Everett Harris & Co ca/ 13F annual report

Everett Harris & Co ca/ is an investment fund managing more than $7.54 trillion ran by Dave Clark. There are currently 237 companies in Mr. Clark’s portfolio. The largest investments include Berkshire Hathaway and Novo-nordisk A S, together worth $2.03 trillion.

$7.54 trillion Assets Under Management (AUM)

As of 12th April 2024, Everett Harris & Co ca/’s top holding is 703,393 shares of Berkshire Hathaway currently worth over $1.19 trillion and making up 15.8% of the portfolio value. Relative to the number of outstanding shares of Berkshire Hathaway, Everett Harris & Co ca/ owns more than 1.1% of the company. In addition, the fund holds 6,497,372 shares of Novo-nordisk A S worth $834 billion. The third-largest holding is Apple Inc worth $762 billion and the next is Microsoft worth $650 billion, with 1,544,041 shares owned.

Currently, Everett Harris & Co ca/'s portfolio is worth at least $7.54 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Everett Harris & Co ca/

The Everett Harris & Co ca/ office and employees reside in Los Angeles, California. According to the last 13-F report filed with the SEC, Dave Clark serves as the Chief Compliance Officer at Everett Harris & Co ca/.

Recent trades

In the most recent 13F filing, Everett Harris & Co ca/ revealed that it had opened a new position in Lam Research and bought 1,133 shares worth $1.1 billion. This means they effectively own approximately 0.1% of the company. Lam Research makes up 0.1% of the fund's Technology sector allocation and has grown its share price by 81.0% in the past year.

The investment fund also strengthened its position in Vanguard World Fd by buying 3,616 additional shares. This makes their stake in Vanguard World Fd total 767,995 shares worth $205 billion.

On the other hand, there are companies that Everett Harris & Co ca/ is getting rid of from its portfolio. Everett Harris & Co ca/ closed its position in Brown-Forman on 19th April 2024. It sold the previously owned 8,412 shares for $501 million. Dave Clark also disclosed a decreased stake in Berkshire Hathaway by approximately 0.1%. This leaves the value of the investment at $1.19 trillion and 703,393 shares.

One of the largest hedge funds

The two most similar investment funds to Everett Harris & Co ca/ are O'shaughnessy Asset Management and Riverbridge Partners. They manage $7.54 trillion and $7.53 trillion respectively.


Dave Clark investment strategy

Everett Harris & Co ca/’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Finance — making up 16.7% of the total portfolio value. The fund focuses on investments in the United States as 48.1% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 48% of the total holdings value. On the other hand, small-cap stocks make up only 1.3% of the portfolio. The average market cap of the portfolio companies is close to $137 billion.

The complete list of Everett Harris & Co ca/ trades based on 13F SEC filings

These positions were updated on April 19th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Berkshire Hathaway Inc.
0.45%
703,393
$1,194,196,428,000 15.84%
Novo-nordisk A S
0.24%
6,497,372
$834,262,565,000 11.07%
Apple Inc
1.42%
4,440,912
$761,527,576,000 10.10%
Microsoft Corporation
1.04%
1,544,041
$649,608,788,000 8.62%
Costco Whsl Corp New
0.49%
869,676
$637,151,012,000 8.45%
Alphabet Inc
0.45%
2,738,373
$416,106,648,000 5.52%
Vanguard World Fd
0.47%
767,995
$205,049,147,000 2.72%
Amazon.com Inc.
1.07%
1,025,368
$184,955,880,000 2.45%
Abbott Labs
0.93%
1,530,964
$174,009,350,000 2.31%
Disney Walt Co
0.08%
1,238,720
$151,569,718,000 2.01%
Becton Dickinson Co
0.41%
570,861
$141,259,444,000 1.87%
Accenture Plc Ireland
0.82%
370,682
$128,482,088,000 1.70%
Tjx Cos Inc New
0.58%
1,145,625
$116,189,287,000 1.54%
Mcdonalds Corp
0.01%
400,783
$113,000,877,000 1.50%
Bank America Corp
0.52%
2,914,857
$128,956,297,000 1.71%
Starbucks Corp.
0.75%
1,123,784
$102,702,620,000 1.36%
Nike, Inc.
0.10%
1,082,635
$101,746,009,000 1.35%
Abbvie Inc
0.63%
533,684
$97,183,856,000 1.29%
Chevron Corp.
2.31%
594,496
$93,775,799,000 1.24%
Johnson Johnson
1.49%
551,309
$87,211,589,000 1.16%
Unilever plc
0.43%
1,687,310
$84,686,089,000 1.12%
Comcast Corp New
0.24%
1,691,521
$73,327,427,000 0.97%
Pepsico Inc
0.06%
415,955
$72,796,285,000 0.97%
Colgate-Palmolive Co.
1.70%
799,625
$72,006,231,000 0.96%
Factset Resh Sys Inc
0.05%
148,395
$67,429,204,000 0.89%
Walmart Inc
197.62%
863,401
$51,950,838,000 0.69%
Home Depot, Inc.
0.65%
105,296
$40,391,380,000 0.54%
Expeditors Intl Wash Inc
1.14%
325,081
$39,520,097,000 0.52%
American Wtr Wks Co Inc New
1.16%
302,096
$36,919,152,000 0.49%
Progressive Corp.
1.37%
144,760
$29,939,263,000 0.40%
Lockheed Martin Corp.
0.45%
60,392
$27,470,509,000 0.36%
Baxter International Inc.
0.77%
567,791
$24,267,373,000 0.32%
Verizon Communications Inc
0.47%
571,944
$23,998,779,000 0.32%
Merck Co Inc
0.83%
176,945
$23,347,893,000 0.31%
Mastercard Incorporated
2.96%
48,075
$23,151,478,000 0.31%
Vanguard Index Fds
0.82%
99,517
$38,405,120,000 0.51%
Ecolab, Inc.
No change
74,903
$17,295,103,000 0.23%
Anheuser-Busch InBev SA/NV
0.78%
277,437
$16,862,621,000 0.22%
Exxon Mobil Corp.
0.04%
143,594
$16,691,351,000 0.22%
Edwards Lifesciences Corp
0.05%
170,156
$16,260,107,000 0.22%
Schwab Charles Corp
0.73%
213,520
$15,446,037,000 0.20%
United Parcel Service, Inc.
2.73%
101,075
$15,022,813,000 0.20%
Jacobs Solutions Inc
12.49%
94,266
$14,491,512,000 0.19%
Taiwan Semiconductor Mfg Ltd
2.44%
92,542
$12,590,339,000 0.17%
Union Pac Corp
0.40%
47,502
$11,682,107,000 0.15%
Shell Plc
24.10%
168,701
$11,309,715,000 0.15%
Procter And Gamble Co
1.96%
55,942
$9,076,599,000 0.12%
RTX Corp
8.35%
92,919
$9,062,390,000 0.12%
Oneok Inc.
0.22%
112,868
$9,048,628,000 0.12%
Henry Schein Inc.
13.93%
119,257
$9,006,289,000 0.12%
Thermo Fisher Scientific Inc.
0.24%
14,033
$8,156,120,000 0.11%
Ishares Inc
4.56%
215,604
$8,995,455,000 0.12%
NextEra Energy Inc
1.79%
120,991
$7,732,535,000 0.10%
Simon Ppty Group Inc New
0.84%
48,961
$7,661,907,000 0.10%
Vanguard Scottsdale Fds
5.20%
95,715
$7,425,233,000 0.10%
Coca-Cola Co
3.79%
117,477
$7,187,262,000 0.10%
AMGEN Inc.
10.97%
25,023
$7,114,539,000 0.09%
Eli Lilly Co
0.51%
8,938
$6,953,406,000 0.09%
Canadian Pacific Kansas City
0.90%
77,458
$6,829,472,000 0.09%
Meta Platforms Inc
2.98%
13,667
$6,636,422,000 0.09%
Allison Transmission Hldgs I
1.37%
78,310
$6,355,640,000 0.08%
Qualcomm, Inc.
0.73%
34,744
$5,882,159,000 0.08%
Emerson Elec Co
2.60%
51,768
$5,871,527,000 0.08%
Zimmer Biomet Holdings Inc
3.75%
42,502
$5,609,414,000 0.07%
Laboratory Corp Amer Hldgs
26.05%
23,576
$5,150,413,000 0.07%
Valvoline Inc
3.34%
110,912
$4,943,348,000 0.07%
Sysco Corp.
3.30%
59,367
$4,819,413,000 0.06%
CSW Industrials Inc
0.23%
19,603
$4,598,864,000 0.06%
Yum Brands Inc.
No change
31,743
$4,401,167,000 0.06%
Medtronic Plc
0.33%
48,283
$4,207,863,000 0.06%
Visa Inc
9.35%
14,736
$4,112,523,000 0.05%
Vanguard Whitehall Fds
9.25%
33,608
$4,066,276,000 0.05%
Pfizer Inc.
22.74%
144,722
$4,016,035,000 0.05%
Vanguard Bd Index Fds
2.76%
47,620
$3,651,025,000 0.05%
PayPal Holdings Inc
14.09%
53,801
$3,604,129,000 0.05%
Jpmorgan Chase Co
2.31%
121,195
$6,509,345,000 0.09%
NVIDIA Corp
2.49%
3,718
$3,359,086,000 0.04%
Spdr Sp 500 Etf Tr
2.54%
6,059
$3,169,281,000 0.04%
Kinder Morgan Inc
3.67%
172,645
$3,166,309,000 0.04%
Rogers Communications Inc.
1.52%
75,664
$3,102,224,000 0.04%
Dorchester Minerals LP
No change
87,100
$2,937,012,000 0.04%
Blackrock Inc.
3.72%
3,414
$2,846,252,000 0.04%
Profire Energy Inc
3.99%
1,484,591
$2,746,493,000 0.04%
Dominion Energy Inc
23.77%
55,669
$2,738,358,000 0.04%
Intel Corp.
3.15%
61,342
$2,709,476,000 0.04%
Danaher Corp.
0.28%
10,819
$2,701,721,000 0.04%
Phillips 66
0.48%
16,478
$2,691,517,000 0.04%
Cardinal Health, Inc.
No change
21,960
$2,457,324,000 0.03%
Bath Body Works Inc
3.54%
48,112
$2,406,576,000 0.03%
Tetra Technologies, Inc.
3.86%
522,973
$2,316,770,000 0.03%
Enterprise Prods Partners L
2.73%
78,389
$2,287,391,000 0.03%
Stryker Corp.
No change
6,240
$2,233,109,000 0.03%
International Flavorsfragra
30.77%
25,140
$2,161,789,000 0.03%
Intuitive Surgical Inc
No change
5,278
$2,106,397,000 0.03%
Novartis AG
2.67%
21,493
$2,079,018,000 0.03%
Automatic Data Processing In
23.47%
7,710
$1,925,495,000 0.03%
CVS Health Corp
5.98%
23,695
$1,889,913,000 0.03%
Enbridge Inc
12.13%
49,691
$1,797,820,000 0.02%
Wells Fargo Co New
2.42%
28,670
$3,335,276,000 0.04%
American Express Co.
26.99%
7,188
$1,636,636,000 0.02%
Ishares Tr
7.13%
86,180
$8,230,987,000 0.11%
Cisco Sys Inc
5.81%
31,624
$1,578,354,000 0.02%
Paccar Inc.
1.34%
12,648
$1,566,961,000 0.02%
General Electric Co
15.03%
8,708
$1,528,515,000 0.02%
Honeywell International Inc
0.13%
7,427
$1,524,392,000 0.02%
West Pharmaceutical Svsc Inc
No change
3,757
$1,486,682,000 0.02%
Fedex Corp
4.49%
5,111
$1,480,861,000 0.02%
Vanguard Specialized Funds
9.81%
7,632
$1,393,680,000 0.02%
Caterpillar Inc.
6.99%
3,780
$1,385,105,000 0.02%
Brookfield Corp
9.89%
32,039
$1,341,473,000 0.02%
Vanguard Intl Equity Index F
0.34%
36,087
$1,626,930,000 0.02%
Bank Hawaii Corp
No change
20,300
$1,266,517,000 0.02%
Unitedhealth Group Inc
2.06%
2,520
$1,246,644,000 0.02%
Us Bancorp Del
6.21%
27,262
$1,218,611,000 0.02%
Deere Co
No change
2,800
$1,150,072,000 0.02%
Philip Morris International Inc
2.21%
12,549
$1,149,739,000 0.02%
Lam Research Corp.
Opened
1,133
$1,100,789,000 0.01%
Weyerhaeuser Co Mtn Be
3.64%
30,604
$1,098,990,000 0.01%
Citigroup Inc
80.84%
17,073
$1,079,697,000 0.01%
Alliant Energy Corp.
9.73%
21,346
$1,075,838,000 0.01%
Adobe Inc
173.15%
2,106
$1,062,688,000 0.01%
TC Energy Corporation
10.36%
25,665
$1,031,733,000 0.01%
Utah Med Prods Inc
3.30%
14,338
$1,019,575,000 0.01%
Boeing Co.
0.38%
5,247
$1,012,619,000 0.01%
Kimberly-Clark Corp.
3.11%
7,789
$1,007,507,000 0.01%
Gallagher Arthur J Co
22.26%
4,021
$1,005,411,000 0.01%
Alexander Baldwin Inc New
489.71%
60,475
$996,023,000 0.01%
Yum China Holdings Inc
No change
24,978
$993,875,000 0.01%
Federal Agric Mtg Corp
No change
5,047
$993,653,000 0.01%
Conocophillips
8.83%
7,700
$980,056,000 0.01%
Kroger Co.
No change
17,000
$971,210,000 0.01%
Organon Co
3.43%
49,932
$938,729,000 0.01%
Suncor Energy, Inc.
Opened
23,761
$877,019,000 0.01%
Lululemon Athletica inc.
0.22%
2,236
$873,493,000 0.01%
EBay Inc.
2.51%
15,520
$819,146,000 0.01%
Select Sector Spdr Tr
2.79%
17,081
$2,479,265,000 0.03%
Zoetis Inc
No change
4,803
$812,716,000 0.01%
Invesco Exchange Traded Fd T
1.40%
4,696
$795,362,000 0.01%
3M Co.
14.04%
7,286
$772,826,000 0.01%
Texas Instrs Inc
No change
4,339
$755,897,000 0.01%
Applied Matls Inc
51.35%
3,596
$741,603,000 0.01%
International Business Machs
4.72%
3,882
$741,307,000 0.01%
Oracle Corp.
1.68%
5,869
$737,205,000 0.01%
Altria Group Inc.
6.10%
16,800
$732,816,000 0.01%
Carrier Global Corporation
25.95%
12,538
$728,834,000 0.01%
Att Inc
4.85%
40,948
$720,685,000 0.01%
Illinois Tool Wks Inc
0.27%
2,615
$701,683,000 0.01%
Host Hotels Resorts Inc
No change
33,733
$697,598,000 0.01%
Bristol-Myers Squibb Co.
3.37%
12,770
$692,517,000 0.01%
Linde Plc.
23.77%
1,458
$676,979,000 0.01%
HNI Corp.
37.50%
15,000
$676,950,000 0.01%
Chubb Limited
No change
2,579
$668,296,000 0.01%
Kellanova Co
1.24%
11,550
$661,699,000 0.01%
Target Corp
0.96%
3,608
$639,374,000 0.01%
Limoneira Co
0.97%
32,429
$634,311,000 0.01%
Air Prods Chems Inc
19.89%
2,532
$613,428,000 0.01%
Schwab Strategic Tr
10.42%
29,033
$1,789,240,000 0.02%
Snap-on, Inc.
No change
2,000
$592,440,000 0.01%
Williams Cos Inc
1.85%
15,175
$591,370,000 0.01%
Vanguard Tax-managed Fds
0.01%
11,477
$575,801,000 0.01%
Mondelez International Inc.
0.58%
7,648
$535,360,000 0.01%
Northrop Grumman Corp.
3.84%
1,103
$527,962,000 0.01%
Netflix Inc.
10.43%
859
$521,696,000 0.01%
CSX Corp.
No change
13,877
$514,420,000 0.01%
Nuveen Ca Qualty Mun Income
No change
46,000
$506,920,000 0.01%
Brown-Forman Corporation
Closed
8,412
$501,271,000
Cummins Inc.
1.49%
1,700
$500,905,000 0.01%
Elevance Health Inc
No change
941
$487,946,000 0.01%
Lowes Cos Inc
0.90%
1,872
$476,728,000 0.01%
Ameriprise Finl Inc
No change
1,072
$470,008,000 0.01%
Hubbell Inc.
No change
1,100
$456,555,000 0.01%
Kenvue Inc
7.06%
21,243
$455,875,000 0.01%
Tesla Inc
16.50%
2,480
$435,959,000 0.01%
Otis Worldwide Corporation
No change
4,219
$418,820,000 0.01%
Post Holdings Inc
No change
3,907
$415,236,000 0.01%
Hannon Armstrong Sust Infr C
5.80%
14,600
$414,640,000 0.01%
Public Storage.
No change
1,392
$403,764,000 0.01%
Avangrid Inc
Opened
11,000
$400,840,000 0.01%
Fresenius Medical Care AG
4.32%
20,657
$398,267,000 0.01%
Grupo Aeropuerto Del Pacific
No change
2,369
$386,550,000 0.01%
Chicago Atlantic Real Estate
No change
24,500
$386,365,000 0.01%
Sp Global Inc
No change
888
$377,800,000 0.01%
Edison Intl
No change
5,335
$377,345,000 0.01%
Daily Journal Corporation
No change
1,039
$375,713,000 0.00%
Truist Finl Corp
No change
9,298
$362,436,000 0.00%
Church Dwight Co Inc
No change
3,415
$356,219,000 0.00%
Check Point Software Tech Lt
No change
2,150
$352,621,000 0.00%
General Mls Inc
39.22%
4,853
$339,564,000 0.00%
Brookfield Asset Managmt Ltd
9.86%
8,078
$339,438,000 0.00%
Occidental Pete Corp
16.66%
5,195
$337,623,000 0.00%
American Elec Pwr Co Inc
14.97%
3,861
$332,432,000 0.00%
TotalEnergies SE
Closed
4,823
$324,974,000
General Dynamics Corp.
2.62%
1,136
$320,909,000 0.00%
Corning, Inc.
No change
9,700
$319,712,000 0.00%
Fidelity Covington Trust
No change
2,050
$319,472,000 0.00%
GSK Plc
23.50%
7,396
$317,067,000 0.00%
Waste Mgmt Inc Del
10.47%
1,477
$314,823,000 0.00%
Fortune Brands Innovations I
No change
3,700
$313,279,000 0.00%
Chipotle Mexican Grill
Opened
107
$311,024,000 0.00%
Norfolk Southn Corp
No change
1,210
$308,393,000 0.00%
Levi Strauss Co New
No change
15,050
$300,849,000 0.00%
Advanced Micro Devices Inc.
3.77%
1,651
$297,989,000 0.00%
Textron Inc.
No change
3,100
$297,383,000 0.00%
Marathon Pete Corp
No change
1,465
$295,197,000 0.00%
Eaton Corp Plc
Opened
940
$293,919,000 0.00%
Atmos Energy Corp.
29.22%
2,422
$287,903,000 0.00%
Brookfield Infrast Partners
26.42%
9,167
$286,102,000 0.00%
Brookfield Renewable Partner
Opened
12,300
$285,729,000 0.00%
Fidelity National Financial Inc
No change
5,295
$281,164,000 0.00%
Equifax, Inc.
No change
1,045
$279,558,000 0.00%
SilverCrest Metals Inc
No change
40,958
$272,780,000 0.00%
Walgreens Boots Alliance Inc
1.96%
12,499
$271,103,000 0.00%
Public Svc Enterprise Grp In
No change
4,044
$270,058,000 0.00%
Allstate Corp (The)
No change
1,555
$269,031,000 0.00%
Bellring Brands Inc
No change
4,508
$266,107,000 0.00%
Broadcom Inc.
0.50%
199
$263,757,000 0.00%
Saba Capital Income Opport
Opened
67,715
$258,672,000 0.00%
Salesforce Inc
No change
852
$256,605,000 0.00%
Veralto Corp
Closed
3,027
$249,001,000
Centerpoint Energy Inc.
5.42%
8,725
$248,575,000 0.00%
National Grid Plc
0.36%
3,634
$247,934,000 0.00%
Marsh Mclennan Cos Inc
No change
1,196
$246,352,000 0.00%
Fortrea Hldgs Inc
No change
6,125
$245,857,000 0.00%
Cigna Group (The)
Opened
665
$241,521,000 0.00%
Humana Inc.
Closed
509
$233,025,000
Gilead Sciences, Inc.
Closed
2,869
$232,418,000
FRP Holdings Inc
1.34%
3,782
$232,215,000 0.00%
Biogen Inc
Closed
863
$223,319,000
Agilent Technologies Inc.
No change
1,520
$221,175,000 0.00%
First Solar Inc
Opened
1,300
$219,440,000 0.00%
Wolfspeed Inc
Closed
5,000
$217,550,000
Select Sector Spdr Tr
Closed
2,955
$212,849,000
First Tr Morningstar Divid L
Closed
5,694
$204,301,000
Rockwell Automation Inc
Opened
700
$203,931,000 0.00%
Tortoise Midstrm Energy Fd I
Opened
5,300
$203,149,000 0.00%
Charter Communications Inc N
Closed
522
$202,891,000
Seabridge Gold, Inc.
No change
13,000
$196,560,000 0.00%
Embecta Corp
Closed
10,107
$191,326,000
Ford Mtr Co Del
No change
13,725
$182,268,000 0.00%
Energy Transfer L P
No change
10,697
$168,264,000 0.00%
Invesco Calif Value Mun Inco
No change
16,059
$159,948,000 0.00%
Plug Power Inc
No change
26,469
$91,053,000 0.00%
Renew Energy Global Plc
Opened
15,000
$90,000,000 0.00%
Clean Energy Fuels Corp
No change
25,000
$67,000,000 0.00%
Equinox Gold Corp
No change
10,668
$64,221,000 0.00%
New Pac Metals Corp
No change
34,650
$46,431,000 0.00%
Lantronix Inc
No change
13,000
$46,280,000 0.00%
Abrdn Asia Pacific Income Fu
0.14%
10,399
$29,117,000 0.00%
No transactions found
Showing first 500 out of 248 holdings