FAYEZ SAROFIM & CO Q2 2018 Filing

Filed August 14, 2018

Portfolio Value

$18.6T

Holdings

245

Report Date

Q2 2018

Filing Type

13F-HR

All Holdings (245 positions)

#StockSharesValue% PortfolioType
1
4I1PhilipMorrisInt'lInc.
15,113,162$1.2T6.57%
2
KOCoca-ColaCo
22,087,205$968.7B5.21%
3
TROWPrice(TRowe)GroupInc.
8,006,760$929.5B5.00%
4
AAPLAppleInc.
4,888,870$905.0B4.87%
5
XOMExxonMobilCorp
10,322,787$854.0B4.60%
6
MOAltriaGroupInc.
15,001,775$852.0B4.59%
7
CVXChevronCorp.
5,142,254$650.1B3.50%
8
MSFTMicrosoftCorp
6,416,989$632.8B3.41%
9
METAFacebookInc.
2,997,613$582.5B3.14%
10
EPDEnterpriseProductsPartners,LP(MLP)
19,703,711$545.2B2.93%
11
JPMJPMorganChase&Co.
4,350,487$453.3B2.44%
12
BKBankofNewYorkMellonCorp.
7,395,825$398.9B2.15%
13
MCDMcDonaldsCorp
2,161,861$338.7B1.82%
14
ABBVAbbvieInc.
3,534,813$327.5B1.76%
15
CBChubbLtd.
2,575,971$327.2B1.76%
16
TXNTexasInstruments
2,946,799$324.9B1.75%
17
STTStateStreetCorp
3,137,893$292.1B1.57%
18
PEPPepsiCoInc
2,648,453$288.3B1.55%
19
PGProcter&Gamble
3,599,491$281.0B1.51%
20
UNPUnionPacificCorp
1,955,097$277.0B1.49%
21
GOOGAlphabet,Inc.ClassC
242,059$270.1B1.45%
22
EVEUREatonVanceCorp(non-voting)
5,160,080$269.3B1.45%
23
MDLZMondelezInternational
6,452,214$264.5B1.42%
24
CMCSAComcastCorpClassA
8,040,819$263.8B1.42%
25
JNJJohnson&Johnson
2,145,245$260.3B1.40%
26
KMIKinderMorganInc.
14,023,873$247.8B1.33%
27
ABTAbbottLaboratories
3,921,991$239.2B1.29%
28
VVisaInc.
1,792,900$237.5B1.28%
29
BLKCHFBlackrockInc
459,390$229.3B1.23%
30
NVONovo-NordiskASADR
4,496,960$207.4B1.12%
31
AXPAmericanExpressCo
2,056,395$201.5B1.08%
32
SPGIS&PGlobalInc.
956,520$195.0B1.05%
33
ELEsteeLauderCompaniesClassA
1,366,292$195.0B1.05%
34
COPConocoPhillips
2,682,677$186.8B1.01%
35
DISWaltDisneyCompany
1,771,922$185.7B1.00%
36
MRKMerck&CoInc
2,919,994$177.2B0.95%
37
PXGBXPraxairInc
1,048,514$165.8B0.89%
38
UTXZUnitedTechnologiesCorp
1,261,254$157.7B0.85%
39
ADPAutomaticDataProcessing
1,009,985$135.5B0.73%
40
KHCKraftHeinzCo.(The)
2,093,963$131.5B0.71%
41
UNHUnitedHealthGroupInc
482,543$118.4B0.64%
42
TwentyFirstCenturyFoxInc.ClassA(LimitedVoting)
2,371,789$117.9B0.63%
43
BUDAnheuserBuschInbevSA/NVSponADR
1,149,026$115.8B0.62%
44
CP.TOCanadianPacificRailway
625,562$114.5B0.62%
45
WBAWalgreensBootsAllianceInc.
1,773,100$106.4B0.57%
46
ASMLASMLHoldingsNV-NYRegisteredSharesADR
503,759$99.7B0.54%
47
ICEIntercontinentalExchange,Inc.
1,307,192$96.1B0.52%
48
TTENTotalSAADR
1,581,590$95.8B0.52%
49
NKENIKEIncClassB
1,196,129$95.3B0.51%
50
AMZNAmazon.comInc
54,947$93.4B0.50%
51
APDAirProducts&Chemicals
596,473$92.9B0.50%
52
STZConstellationBrandsInc.
403,080$88.2B0.47%
53
PAAPlainsAllAmericanPipelineL.P.(MLP)
3,667,457$86.7B0.47%
54
WMTWal-MartStoresInc
961,252$82.3B0.44%
55
PSXPhillips66
731,280$82.1B0.44%
56
DEODiageoPLCSponsoredADR
567,023$81.7B0.44%
57
UI2KemperCorp
1,028,267$77.8B0.42%
58
INTCIntelCorporation
1,530,308$76.1B0.41%
59
WFCWellsFargo&Co
1,356,096$75.2B0.40%
60
RDS/ARoyalDutchShellplcADR
1,016,093$70.3B0.38%
61
NVSNNovartisAGSponADR
860,262$65.0B0.35%
62
BRK-BBerkshireHathawayClA
226$63.7B0.34%
63
ISRGIntuitiveSurgicalInc.
129,014$61.7B0.33%
64
VRSKVeriskAnalyticsInc.
547,356$58.9B0.32%
65
FOXATwentyFirstCenturyFoxInc.ClassB
1,165,491$57.4B0.31%
66
KELKelloggCo
712,602$49.8B0.27%
67
ZZillowGroup,Inc.ClassC
786,240$46.4B0.25%
68
HDHomeDepotInc
150,405$29.3B0.16%
69
ArgoGroupInternationalHoldings,Ltd.
430,754$25.0B0.13%
70
PFEPfizerInc
670,813$24.3B0.13%
71
ZGZillowGroup,Inc.ClassA
393,120$23.5B0.13%
72
IBMIntlBusinessMachinesCorp
163,181$22.8B0.12%
73
OXYOccidentalPetroleumCorp
259,869$21.7B0.12%
74
LECOLincolnElectricHldgs
239,700$21.0B0.11%
75
DYHTargetCorp
265,388$20.2B0.11%
76
ZTSZoetisInc.
236,753$20.2B0.11%
77
TDYTeledyneTechnologiesInc
99,903$19.9B0.11%
78
RLRalphLaurenCorp.
121,460$15.3B0.08%
79
CWCurtiss-WrightCorp
119,959$14.3B0.08%
80
RHRH
100,000$14.0B0.08%
81
LUVSouthwestAirlinesCo
273,008$13.9B0.07%
82
ALGAlamoGroupInc
151,500$13.7B0.07%
83
BENFranklinResourcesInc
350,150$11.2B0.06%
84
TAT&TInc.
341,084$11.0B0.06%
85
FMXFomentoEconomicoMexicanoSABdeCVSponsoredADR
123,810$10.9B0.06%
86
EOGEOGResourcesInc
86,224$10.7B0.06%
87
CPTCamdenPropertyTrust
114,200$10.4B0.06%
88
GILDGileadSciencesInc
146,632$10.4B0.06%
89
CHTRCharterCommunications,Inc.ClassA
35,276$10.3B0.06%
90
MMM3MCompany
48,536$9.5B0.05%
91
HESHessCorporation
139,604$9.3B0.05%
92
BMTABritishAmericanTobacco
173,607$8.8B0.05%
93
BACBankofAmerica
300,694$8.5B0.05%
94
BRK/BBerkshireHathawayClB
42,317$7.9B0.04%
95
ORCLOracleCorp
165,116$7.3B0.04%
96
SBRSabineRoyaltyTrust
151,249$7.1B0.04%
97
IMOImperialOilLtd
210,650$7.0B0.04%
98
ANATUSDAmericanNationalInsCo
53,931$6.5B0.03%
99
CSCOCiscoSystemsInc
145,749$6.3B0.03%
100
CDKCDKGlobalInc.
95,103$6.2B0.03%
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