.1B0.55%
47
MAMastercardInc.
359,352$86.8B0.53%
48
LINLindeplc
492,604$85.2B0.52%
49
BRK-BBerkshireHathawayClA
307$83.5B0.51%
50
INTCIntelCorporation
1,466,932$79.4B0.49%
51
UI2KemperCorp
1,049,298$78.0B0.48%
52
SHWSherwin-WilliamsCo
162,895$74.9B0.46%
53
VRSKVeriskAnalyticsInc.
495,754$69.1B0.42%
54
DEODiageoPLCSponsoredADR
522,872$66.5B0.41%
55
BRBroadridgeFinancialSolutions
694,069$65.8B0.40%
56
STTStateStreetCorp
1,197,794$63.8B0.39%
57
BRK/BBerkshireHathawayClB
341,525$62.4B0.38%
58
COPConocoPhillips
1,747,714$53.8B0.33%
59
KELKelloggCo
678,446$40.7B0.25%
60
NVSNNovartisAGSponADR
437,205$36.0B0.22%
61
PSXPhillips66
653,494$35.1B0.22%
62
WBAWalgreensBootsAllianceInc.
697,007$31.9B0.20%
63
RDS/ARoyalDutchShellplcADR
871,400$30.4B0.19%
64
TDYTeledyneTechnologiesInc
99,903$29.7B0.18%
65
ZZillowGroup,Inc.ClassC
786,240$28.3B0.17%
66
ZTSZoetisInc.
233,873$27.5B0.17%
67
HDHomeDepotInc
143,372$26.8B0.16%
68
BUDAnheuserBuschInbevSA/NVSponADR
544,895$24.0B0.15%
69
DYHTargetCorp
246,890$23.0B0.14%
70
PFEPfizerInc
677,892$22.1B0.14%
71
BXBlackstoneGroupInc.ClassA
474,652$21.6B0.13%
72
TTENTotalSAADR
474,529$17.7B0.11%
73
LECOLincolnElectricHldgs
237,500$16.4B0.10%
74
ArgoGroupInternationalHoldings,Ltd.
421,196$15.6B0.10%
75
CHTRCharterCommunications,Inc.ClassA
35,676$15.6B0.10%
76
HESHessCorporation
417,529$13.9B0.09%
77
IBMIntlBusinessMachinesCorp
125,290$13.9B0.09%
78
ALGAlamoGroupInc
151,500$13.4B0.08%
79
ZGZillowGroup,Inc.ClassA
393,120$13.4B0.08%
80
STZConstellationBrandsInc.
88,020$12.6B0.08%
81
CWCurtiss-WrightCorp
120,244$11.1B0.07%
82
TAT&TInc.
343,613$10.0B0.06%
83
FQIDigitalRealtyTrustInc.
68,380$9.5B0.06%
84
PAAPlainsAllAmericanPipelineL.P.(MLP)
1,683,135$8.9B0.05%
85
SBUXStarbucksCorp
132,185$8.7B0.05%
86
LUVSouthwestAirlinesCo
239,647$8.5B0.05%
87
BKNGBookingHoldingsInc.
6,296$8.5B0.05%
88
GILDGileadSciencesInc
99,227$7.4B0.05%
89
BACBankofAmerica
301,433$6.4B0.04%
90
CSCOCiscoSystemsInc
148,227$5.8B0.04%
91
LLYEliLilly&Co
40,358$5.6B0.03%
92
MMM3MCompany
40,484$5.5B0.03%
93
KHCKraftHeinzCo.(The)
223,169$5.5B0.03%
94
AMGNAmgenInc
25,434$5.2B0.03%
95
FOXAFoxCorporationClassA
200,425$4.7B0.03%
96
ANATUSDAmericanNationalInsCo
53,931$4.4B0.03%
97
RETAEURReataPharmaceuticals,Inc.ClassA
30,129$4.3B0.03%
98
SBRSabineRoyaltyTrust
151,249$4.2B0.03%
99
FMXFomentoEconomicoMexicanoSABdeCVSponsoredADR
68,945$4.2B0.03%
100
SJMSmucker(JM)Co
36,680$4.1B0.03%
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