Universe · entity

JENSEN INVESTMENT MANAGEMENT INC

Institutional manager (13F) · CIK 1106129
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $5.0B
#IssuerValueShares
1Microsoft Corp$433M1,171,009
2Alphabet Inc Cap Stk Cl A$417M1,449,021
3Apple, Inc.$405M1,595,941
4NVIDIA Corp$285M1,632,015
5Amazon.com Inc.$254M1,219,422
6Mastercard Inc$245M490,929
7KLA Corporation$244M165,632
8Stryker Corp$229M696,367
9Eli Lilly & Co.$212M230,671
10Sherwin-Williams Co$201M626,286
11Marsh, Inc.$200M1,151,204
12Meta Platforms, Inc. Class A$195M341,147
13Abbott Labs$153M1,486,036
14Waste Management$150M651,328
15Procter & Gamble Co$144M997,406
16Equifax Inc$141M783,100
17Cadence Design Systems, Inc.$141M505,861
18Broadridge Financial Solutions$139M855,784
19Broadcom, Inc.$138M445,649
20Veeva Systems Inc. Class A$100M566,467
21Verisk Analytics Inc$91M481,494
22McDonald's Corp.$86M276,262
23Motorola Solutions Inc.$74M169,491
24Copart Inc.$53M1,603,423
25Intuit Inc.$45M103,535
26Amphenol Corp$28M225,363
27Automatic Data Processing, Inc$21M104,897
28Oracle Corp$18M120,790
29Ecolab Inc$16M58,860
30Jensen Quality Growth ETF$14M574,732
31PepsiCo Inc.$13M81,335
32Accenture plc Class A$12M58,324
33Waters Corp$12M38,766
34Colgate-Palmolive Co$10M118,640
35Emerson Elec Co$10M74,490
36Coca-Cola Co$8M111,651
37AON plc Registered Shs$8M25,569
38Adobe Inc$8M33,832
39Cognizant Technology Solutions$7M106,417
40Crown Holdings Inc.$6M56,903
41Taiwan Semiconductor Manuf$6M16,427
42Labcorp Holdings, Inc.$5M18,480
43Encompass Health Corp$5M50,660
44Kroger Company$5M66,270
45Keysight Technologies, Inc.$5M16,962
46Clorox Company$5M46,165
47Ross Stores Inc$5M22,024
48Tractor Supply Co$4M97,780
49MSCI, Inc.$4M7,750
503M Co.$4M27,629
All filings on EDGAR ↗

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