Universe · entity

RBO & CO LLC

Institutional manager (13F) · CIK 1162827
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $618M
#IssuerValueShares
1JOHNSON&JOHNSON$53M215,143
2ABBVIE INC$40M186,062
3MCDONALDS CORP$33M107,160
4BERKSHIRE HATH-B$31M64,784
5PHILIP MORRIS IN$30M179,973
6PEPSICO INC$23M149,250
7WYNDHAM HOTELS &$22M276,101
8ABBOTT LABS$22M217,815
9JPMORGAN CHASE$22M74,101
10CIE FINANCI-REG$21M120,053
11MONDELEZ INTER-A$21M358,239
12KEYSIGHT TECHNOLOGIES INC$20M71,752
13EXXON MOBIL CORP$19M114,777
14LIVE NATION ENTE$19M126,920
15KENVUE INC$17M984,976
16COCA-COLA CO/THE$17M221,718
17REGENCY CENTERS$16M217,792
18GRACO INC$15M177,280
19WESTAMERICA BANC$15M282,198
20ZOETIS INC$15M122,983
21ADOBE INC$14M57,067
22WALT DISNEY CO$14M141,895
23WASTE MANAGEMENT$14M59,209
24COOPER COS INC$13M181,095
25EQUIFAX INC$13M71,004
26LOCKHEED MARTIN$12M20,359
27BROWN-FORMAN -B$11M424,272
28WARNER MUSIC-A$11M419,845
29OXFORD INDS INC$10M254,861
30ALTRIA GROUP INC$6M98,239
31MICROSOFT CORP$4M9,735
32BERKSHIRE HATH-A$4M5
33KIMBERLY-CLARK CORP$3M32,157
34DIAGEO PLC-ADR$3M35,939
35ALPHABET INC-A$2M8,485
36VISA INC-CLASS A$2M5,230
37NVIDIA CORP$1M7,470
38DOMINION ENERGY$1M17,976
39PRICE T ROWE GROUP INC$1M11,843
40CATERPILLAR INC$1M1,500
41ORACLE CORP$971k6,600
42PFIZER INC$953k33,953
43VANGUARD SCOTTSDALE FDS$825k14,091
44VERIZON COMMUNIC$745k14,846
45APPLE INC$677k2,669
46NEXTERA ENERGY$669k7,200
47ILLINOIS TOOL WO$547k2,100
48BANK NEW YORK MELLON CORP$475k4,000
49AMERICAN TOWER C$431k2,500
50FERRARI NV$429k1,289
All filings on EDGAR ↗

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