Universe · entity

ARMSTRONG HENRY H ASSOCIATES INC

Institutional manager (13F) · CIK 1056827
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $979M
#IssuerValueShares
1MICROSOFT CORP$233M628,422
2BERKSHIRE HATHAWAY INC DEL$197M274
3BERKSHIRE HATHAWAY INC DEL$177M368,685
4JOHNSON & JOHNSON$78M320,096
5MOODYS CORP$63M144,120
6PROCTER & GAMBLE CO$51M353,180
7ALPHABET INC$27M92,935
8UNION PAC CORP$16M66,792
9APPLE INC$15M58,401
10AIR PRODUCTS AND CHEMICALS I$15M50,604
11FASTENAL CO$12M263,274
12ASML HLDG NV$10M7,797
13COCA COLA CO$10M129,057
14MEDTRONIC PLC$9M99,609
15ALPHABET INC$7M24,492
16MASTERCARD INCORPORATED$7M13,050
17ABBVIE INC$4M17,723
18HOME DEPOT INC$4M10,816
19GE AEROSPACE$3M12,043
20STATE STR SPDR S&P 500 ETF T$3M4,742
21AUTOMATIC DATA PROCESSING IN$3M13,865
22NVIDIA CORPORATION$3M15,372
23RB GLOBAL INC$3M27,034
24UBER TECHNOLOGIES INC$3M35,740
25PEPSICO INC$3M16,136
26AMAZON COM INC$2M11,732
27GE VERNOVA INC$2M2,600
28JACOBS SOLUTIONS INC$2M17,081
29VISA INC$2M6,267
30ABBOTT LABORATORIES$2M18,393
313M CO$2M11,500
32VANGUARD INDEX FDS$1M4,449
33EXXON MOBIL CORP$1M7,657
34TJX COS INC NEW$1M7,672
35WATERS CORP$1M3,952
36COSTCO WHOLESALE CORPORATION$1M1,071
37DISNEY WALT CO$873k9,059
38AUTODESK INC$831k3,473
39WALMART INC$791k6,364
40VANGUARD INDEX FDS$646k2,248
41MICRON TECHNOLOGY INC$608k1,800
42CORNING INC$605k4,450
43MCCORMICK & CO INC$588k11,663
44SCHWAB CHARLES CORP$572k6,091
45INTERNATIONAL BUSINESS MACHS$542k2,238
46EMERSON ELEC CO$529k4,034
47VANGUARD INDEX FDS$457k1,745
48PFIZER INC$432k15,394
49SHERWIN WILLIAMS CO$385k1,200
50CHEVRON CORPORATION$326k1,578
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.