Universe · entity
Douglass Winthrop Advisors, LLC
Institutional manager (13F) · CIK 1308527
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $5.0B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | BERKSHIRE HATHAWAY INC | $419M | 874,970 |
| 2 | ALPHABET INC | $391M | 1,362,278 |
| 3 | MICROSOFT CORP | $265M | 715,013 |
| 4 | AMAZON COM INC | $257M | 1,235,231 |
| 5 | MASTERCARD INC | $189M | 377,294 |
| 6 | COSTCO WHOLESALE CORP | $188M | 188,814 |
| 7 | APPLE INC COM | $183M | 722,635 |
| 8 | DEERE & CO | $181M | 321,034 |
| 9 | UBER TECHNOLOGIES INC | $162M | 2,249,740 |
| 10 | MARKEL GROUP INC | $154M | 80,498 |
| 11 | FASTENAL CO COM | $145M | 3,116,146 |
| 12 | MARTIN MARIETTA MATLS INC | $129M | 219,073 |
| 13 | TEXAS PACIFIC LAND CORP | $128M | 268,886 |
| 14 | AON PLC | $127M | 394,536 |
| 15 | ALPHABET INC-CL A | $120M | 419,011 |
| 16 | TRANSDIGM GROUP INC | $119M | 102,803 |
| 17 | SHERWIN WILLIAMS CO | $119M | 370,122 |
| 18 | NETFLIX INC | $118M | 1,226,753 |
| 19 | S&P GLOBAL INC | $108M | 254,542 |
| 20 | Linde PLC | $105M | 211,490 |
| 21 | CANADIAN NATIONAL RAILWAY CO | $98M | 954,295 |
| 22 | MONSTER BEVERAGE CORP | $97M | 1,334,076 |
| 23 | LONDON STOCK EXCHANGE GROUP AD | $94M | 3,151,140 |
| 24 | BROOKFIELD ASSET MANAGEMENT LT | $93M | 2,109,243 |
| 25 | CIE FINANCIERE RICHEMONT SA | $92M | 5,229,318 |
| 26 | AMERICAN TOWER CORP | $87M | 502,932 |
| 27 | NESTLE S A | $85M | 854,265 |
| 28 | FERRARI N V NEW F | $84M | 252,533 |
| 29 | BERKSHIRE HATHAWAY INC-CL A | $77M | 107 |
| 30 | ROPER TECHNOLOGIES INC | $73M | 205,930 |
| 31 | METTLER-TOLEDO INTL INC | $67M | 53,235 |
| 32 | NIKE INC CLASS B | $65M | 1,235,137 |
| 33 | COPART INC | $52M | 1,564,642 |
| 34 | AMERICAN EXPRESS CO COM | $39M | 129,146 |
| 35 | PROCTER & GAMBLE COMPANY COM | $37M | 254,116 |
| 36 | MERCK & CO. INC. | $35M | 292,328 |
| 37 | JOHNSON & JOHNSON COM | $25M | 103,834 |
| 38 | TRANE TECHNOLOGIES PLC | $25M | 59,779 |
| 39 | NVIDIA CORP | $21M | 121,340 |
| 40 | JPMORGAN CHASE & CO | $21M | 70,475 |
| 41 | EXXON MOBIL CORP | $19M | 112,840 |
| 42 | TAIWAN SEMICONDUCTOR MFG CO AD | $18M | 52,044 |
| 43 | VISA INC-CLASS A SHARES | $17M | 56,777 |
| 44 | DOVER CORP | $16M | 77,215 |
| 45 | ASML HOLDING NV-NY REG SHS | $14M | 10,512 |
| 46 | THERMO FISHER SCIENTIFIC INC | $12M | 24,843 |
| 47 | ABBVIE INC | $11M | 52,875 |
| 48 | THE COCA-COLA CO | $11M | 146,410 |
| 49 | DANAHER CORP | $11M | 58,283 |
| 50 | SPDR S&P 500 ETF TR TR UNIT | $11M | 16,907 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.