Universe · entity
THOMAS STORY & SON LLC
Institutional manager (13F) · CIK 1505207
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $260M
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | COSTCO WHOLESALE CORPORATION COM | $17M | 17,294 |
| 2 | JOHNSON & JOHNSON COM | $15M | 62,591 |
| 3 | VISA INC COM CL A | $15M | 48,403 |
| 4 | WILLIAMS SONOMA INC COM | $14M | 77,237 |
| 5 | ADVANCED MICRO DEVICES INC COM | $14M | 68,121 |
| 6 | GENERAL DYNAMICS CORP COM | $13M | 38,986 |
| 7 | OREILLY AUTOMOTIVE INC COM | $13M | 137,206 |
| 8 | APPLE INC COM | $12M | 47,417 |
| 9 | TRACTOR SUPPLY CO COM | $12M | 263,227 |
| 10 | ALPHABET INC CAP STK CL A | $11M | 38,226 |
| 11 | CHEVRON CORPORATION COM | $11M | 52,535 |
| 12 | WEC ENERGY GROUP INC COM | $11M | 91,630 |
| 13 | MERCK & CO INC COM | $9M | 78,545 |
| 14 | PROCTER & GAMBLE CO COM | $9M | 64,114 |
| 15 | LEIDOS HOLDINGS INC COM | $7M | 47,964 |
| 16 | FASTENAL CO COM | $7M | 156,650 |
| 17 | ABBOTT LABORATORIES COM | $7M | 69,734 |
| 18 | BERKSHIRE HATHAWAY INC DEL CL B NEW | $7M | 13,702 |
| 19 | ACCENTURE PLC IRELAND SHS CLASS A | $6M | 32,331 |
| 20 | IDACORP INC COM | $6M | 44,258 |
| 21 | ASML HLDG NV N Y REGISTRY SHS | $6M | 4,734 |
| 22 | ILLINOIS TOOL WKS INC COM | $5M | 21,050 |
| 23 | COCA COLA CO COM | $4M | 53,224 |
| 24 | C H ROBINSON WORLDWIDE IN COM NEW | $4M | 22,555 |
| 25 | VANGUARD SHORT-TERM TREASURY ETF | $3M | 58,802 |
| 26 | ELI LILLY & CO COM | $2M | 2,655 |
| 27 | NVIDIA CORPORATION COM | $2M | 9,250 |
| 28 | BERKSHIRE HATHAWAY INC DEL CL A | $1M | 2 |
| 29 | JPMORGAN CHASE & CO COM | $1M | 4,329 |
| 30 | TRIMBLE INC COM | $1M | 19,243 |
| 31 | PAYCHEX INC COM | $1M | 13,245 |
| 32 | LINDE PLC SHS | $1M | 2,410 |
| 33 | MCKESSON CORP COM | $1M | 1,345 |
| 34 | WW GRAINGER INC COM | $1M | 1,053 |
| 35 | CATERPILLAR INC COM | $956k | 1,350 |
| 36 | COTERRA ENERGY INC COM | $772k | 21,964 |
| 37 | MICROSOFT CORP COM | $720k | 1,945 |
| 38 | UNION PAC CORP COM | $710k | 2,925 |
| 39 | PARSONS CORP DEL COM | $698k | 12,890 |
| 40 | AMGEN INC COM | $457k | 1,300 |
| 41 | SOUTHERN CO COM | $449k | 4,650 |
| 42 | NEXTERA ENERGY INC COM | $378k | 4,070 |
| 43 | COMMERCE BANCSHARES INC COM | $344k | 6,989 |
| 44 | SERVICE CORP INTL COM | $264k | 3,200 |
| 45 | HOME DEPOT INC COM | $255k | 775 |
| 46 | ALPHABET INC CAP STK CL C | $247k | 860 |
| 47 | ENTERPRISE PRODS PARTNERS L P COM | $230k | 6,075 |
| 48 | ISHARES S&P 100 ETF | $223k | 700 |
| 49 | AMERICAN ELEC PWR CO INC COM | $216k | 1,650 |
| 50 | SYNOPSYS INC COM | $212k | 535 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.