Universe · entity

Arlington Partners LLC

Institutional manager (13F) · CIK 1389848
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $47M
#IssuerValueShares
1Vanguard FTSE Developed Markets ETF$18M277,768
2Vanguard Short-Term Government Bond Index Fund ETF$13M225,571
3Palmer Square Capital BDC Inc$5M510,344
4Estee Lauder Companies Inc.$254k3,537
5Ryan Specialty Holdings Inc Class A$252k7,470
6TransUnion$250k3,616
7Warner Music Group Corp Com Cl A$250k9,789
8Solventum Corp Com Shs$249k3,812
9Thermo Fisher Scientific Inc$248k504
10Zillow Group Inc Class C$244k5,908
11Relx PLC ADR$244k7,371
12S&P Global Inc.$244k573
13Visa Inc Class A Shares$244k806
14Arthur J Gallagher & Co$243k1,124
15Pepsico Inc$243k1,567
16News Corp Class A$243k9,744
17Haleon PLC Spon ADS$243k24,246
18Starbucks Corp$242k2,706
19Rentokil Initial plc Sponsored ADR$242k7,698
20SAP Ag Sponsored ADR$242k1,414
21GSK PLC ADR$242k4,382
22Alphabet Inc. Stock Class A$242k841
23Johnson & Johnson$242k988
24Bristol-Myers Squibb Co$241k3,977
25Novartis Ag Adr$241k1,579
26Coca Cola Co$241k3,165
27Ebay Inc$241k2,643
28Disney Walt Co$240k2,495
29Philip Morris International Inc$240k1,454
30Live Nation Entertainment, Inc.$240k1,575
31Procter & Gamble Co$240k1,659
32Zoetis Inc Common$239k2,026
33Corteva, Inc.$239k2,857
34Gartner$239k1,509
35Fox Corporation Class B$239k4,498
36Microsoft Corp$239k645
37Novo Nordisk A/S Spons Adr$239k6,494
38Diageo PLC Sponsored ADR$239k3,205
39Accenture Plc$239k1,203
40Intercontinental Exchange Group$238k1,515
41MSCI Inc$238k442
42Berkshire Hathaway Inc B$238k497
43Roper Technologies Inc$238k673
44Airbnb Inc Class A$238k1,884
45Salesforce.com Inc.$238k1,273
46British American Tobacco ADR$237k4,057
47Honeywell International Inc$237k1,049
48Apple Inc$237k934
49Home Depot Inc$236k719
50Raytheon Technologies Corp$236k1,225
All filings on EDGAR ↗

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