Universe · entity

HENDLEY & CO INC

Institutional manager (13F) · CIK 1084207
13F holdings · as of 2026-03-31 · top 45 · reported portfolio $270k
#IssuerValueShares
1BERKSHIRE HATHAWAY - CL B$25k51,441
2VISA INC.$21k68,501
3AMPHENOL CORPORATION CL A$16k129,326
4MICROSOFT CORPORATION$16k42,901
5APPLE INC.$15k57,948
6WHEATON PRECIOUS METALS CORP$12k93,941
7ABBOTT LABORATORIES$10k98,449
8PARKER-HANNIFIN CORP.$10k10,759
9AMAZON.COM,INC.$9k41,982
10CHEVRON CORPORATION$9k41,085
11UNION PACIFIC CORP.$8k34,502
12EATON CORP PLC$8k23,151
13CONOCOPHILLIPS$8k57,769
14LINDE PLC$8k15,170
15PEPSICO INC.$7k47,866
16COSTCO WHOLESALE CORP$7k7,128
17JOHNSON & JOHNSON$7k27,184
18EOG RESOURCES, INC.$6k44,513
19ASTRAZENECA ADR$6k32,377
20PROCTER & GAMBLE COMPANY$6k44,128
21HONEYWELL INTERNATIONAL$6k24,522
22AMERICAN ELECTRIC POWER COMPAN$5k37,887
23HERSHEY COMPANY COM$5k23,055
24STRYKER CORPORATION$5k14,348
25FACTSET RESEARCH SYSTEMS, INC.$4k19,820
26SLB LIMITED$4k79,120
27PHILIP MORRIS INTERNATIONAL,IN$4k23,101
28AUTOZONE, INC.$3k992
29ALPHABET, INC. - CLASS A$3k10,458
30EQT CORP.$2k38,080
31EXXONMOBIL CORP$2k13,462
32HOWMET AEROSPACE INC$2k9,009
33GENERAC HOLDINGS INC.$2k10,039
34AMERICAN EXPRESS COMPANY$2k5,545
35ADVANCED MICRO DEVICES INC$2k7,665
36NVIDIA CORPORATION$1k6,995
37BROWN FORMAN CL B$84832,060
38COCA COLA CO$7289,576
39T. ROWE PRICE GROUP$7228,010
40L3 HARRIS TECHNOLOGIES, INC.$6781,965
41TJX COMPANIES INC.$5413,390
42APPLIED MATERIALS, INC.$3741,095
43BROADCOM, INC.$3311,070
44ALPHABET, INC. - CLASS C$3231,125
45PHILLIPS 66$2421,330
All filings on EDGAR ↗

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