MondegarAI
Longbow Finance SA

Q2 2024 · 13F-HR

Longbow Finance SAholdings as filed

Filed 2024-08-12 · accession 0001104659-24-088354

$967.4M
Reported value
85
Positions
2024-06-30
Period end
View analyzed profile →PRO

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
81369Y407XLYSelect Sector SPDR Fund$83.5M8.63%458,005CommonSOLE
594918104MSFTMicrosoft Corporation$79.1M8.18%177,064CommonSOLE
81369Y704XLISelect Sector SPDR Fund$75.3M7.78%617,670CommonSOLE
037833100AAPLApple Inc.$71.4M7.38%338,804CommonSOLE
67066G104NVDANVIDIA Corporation$69.4M7.18%561,970CommonSOLE
02079K107GOOGAlphabet Inc.$49.3M5.09%268,554CommonSOLE
30303M102METAMeta Platforms, Inc.$29.3M3.02%58,037CommonSOLE
46625H100JPMJPMorgan Chase & Co.$21.8M2.25%107,840CommonSOLE
532457108LLYEli Lilly and Company$21.6M2.23%23,877CommonSOLE
11135F101AVGOBroadcom Inc.$21.1M2.18%13,126CommonSOLE
023135106AMZNAmazon.com, Inc.$18.0M1.86%93,187CommonSOLE
81369Y886XLUSelect Sector SPDR Fund$15.5M1.61%228,010CommonSOLE
084670702BRK/BBerkshire Hathaway Inc.$15.5M1.60%38,039CommonSOLE
92826C839VVisa Inc.$14.8M1.53%56,576CommonSOLE
060505104BACBank of America Corp$14.4M1.49%361,627CommonSOLE
674599105OXYOccidental Petroleum Corporation$13.9M1.44%220,896CommonSOLE
91324P102UNHUnitedHealth Group Incorporated$13.0M1.34%25,434CommonSOLE
478160104JNJJohnson & Johnson$11.7M1.21%80,084CommonSOLE
30231G102XOMExxon Mobil Corporation$11.2M1.16%97,404CommonSOLE
64110L106NFLXNetflix, Inc.$11.0M1.14%16,293CommonSOLE
038222105AMATApplied Materials, Inc.$10.3M1.06%43,581CommonSOLE
57636Q104MAMastercard Incorporated$10.3M1.06%23,260CommonSOLE
58933Y105MRKMerck & Company, Inc.$9.9M1.02%80,010CommonSOLE
742718109PGProcter & Gamble Company$9.9M1.02%59,807CommonSOLE
68389X105ORCLOracle Corporation$9.3M0.96%65,806CommonSOLE
G54950103LINLinde plc$8.9M0.92%20,297CommonSOLE
631103108NDAQNasdaq, Inc.$8.2M0.85%136,741CommonSOLE
191216100KOCoca Cola Company$8.1M0.84%127,095CommonSOLE
002824100ABTAbbott Laboratories$8.0M0.82%76,518CommonSOLE
571748102MRSHMarsh and McLennan Companies, Inc.$7.7M0.79%36,444CommonSOLE
036752103ELVElevance Health, Inc.$7.5M0.77%13,826CommonSOLE
22160K105COSTCostco Wholesale Corporation$7.4M0.77%8,739CommonSOLE
007903107AMDAdvanced Micro Devices, Inc.$7.0M0.73%43,286CommonSOLE
92532F100VRTXVertex Pharmaceuticals Incorporated$6.9M0.71%14,625CommonSOLE
032095101APHAmphenol Corporation$6.4M0.66%94,352CommonSOLE
713448108PEPPepsico, Inc.$6.3M0.65%38,038CommonSOLE
98978V103ZTSZoetis Inc.$6.2M0.64%35,879CommonSOLE
49271V100KDPKeurig Dr Pepper Inc.$6.1M0.63%182,589CommonSOLE
79466L302CRMSalesforce, Inc.$5.6M0.58%21,897CommonSOLE
00724F101ADBEAdobe Inc.$5.5M0.57%9,947CommonSOLE
58155Q103MCKMcKesson Corporation$5.5M0.57%9,409CommonSOLE
49177J102KVUEKenvue Inc.$5.3M0.55%290,196CommonSOLE
427866108HSYThe Hershey Company$5.2M0.54%28,543CommonSOLE
444859102HUMHumana Inc.$5.1M0.53%13,648CommonSOLE
03027X100AMTAmerican Tower Corporation$5.0M0.52%25,894CommonSOLE
00287Y109ABBVAbbvie Inc.$4.9M0.51%28,764CommonSOLE
949746101WMT2Wells Fargo & Company$4.9M0.51%82,926CommonSOLE
697435105PANWPalo Alto Networks, Inc.$4.9M0.51%14,422CommonSOLE
931142103WMTWalmart Inc.$4.8M0.50%71,091CommonSOLE
61174X109MNSTMonster Beverage Corporation$4.8M0.49%95,487CommonSOLE
17275R102CSCOCisco Systems, Inc.$4.6M0.48%96,881CommonSOLE
38141G104GSThe Goldman Sachs Group, Inc.$4.4M0.46%9,819CommonSOLE
78409V104SPGIS&P Global Inc.$4.4M0.46%9,932CommonSOLE
461202103INTUIntuit Inc.$4.3M0.44%6,496CommonSOLE
20825C104COPConocoPhillips$4.2M0.44%37,054CommonSOLE
025816109AXPAmerican Express Company$4.2M0.43%18,076CommonSOLE
717081103PFEPfizer Inc.$4.2M0.43%149,084CommonSOLE
72352L106PINSPinterest, Inc.$4.1M0.43%93,406CommonSOLE
78464A870XBISPDR SER TR$4.1M0.42%44,256CommonSOLE
74340W103PLDPrologis, Inc.$4.1M0.42%36,325CommonSOLE
166764100CVXChevron Corporation$4.0M0.42%25,775CommonSOLE
127387108CDNSCadence Design System, Inc.$3.9M0.40%12,717CommonSOLE
824348106SHWThe Sherwin-Williams Company$3.7M0.38%12,431CommonSOLE
09247X101BLKCHFBlackrock, Inc.$3.4M0.36%4,374CommonSOLE
031162100AMGNAmgen Inc.$3.4M0.35%10,885CommonSOLE
278865100ECLEcolab Inc.$3.3M0.35%14,045CommonSOLE
458140100INTCIntel Corporation$3.3M0.35%107,850CommonSOLE
254687106DISThe Walt Disney Company$3.2M0.33%32,133CommonSOLE
37954Y855LITGlobal X Funds$3.1M0.32%80,000CommonSOLE
125523100CIThe Cigna Group$3.0M0.31%9,054CommonSOLE
573284106MLMMartin Marietta Materials, Inc.$3.0M0.31%5,482CommonSOLE
22822V101CCICrown Castle Inc.$2.9M0.30%29,850CommonSOLE
29444U700EQIXEquinix, Inc.$2.9M0.30%3,773CommonSOLE
459200101IBMInternational Business Machines Corporation$2.7M0.28%15,477CommonSOLE
806857108SLBSchlumberger Limited$2.6M0.27%54,706CommonSOLE
883556102TMOThermo Fisher Scientific Inc.$2.3M0.24%4,130CommonSOLE
00971T101AKAMAkamai Technologies, Inc.$2.1M0.21%22,793CommonSOLE
35671D857FCXFreeport-McMoRan Inc.$1.6M0.16%32,528CommonSOLE
110122108BMYBristol-Myers Squibb Company$1.3M0.13%30,246CommonSOLE
384109104GGGGraco Inc.$1.1M0.11%13,368CommonSOLE
23331A109DHID.R. Horton Inc.$550,1910.06%3,904CommonSOLE
62944T105NVRNVR Inc$424,9590.04%56CommonSOLE
437076102HDHome Depot, Inc.$246,8200.03%717CommonSOLE
603693102MiNK Therapeutics, Inc.$158,1990.02%166,666CommonSOLE
72919P202PLUGPlug Power, Inc.$48,5600.01%20,841CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.