Sign in:
Email
 Password  save:
  
 Company Reports 
 
   
My Recent Searches
  Help
 
   
 
 
 
     
Company Main View
  Name: FOCUSED INVESTORS FUND L P
  City: LOS ANGELES
  State: CA
  Zip: 90067
   
Achive data
  View Filing Period:
  
 
Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $3,193,124,000
  Total Value Change : $0
  Securities Held Change :
   
All Securities Held : 23
  New Positions : 0
  Closed Positions : 0
  Increased Positions : 0
  Unchanged Positions : 23
  Decreased Positions : 0

                  Consumer Discretionary Consumer Staples Financials Health Care Industrials Information Technology Basic Materials Conglomerates Energy Utilities
 Download  
 
    Free Registration Required For Full Results

   
Holdings Found : 23     View All Holdings Currently Viewing:  ALL     Page 1 of 1
     Menu
Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (ANTM)1 Year Chart         ANTM Anthem Inc 1 - $539.18 $249,884,000 481,900 7.83% 0 0 0.192    N/A
   (CI)1 Year Chart         CI Cigna Corporation 2 - $348.39 $205,529,000 565,900 6.44% 0 0 0.154    Health Care Plans
   (MSFT)1 Year Chart         MSFT Microsoft Corp 3 - $414.74 $202,850,000 482,150 6.35% 0 0 0.006    Application Software
   (JNJ)1 Year Chart         JNJ Johnson & Johnson 4 - $149.91 $193,996,000 1,226,350 6.08% 0 0 0.047    Drug Manufacturers - ...
   (UNH)1 Year Chart         UNH Unitedhealth Group Inc 5 - $512.81 $186,329,000 376,650 5.84% 0 0 0.04    Health Care Plans
   (FISV)1 Year Chart         FISV Fiserv Inc 6 - $154.22 $181,556,000 1,136,000 5.69% 0 0 0.169    Business Software & S...
   (ORCL)1 Year Chart         ORCL Oracle Corp 7 - $116.67 $164,518,000 1,309,750 5.15% 0 0 0.044    Application Software
   (MS)1 Year Chart         MS Morgan Stanley 8 - $98.28 $159,714,000 1,696,200 5% 0 0 0.091    Investment Brokerage ...
   (FDX)1 Year Chart         FDX Fedex Corp 9 - $265.73 $151,418,000 522,600 4.74% 0 0 0.199    AirDelivery & Freight...
   (GS)1 Year Chart         GS Goldman Sachs Group Inc 10 - $454.73 $146,317,000 350,300 4.58% 0 0 0.102    Investment Brokerage ...
   (MCD)1 Year Chart         MCD McDonalds Corp 11 - $275.00 $128,090,000 454,300 4.01% 0 0 0.061    Restaurants
   (TGT)1 Year Chart         TGT Target Corp 12 - $163.13 $125,536,000 708,400 3.93% 0 0 0.142    Discount, Variety Stores
   (LOW)1 Year Chart         LOW Lowes Companies Inc 13 - $235.03 $122,856,000 482,300 3.85% 0 0 0.064    Home Improvement Stores
   (DIS)1 Year Chart         DIS Walt Disney Co 14 - $105.79 $120,653,000 986,050 3.78% 0 0 0.055    Entertainment - Diver...
   (NOC)1 Year Chart         NOC Northrop Grumman Corp 15 - $474.80 $108,369,000 226,400 3.39% 0 0 0.136    Aerospace/Defense - M...
   (AXP)1 Year Chart         AXP American Express Co 16 - $242.30 $107,379,000 471,600 3.36% 0 0 0.059    Credit Services
   (TJX)1 Year Chart         TJX TJX Companies Inc 17 - $98.81 $103,144,000 1,017,000 3.23% 0 0 0.085    Discount, Variety Stores
   (LHX)1 Year Chart         LHX L3harris Technologies Inc 18 - $219.60 $101,872,000 478,050 3.19% 0 0 0.221    Communication Equipment
   (PEP)1 Year Chart         PEP Pepsico Inc 19 - $179.79 $101,331,000 579,000 3.17% 0 0 0.042    Beverage Soft Drinks...
   (LMT)1 Year Chart         LMT Lockheed Martin Corp 20 - $468.88 $96,614,000 212,400 3.03% 0 0 0.076    Aerospace/Defense - M...
   (HD)1 Year Chart         HD Home Depot Inc 21 - $346.43 $90,088,000 234,850 2.82% 0 0 0.022    Home Improvement Stores
   (RTX)1 Year Chart         RTX RTX Corp 22 - $101.02 $80,594,000 826,350 2.52% 0 0 0.058    Conglomerates
   (KO)1 Year Chart         KO Coca-Cola Co 23 - $63.26 $64,487,000 1,054,050 2.02% 0 0 0.025    Beverage Soft Drinks...

      23 Records Found
  1    
Page 1 of 1
Free Registration Required For Full Results