Universe · entity

Barbara Oil Co.

Institutional manager (13F) · CIK 1599670
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $241M
#IssuerValueShares
1JOHNSON & JOHNSON$25M102,000
2JPMORGAN CHASE & CO$20M67,000
3WALMART INC$14M110,000
4BANK NEW YORK MELLON CORP$9M80,000
5GLOBE LIFE INC$9M67,500
6CATERPILLAR INC$9M12,500
7EXXON MOBIL CORP$9M51,505
8MICROSOFT CORP$9M23,220
9HOME DEPOT INC$8M24,000
10MERCK & CO INC$7M62,295
11PROCTER AND GAMBLE CO$7M50,000
12TRANSDIGM GROUP INC$6M5,065
13EMERSON ELEC CO$6M42,500
14LOCKHEED MARTIN CORP$5M8,500
15CISCO SYS INC$5M60,000
16BOEING CO$4M22,500
17PFIZER INC$4M157,488
18ABBVIE INC$4M20,000
19ILLINOIS TOOL WKS INC$4M15,000
20INTEL CORP$4M85,000
21UNION PAC CORP$4M15,000
22HONEYWELL INTL INC$4M16,000
23NORFOLK SOUTHN CORP$4M12,500
24GALLAGHER ARTHUR J & CO$4M16,500
25L3HARRIS TECHNOLOGIES INC$3M10,000
26ALPHABET INC-CL C$3M12,000
27APPLIED MATLS INC$3M10,000
28MASTERCARD INCORPORATED$3M6,630
29IDEXX LABORATORIES INC$3M5,245
30NVIDIA CORP$3M15,640
31ANALOG DEVICES INC$3M8,500
32AVERY DENNISON CORP$3M15,500
33BRISTOL-MYERS SQUIBB CO$3M42,000
34BWX TECHNOLOGIES INC$2M11,675
35PROGRESSIVE CORP$2M11,600
36AMPHENOL CORP NEW$2M18,200
37CHEVRON CORP NEW$2M10,000
38UNITEDHEALTH GROUP INC$2M7,500
39LIVE NATION ENTERTAINMENT INC$2M13,010
40BANK AMERICA CORP$2M40,000
41TEXAS INSTRS INC$2M10,000
42AMAZON COM INC$2M8,800
43COPART INC$2M54,800
44WATSCO INC$2M5,000
45GUIDEWIRE SOFTWARE INC$2M10,500
46RTX CORPORATION$2M8,000
47ABBOTT LABS$2M15,000
48FASTENAL CO$1M32,000
49WELLS FARGO CO NEW$1M18,000
50OREILLY AUTOMOTIVE INC$1M15,000
All filings on EDGAR ↗

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