Universe · entity

Foyston, Gordon & Payne Inc

Institutional manager (13F) · CIK 1322853
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $422M
#IssuerValueShares
1Microsoft Corp.$29M77,366
2Meta Platforms, Inc.$24M42,187
3Broadcom Inc.$24M76,332
4Alphabet Inc. CL A$21M73,003
5Philip Morris International Inc.$18M110,512
6Honeywell International Inc.$16M69,473
7Keysight Technologies Inc.$15M52,885
8Booking Holdings Inc.$13M3,205
9American Express$13M42,768
10Union Pacific Corp.$13M51,927
11Marsh & McLennan Cos.$13M72,328
12SEI Investments Company$12M157,787
13Gartner Inc.$11M70,749
14Otis Worldwide Corp.$10M135,320
15Becton Dickinson & Co.$10M63,960
16Allegion PLC$10M68,960
17Mondelez International Inc.$10M171,354
18Salesforce Inc$10M51,132
19LPL Financial Holdings Inc.$9M28,724
20UnitedHealth Group Inc.$8M29,467
21Johnson & Johnson$8M32,130
22Berkshire Hathaway Inc. CL B$8M16,323
23CDW Corp. of Delaware$8M63,004
24Qualcomm Inc.$7M58,150
25Wal-Mart Stores Inc.$7M59,850
26Coca Cola Co.$7M93,720
27Pool Corporation$7M33,253
28Visa Inc. Class A Shares$6M19,344
29Henry Schein, Inc.$5M73,934
30W.W. Grainger Inc.$5M4,903
31IQVIA Holdings Inc$5M29,962
32Willis Towers Watson Public Limited Company$5M17,240
33Autodesk Inc.$5M20,629
34WEX Inc.$5M30,447
35Sunbelt Rental Holdings Inc$4M68,690
36ExlService Holdings Inc.$4M144,370
37CME Group Inc.$4M14,450
38Genpact Limited$4M106,898
39Ross Stores Inc.$4M16,728
40Uber Technologies, Inc.$3M48,159
41Procter & Gamble Co.$3M21,328
42RTX Corporation$3M14,869
43AbbVie Inc.$3M12,200
44Smith (A.O.) Corp.$2M35,276
45L3Harris Technologies Inc.$2M6,605
46Sony Group Corp. - Spon ADR$2M85,579
47Waters Corporation$2M5,621
48ICON Public Limited Company$2M14,535
49Motorola Solutions Inc.$2M3,698
50Novartis AG - ADR$2M10,331
All filings on EDGAR ↗

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