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Holdings

Consulta Ltd

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
VISA INC. VCL A700,0000166,236,000,0008,414,000,00011.56  Hist 06/30/2023
Alphabet Inc. GOOGLCOM1,250,000-250,000149,625,000,000-5,970,000,00010.40  Hist 06/30/2023
UNITEDHEALTH GROUP INC UNHCommon300,00075,000144,192,000,00037,859,250,00010.020.03 Hist 06/30/2023
DANAHER CORP /DE/ DHRCommon500,000100,000120,000,000,00019,184,000,0008.340.07 Hist 06/30/2023
COMCAST CORP CMCSACommon2,750,0000114,262,500,00010,010,000,0007.94  Hist 06/30/2023
LOWES COMPANIES INC LOWCommon500,000198,500112,850,000,00052,559,045,0007.850.09 Hist 06/30/2023
JPMORGAN CHASE & CO JPMCommon750,000200,000109,080,000,00037,409,500,0007.58  Hist 06/30/2023
BERKSHIRE HATHAWAY INC BRK/BCommon300,000-140,250102,300,000,000-33,635,993,0007.11  Hist 06/30/2023
MICROSOFT CORP MSFTCommon259,500088,370,130,00013,556,280,0006.140.00 Hist 06/30/2023
CANADIAN NATIONAL RAILWAY CO CNICommon707,250085,626,758,0002,192,475,0005.95  Hist 06/30/2023
HCA Healthcare, Inc. HCACOM275,000-75,00083,457,000,000-8,831,000,0005.80  Hist 06/30/2023
CANADIAN PACIFIC KANSAS CITY LTD/CN CPStock1,000,0001,000,00080,770,000,00080,770,000,0005.620.11 Hist 06/30/2023
Anheuser-Busch InBev SA/NV BUDADR750,000042,540,000,000-7,507,500,0002.96  Hist 06/30/2023
THERMO FISHER SCIENTIFIC INC. TMOCommon75,00075,00039,131,250,00039,131,250,0002.720.02 Hist 06/30/2023
CANADIAN PACIFIC KANSAS CITY LTD/CN CPCommon0-1,000,0000-76,940,000,0000.000.00 Hist 06/30/2023
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