DEO

DEO

DEO

Letters With This Ticker

Quarter Letter Date Fund Name QTD YTD Tickers Keywords/Themes Theme Commentary Pitches Letter
2025 Q3 Sep 30, 2025 Magellan Global Opportunities Fund No. 1 - - ADS.DE, AMT, AMZN, AVGO, DEO, ES, GOOGL, MA, META, MSFT, NESN.SW, NKE, NVDA, ORCL, PUM.DE, RKT.L, SAP, T, TSM, UMG.AS, UNH, YUM AI, consumer, global, growth, Quality, semiconductors, technology
2023 Q3 Sep 30, 2023 Latitude Global Fund - - AI.PA, AZO, DEO, GOOGL, JPM, MCK, SONY, V cash flow, earnings, Quality, relative value, technology, value
2023 Q3 Sep 30, 2023 Trojan Fund from Troy Asset Management - - BDX, DEO, GOOGL, MSFT, NESN.SW, PG, UL, V Bonds, credit, inflation, interest rates, Multi-Asset, Recession
2024 Q2 Aug 2, 2024 Tweedy, Browne International Value II 4.8% 8.3% 000858.SZ, 0700.HK, 2357.PS, 3405.T, 4182.T, 601009.SS, 6277.T, 6302.T, 6849.T, AALB.AS, BAC, CNHI, D05.SI, DEO, FRE.DE, GOOGL, IONS, KEMIRA.HE, KOF, NVS, RHM.DE, ROG.SW, RUI.PA, SAF.PA, SCOR.PA, TEP.PA, U11.SI, UBI.PA, VRTX, WFC Asia, Diversified, Europe, international, small cap, value
2024 Q2 Aug 2, 2024 Tweedy, Browne Value Fund 2.8% 7.6% 000858.SZ, 005930.KS, 0700.HK, BA.L, BAC, BIDU, BRK-B, CNHI, D05.SI, DEO, DHL.DE, FMC, FRE.DE, GOOGL, GSK, HEIA.AS, IONS, JNJ, KEMIRA.HE, KOF, NESN.SW, NVS, RHM.DE, ROG.SW, RUI.PA, SAF.PA, SCOR.PA, TEP.PA, TTE, U11.SI, VRTX, WFC, ZURN.SW Asia, Diversified, Europe, financials, industrials, international, small caps, value
2024 Q2 Aug 2, 2024 Tweedy, Browne Worldwide High Dividend 6.4% 9.8% 000858.SZ, 2357.PS, 3405.T, 4182.T, 601919.SS, 6277.T, 6302.T, 6849.T, 700.HK, AALB.AS, BAC, CNHI, D05.SI, DEO, FRE.DE, GOOGL, IONS, KEMIRA.HE, KOF, NOVN.SW, RHM.DE, ROG.SW, RRI.PA, RUI.PA, SAF.PA, SCOR.PA, U11.SI, UBI.PA, VRTX, WFC dividends, financials, global, industrials, small cap, value
2023 Q2 Jul 18, 2023 Sandhill Investment Management - 22.3% 1928.HK, 2282.HK, AIB.I, BIRG.I, CABK.MC, CGF.AX, CRN.AX, CSTCF, DEO, EDV.AX, FCX, FDV.AX, GQG.AX, HEIA.AS, INGA.AS, LLOY.L, NEM, NEM.AX, RI.PA, SHEL, SIE.DE, SNY, SPEC.L, TECK, WYNN Automation, commodities, Copper, European Banks, gaming, gold, Onshoring, value AIBG.L
NEM
SCCO
LYG
2023 Q2 Jul 17, 2023 Kovitz Core Equity 8.4% 18.3% AAPL, DEO, DLTR, GDDY, JPM, KEYS, MSI, SCHW Banking, Beverages, long-term, Quality, retail, technology, value DLTR
SCHW
DEO
2025 Q2 Jun 30, 2025 Magellan Global Opportunities Fund No. 1 6.2% - AAPL, AMD, AMT, AMZN, AVGO, BKNG, DEO, ES, GOOGL, MA, META, MSFT, NESN.SW, NFLX, NVDA, RB.L, TSM, UNH, ZBH AI, global, growth, Quality, semiconductors, technology, Trade Policy TSM
NESN SW
SAP
MSFT
GOOG
AMZN
DG
TSM
2025 Q2 Jun 30, 2025 Latitude Global Fund - - AZO, CPR.MI, DEO, DLTR, FIVE, MCK, NVO, RCO.PA, RI.PA, WMT Aftermarket, Alcohol, Automotive, consumer, discount, retail, value DEO
DLTR
AZO
2024 Q2 Jun 30, 2024 Trojan Fund from Troy Asset Management - 3.8% AXP, DEO, GOOGL, HEINY, MSFT, NESN.SW, NVDA, UL, V AI, Elections, gold, inflation, Multi-Asset, Politics, Uk, US
2023 Q2 Jun 30, 2023 Magellan High Conviction Fund 10.0% - AMZN, BABA, BKNG, BN, CMG, CRM, DEO, GOOGL, ICE, META, MSFT, NFLX, SAF.PA, V, WEC, YUM AI, Cloud, Energy Transition, payments, Quality, Restaurants, technology, Travel AMZN
2023 Q2 Jun 30, 2023 Trojan Fund from Troy Asset Management - 0.6% BDX, DEO, GOOGL, MSFT, NESN.SW, NVDA, PG, UL, V AI, asset allocation, credit, interest rates, Multi-Asset, Recession, technology, Valuations GOOGL
AAPL|MSFT|NFLX|NVDA|UNH
2024 Q1 Jun 25, 2024 Argosy Investors 10.6% 10.6% DAVA, DEO, NVDA, TBBB AI, Cash, Discount Retail, IT Services, Mexico, Valuations, value DEO
TBBB
DAVA
2026 Q1 Apr 8, 2026 ByteTree Asset Management - - DEO, UL commodities, Defensive, diversification, gold, Multi-Asset, oil, Quality, risk management ULVR.L
DGE.L
2025 Q1 Apr 21, 2025 Kovitz Core Equity -2.3% -2.3% ADBE, ADI, AMAT, AMD, AMZN, ANET, ASHTY, BDX, BRK-A, DEO, FI, GOOG, GOOGL, ICE, J, JPM, MSFT, PM, TMO, UMG.AS AI, financials, Quality, Resilience, technology, Trade Policy, volatility MSFT
ASHTY
ADBE
2024 Q1 Apr 20, 2024 ClearBridge Investments Dividend Strategy 0.0% 0.0% AMT, AMZN, AVGO, CMCSA, DEO, DIS, DTE, GOOGL, HLN.L, KO, KVUE, MA, META, MSFT, NESN.SW, NVDA, ORCL, SAP, TMUS, V AI, Consumer Staples, diversification, dividends, large cap, technology, Utilities, value
2026 Q1 Apr 18, 2026 Contrarius Global Equity Fund -11.9% -11.9% DEO, GOOGL, SATS, TSLA AI, Consumer Staples, contrarian, global, long-term, value DGE.L
2024 Q1 Apr 15, 2024 Tweedy, Browne Value Fund 2.8% 7.6% BA.L, BRK-A, CNHI, DEO, FDX, FMC, GOOGL, HEIA.AS, IONS, JNJ, NESN.SW, NWLI, RHM.DE, RUI.PA, SAF.PA, SCRYY, TP.PA, TTE, U11.SI, WFC defense, financials, global, healthcare, industrials, value
2025 Q1 Mar 31, 2025 BlackRock Global Dividend Fund 0.7% 0.7% ACN, AVGO, AZN, BA.L, BBVA, CMS, DEO, KO, LLY, MSFT, NVDA, NVO, RELX, TSM, TXN, UNH AI, defense, dividends, Europe, global, healthcare, technology, Trade Policy
2025 Q1 Mar 31, 2025 Aristotle International Equity Fund 3.8% 3.8% 3064.T, 7532.T, 9983.T, ACN, AZN.L, BN.TO, CCO.TO, D05.SI, DEO, MG.TO, MUV2.DE, NEM.DE, ROG.SW, SAF.PA, SONY AI, gaming, international, nuclear, Quality, Reinsurance, Trade Policy, value 9983.T
ACN
CCO.TO
6758.T
MUV2.DE
2025 Q1 Mar 31, 2025 BNY Mellon Global Equity Income Fund 7.8% 7.8% 1299.HK, AZN, B3SA3.SA, BAE.L, CME, CSCO, DEO, DPSGY, EL, JNJ, MDT, PUB.PA, SIEGY, SNY, STLA, TAP, UMG.AS defense, dividends, Equity, global, income, inflation, rates, value
2025 Q1 Mar 31, 2025 Magellan Global Opportunities Fund No. 1 2.0% 2.0% 1211.HK, AMT, AMZN, DEO, DG, ES, F, GOOGL, LLOY.L, MA, META, MSFT, NESN.SW, NFLX, RB.L, SPOT, TSLA, TSM, VWAGY Defensive, disruption, global, innovation, Quality, technology, Transportation
2023 Q1 Mar 31, 2023 Trojan Fund from Troy Asset Management - - BDX, DEO, GOOGL, MSFT, NESN.SW, PG, UL, V Banking, credit, inflation, Multi-Asset, Passive investing, rates, real estate
2025 Q4 Feb 11, 2026 Latitude Global Fund 0.0% 21.0% AI.PA, ASSA-B.ST, AZO, COR, DEO, DG.PA, DLTR, EIF.PA, GOOGL, ICE, JPM, MCK, RPRX, RYA.L, SHEL, TSCO.L, UNH, V AI, Buybacks, Europe, growth, healthcare, infrastructure, retail, value ICE
JPM
GOOGL
RYAAY
RPRX
MCK
AZO
DLTR
2024 Q4 Dec 31, 2024 Oakmark Global Select Fund -5.0% 4.7% 005930.KS, BAC, BAYRY, CNC, COF, DEO, ELV, FI, GOOGL, IQV, SCHW Beverages, consumer, financials, global, healthcare, regulation, value ELV
DEO
SCHW
BAYRY
COF
2024 Q4 Dec 31, 2024 Bell Global Equities Fund 8.9% 21.7% 0700.HK, AAPL, ADBE, AMZN, ANET, AVGO, BESI.AS, DEO, EL, FI, GOOGL, LULU, MSFT, NESN.SW, NESTE.HE, NVDA, NVO, PEP, RMS.PA, UNH AI, Global Equities, Performance Attribution, Quality, small caps, technology CLH
AVGO
UNH
LULU
GOOGL
2024 Q4 Dec 31, 2024 Latitude Global Fund - - AI.PA, AZO, BAC, BP, COR, DEO, DG.PA, DLTR, FGR.PA, GOOGL, GS, HEIA.AS, IBKR, IMB.L, JPM, KO, MCK, RYA.L, SHEL, SONY, TSCO.L, UL, UNH, V, WEC Banking, Consumer Staples, Defensive, energy, global, healthcare, value
2024 Q4 Dec 31, 2024 Trojan Fund from Troy Asset Management - 6.7% AAPL, AMZN, COST, DEO, GOOGL, HEINY, META, MSFT, NESN.SW, NVDA, TSLA, UL, V, VRSN AI, Bubbles, gold, infrastructure, Multi-Asset, rates, technology, Valuations
2023 Q4 Dec 31, 2023 Magellan Global Fund - 20.6% AAPL, AMZN, ASML, BN, CCI, CMG, DEO, GOOGL, HCA, ICE, INTU, LOW, MSFT, NFLX, SAP, TT, UNH, USB, V, YUM AI, global, growth, inflation, Quality, Recession, technology AMZN
AAPL|MSFT|NFLX|NVDA|UNH
2023 Q4 Dec 31, 2023 Latitude Global Fund - - AAP, AI.PA, AZO, BAC, DEO, DG.PA, EIFFAGE.PA, EQNR, GOOGL, GS, JPM, MCK, SHEL, SONY, TSCO.L, V, WEC Buybacks, Consumer Staples, dividends, earnings, energy, global, Utilities, value
2023 Q4 Dec 31, 2023 Evolve Private Wealth - - ADS.DE, AMT, AMZN, AVGO, DEO, ES, GOOGL, MA, META, MSFT, NESN.SW, NKE, NVDA, ORCL, RKT.L, SAP, TSM, UMG.AS, UNH, YUM AI, consumer, global, growth, Quality, semiconductors, technology ADS.DE
2023 Q4 Dec 31, 2023 Trojan Fund from Troy Asset Management - 2.7% BDX, DEO, GOOGL, HEIA.AS, MSFT, NESN.SW, PG, UL, V Government Spending, inflation, Multi-Asset, Onshoring, rates, Recession, Valuations HEIA.AS
2025 Q3 Nov 13, 2025 Auxier Asset Management 5.4% - BA, BAC, BK, C, CAT, DEO, GD, GLW, GOOGL, KR, LMT, MA, META, MSFT, PH, PM, PSX, RTX, TAP, VLO AI, Banking, credit, defense, energy, infrastructure, Speculation, technology
2025 Q3 Oct 9, 2025 ClearBridge Investments Dividend Strategy - - AVGO, CMCSA, DEO, GOOGL, KO, LHX, META, MMC, NESN.SW, NOC, NSC, ODFL, ORCL, RTX, SRE, TEL, TMUS, TRV, UNH, UNP AI, defense, dividends, large cap, Quality, risk management, technology, valuation ODFL
MARSH
LHX
TEL
ORCL
AVGO
2025 Q3 Oct 5, 2025 Bytetree - - DEO, SMWH.L Bitcoin, diversification, global, gold, Hard assets, Multi-Asset, Outperformance, Quality
2025 Q3 Oct 31, 2025 Tweedy, Browne International Value II 2.1% 18.8% 003550.KS, 005930.KS, 145720.KS, 2531.T, 4368.T, 6302.T, 6777.T, 7267.T, 7716.T, 7741.T, 7844.T, 7988.T, AZE.BR, BA.L, BIDU, BKG.L, BREE.L, BRK-A, CNH, DEO, FDX, GOOGL, GRAF.L, HEIA.AS, IONS, JNJ, JSG.L, KOF, NA.TO, NESN.SW, NVS, NVST, PETS.L, PRU.L, RHM.DE, ROG.SW, RUI.PA, SAF.PA, SKF-B.ST, SOP.PA, SW.PA, TFC, TP.PA, TREL-B.ST, TTE, U11.SI, USB, VRTX, WFC Currency, dividends, Europe, Hedging, international, Japan, value AZE
2025 Q3 Oct 28, 2025 The London Company Income Equity 5.8% 15.4% AAPL, CMI, DEO, FIS, GLW, NSGRY, NTDOY, PM, TEL, UNH AI, dividends, healthcare, large cap, Quality, technology, value UNH
TEL
GLW
UNH
TEL
GLW
2024 Q3 Oct 18, 2024 Titan Wealth - - 1972.HK, 300750.SZ, 3690.HK, ABNB, BIO, BMW.DE, CRM, DEO, DIS, EBAY, EL, EW, GOOGL, HEIA.AS, HLN.L, LVMH.PA, MA, META, MSFT, NFLX, NVDA, ORCL, PYPL, SNY, STLA, TMO, UL emerging markets, global, healthcare, income, Multi-Manager, Rate Cuts, technology
2023 Q3 Oct 17, 2023 Kovitz Core Equity -3.0% 14.8% AXP, BX, DEO, DIS, EXPE, HAS, KEYS, KMX, PM, SPLK credit, Economic Resilience, inflation, interest rates, long-term, Portfolio Management, value 0PMJ LN
KEYS
ADI|BDX|FI|FND|HAS|META|MSFT|MSI|ORCL|TMO
DEO
AXP
2025 Q3 Oct 16, 2025 Magellan Global Opportunities Fund No. 1 3.0% - ADS.DE, AMD, AMT, AMZN, AVGO, DEO, DISH, ES, GOOGL, MA, META, MSFT, NESN.SW, NKE, NVDA, ORCL, PUM.DE, RKT.L, SAP, SATS, T, TSM, UMG.AS, UNH, YUM AI, consumer, global, Quality, semiconductors, technology
2024 Q3 Oct 11, 2024 Horizon Investment - - 2282.HK, AIB.I, BIRG.I, CABK.MC, CGF.AX, DEO, EDV.AX, FCX, FDV.AX, HEIA.AS, INGA.AS, LLOY.L, NEM, RI.PA, SHEL, SIE.DE, SNY, SPEC.L, TECK.TO, WYNN Automation, commodities, Copper, European Banks, gaming, gold, Onshoring
2023 Q3 Oct 10, 2023 Vulcan Value Partners – Small Cap 8.1% 16.5% AMAT, DEO, FWRD, ISS.CO, ITRN, LRCX, MAR, MLKN, SEE, SMRT, TXN, UNH Concentration, discount, healthcare, Hotels, Quality, semiconductors, Spirits, value DEEPSEEK
AAPL|MSFT|NFLX|NVDA|UNH
TXN
AMAR
DEO
2023 Q3 Oct 10, 2023 Vulcan Value Partners – Focus Plus 5.6% 18.6% DEO, ISS.CO, ITRN, MAR, MLKN, SEE, SMRT, TXN, UNH Concentration, free cash flow, large cap, Margin Of Safety, Quality, value DEEPSEEK
AAPL|MSFT|NFLX|NVDA|UNH
TXN
AMAR
DEO
2023 Q3 Oct 10, 2023 Vulcan Value Partners – Focus Plus 5.9% 18.7% AMAT, DEO, FWRD, ISS.CO, ITRN, LRCX, MAR, MLKN, SEE, SMRT, TXN, UNH healthcare, Hospitality, large cap, Quality, semiconductors, Spirits, value DEEPSEEK
AAPL|MSFT|NFLX|NVDA|UNH
TXN
AMAR
DEO
2023 Q3 Oct 10, 2023 Vulcan Value Partners – Large Cap 8.2% 17.6% AMAT, DEO, FWRD, ISS.CO, ITRN, LRCX, MAR, MLKN, SEE, SMRT, TXN, UNH Competitive Advantage, large cap, Margin Of Safety, Quality, value DEEPSEEK
AAPL|MSFT|NFLX|NVDA|UNH
TXN
AMAR
DEO
2023 Q3 Oct 10, 2023 Vulcan Value Partners – Small Cap 9.1% 9.4% AMAT, DEO, FWRD, ISS.CO, ITRN, LRCX, MAR, MLKN, SEE, SMRT, TXN, UNH concentrated, discount, large cap, Quality, small cap, value DEEPSEEK
SMRT
EDELWEISS
ITRN
MLKN
AAPL|MSFT|NFLX|NVDA|UNH
TXN
AMAR
DEO
2023 Q4 Jan 9, 2024 Guinness China - - ADS.DE, AMT, AMZN, AVGO, DEO, ES, GOOGL, MA, META, MSFT, NESN.SW, NKE, NVDA, ORCL, RKT.L, SAP, TSM, UMG.AS, UNH, YUM AI, global, large cap, Quality, semiconductors, technology, Trade Policy ADS.DE
2025 Q4 Jan 7, 2026 Bytetree 0.0% 0.0% BARRY.SW, BHMG.L, BRWM.L, DEO, NESN.SW, PHP.L, RCP.L commodities, diversification, Dollar, global, gold, Japan, Quality, value
2024 Q4 Jan 7, 2025 ClearBridge Investments Dividend Strategy 0.0% 0.0% AAPL, AMZN, APO, AVGO, DEO, EQT, GOOGL, HLN.L, JPM, KVUE, MDLZ, MET, META, MSFT, NESN.SW, NVDA, ORCL, TSLA, UPS, WMB diversification, dividends, Natural Gas, Quality, technology, value
2025 Q4 Jan 29, 2026 Rozendal Global Fund 0.0% 42.8% 6586.T, AENA.MC, AMS.JO, BAYRY, BLU.JO, CGR.JO, COH.JO, DEO, HAR.JO, JD, KSPI.L, MTN.JO, SLV, TBS.JO, YRK.JO emerging markets, Europe, gold, long-term, materials, Precious Metals, trade war, value BAYN GR
2025 Q4 Jan 26, 2026 Cambiar International Equity Fund 3.1% 26.2% DEO, KYGA.L, LSEG.L, SW, TSM AI, Currency, Europe, financials, international, semiconductors, staples, value SW
2025 Q4 Jan 18, 2026 Troy Multi-Asset Strategy 0.0% 0.0% AMZN, DEO, EXPN.L, FI, GOOGL, LSEG.L, META, MSFT, NVDA AI, Cloud, Data, global, Quality, technology, value EXPN LN
LSEG LN
DGE LN
FISV
2025 Q4 Jan 18, 2026 Magellan Global Opportunities Fund No. 1 1.3% 13.0% AMT, AMZN, DEO, DG, ES, GOOGL, LLOY.L, MA, META, MSFT, NESN.SW, SAP, TSM, UNH, ZBH AI, Cloud, Consumer Staples, global, large cap, Quality, technology
2023 Q4 Jan 17, 2024 Vulcan Value Partners – Focus Plus 5.6% 18.6% AMZN, BVS.PA, CBRE, CG, CIGI, CRM, CWK, DEO, DNB, FORT.L, IBTX.L, ISS.CO, JLL, KKR, LFUS, MEDP, MSFT, PK, SDIP.ST, TDG, V, VCP.L, VRTS AI, Alternative Assets, Cloud, Commercial real estate, Concentration, large cap, value DNB
LFUS
FORT.L
IBTX.L
DEO
2025 Q4 Jan 16, 2026 GDS Investments - - ABNB, AMZN, CRWV, DEO, F, GE, GM, GOOGL, LEN, NVO, ORCL, RIVN, STZ, TDW, TREX, VAL, WMT, ZTS AI, Buybacks, cyclicals, Electric Vehicles, Quality, Rotation, technology, value RIVN
TREX
AMZN
GOOG
2025 Q4 Jan 15, 2026 Contrarius Global Equity Fund 6.5% 54.4% 000660.KS, BIDU, COIN, DELL, DEO, FOXA, GOOGL, KER.PA, LULU, MDLZ, MU, NVDA, ORCL, PARA, RI.PA, SATS, TSLA, TSM, UHR.SW AI, contrarian, disruption, global, Satellites, Space, technology, value SATS
2024 Q4 Jan 15, 2025 Brighton Jones - - ADDYY, AMT, AMZN, AVGO, DEO, ES, GOOGL, MA, META, MSFT, NESN.SW, NKE, NVDA, ORCL, PUMA.DE, RKT.L, SAP, TSM, UMG.AS, UNH, YUM AI, consumer, global, large cap, Quality, semiconductors, technology ADS.DE
2025 Q4 Jan 14, 2026 Emerald Wealth Partners – Focused Equity Strategy 2.1% 13.2% 1179.HK, 8035.T, AHT.L, AMAT, AMZN, ASML, AVGO, BLK, CB, CSU.TO, DE, DEO, GOOGL, LMT, LSEG.L, MSFT, NOW, ORCL, SHEL, TMO AI, China, Quality, semiconductors, technology, Trade Policy, value
2023 Q4 Jan 1, 2024 Oak Ridge investment - - ADDYY, AMT, AMZN, AVGO, DEO, ES, GOOGL, MA, META, MSFT, NESN.SW, NKE, NVDA, ORCL, RKT.L, SAP, TSM, UMG.AS, UNH, YUM AI, consumer, global, large cap, Quality, semiconductors, technology ADS.DE
2024 Q3 Sep 30, 2024 Oakmark International Fund 8.8% 0.0% 005930.KS, BABA, BAYRY, CFR.SW, DEO, FMS.DE, FR.PA, INF.L, RI.PA, RMS.PA, SAP, UHR.SW, WLN.PA China, Europe, international, Luxury, Spirits, value RI.PA
DGE.L
KER.PA
BABA
2024 Q3 Sep 30, 2024 Oakmark Global Fund 7.5% 0.0% 005930.KS, 3739.T, AKZA.AS, BABA, BAYN.DE, CSCO, DEO, GOOGL, KER.PA, SAP, SJP.L, TPK.L Coatings, financials, global, healthcare, Luxury, technology, value 9751.T
DGE.L
AKZA.AS
KER.PA
SJP.L
2024 Q3 Sep 30, 2024 Aristotle International Equity Fund 10.5% 13.3% 005930.KS, 3064.T, 4578.T, 6758.T, 7532.T, 9433.T, ACN, AHT.L, BN, CCO, DEO, GSK, HEIA.AS, NEM.DE, ROG.SW, RTO.L, SAF.PA, TTE Asia, Diversified, Europe, international, Quality, value 3064.T
DGE.L
9681.T
RTO.L
BN.TO
2023 Q4 Sep 1, 2024 Fundsmith Equity Fund -2.0% 7.1% AAPL, ADBE, AMZN, BF.B, DEO, EL, FTNT, GOOGL, IBM, IDXX, MAR, META, MKC, MSFT, MTD, NVDA, NVO, OR.PA, PG, TSLA AI, global, large cap, Pharmaceuticals, Quality, technology, value
2024 Q2 Aug 31, 2024 Horos Asset Management 2.9% 9.8% AAPL, AER, AMZN, ATYM.L, BF-B, DEO, ENO.MC, GOOGL, LBTYA, MEL.MC, MSFT, NH.MC, NPN, NVDA, PTON, RI.PA, SEM.LS, TLGO.MC, TSLA, ZM AI, Concentration, Europe, Margin Of Safety, risk management, technology, value
2023 Q2 Jul 31, 2023 Tweedy, Browne International Value II 2.4% 8.3% 0700.HK, AAPL, AMZN, BABA, DEO, FMC, GOOGL, HEIN.AS, IONS, JNJ, META, MSFT, NVDA, NVS, RHHBY, SAF.PA, SCOR.PA, TREL-B.ST, TSLA, VRTX industrials, insurance, international, Pharmaceuticals, technology, value
2023 Q2 Jul 31, 2023 Tweedy, Browne International Value II 4.8% 8.3% AAPL, AMZN, DEO, FMC, GOOGL, HEIN.AS, IONS, JNJ, META, MSFT, NRMG.DE, NVDA, NVS, RHHBY, SAF.PA, SCOR.PA, SKF-B.ST, TREL.ST, TSLA, VRTX Currency, industrials, insurance, international, Pharmaceuticals, value
2023 Q2 Jul 31, 2023 Tweedy, Browne Value Fund 2.8% 7.6% 0169.HK, AAPL, AMZN, DEO, FMC, GOOGL, HEIA.AS, IONS, JNJ, META, MSFT, NRMG.DE, NVDA, NVS, RHHBY, SAF.PA, SCOR.PA, SKF-B.ST, TREL-B.ST, TSLA, VRTX industrials, insurance, international, Pharmaceuticals, technology, value
2024 Q2 Jun 30, 2024 ClearBridge Investments Dividend Strategy 0.0% 0.0% AAPL, APD, AVB, CMCSA, DEO, GOOGL, HLN.L, INTC, MA, MDLZ, META, MSFT, NESN.SW, NVDA, ORCL, PXD, SRE, TRV, V, VMC, WMB, XOM Concentration, diversification, dividends, Passive investing, technology, valuation
2024 Q2 Jun 30, 2024 Bell Global Equities Fund -3.5% 5.8% 3064.T, AAPL, ADBE, AMZN, CRDA.L, DEO, FI, GOOGL, MA, MSFT, NESN.SW, NESTE.HE, NKE, ORCL, POOL, QCOM, ROG.SW, ULTA, UNH, V AI, global, Quality, software, technology, value 4768.T
NKE
ADBE
ORCL
2024 Q2 Jun 30, 2024 BNY Mellon Global Equity Income Fund -2.4% 1.4% 005930.KS, AAPL, AZN, B3SA3.SA, BBRI.JK, CME, CSCO, D, DEO, GOOGL, IP, MDT, NEM, NVDA, PAYX, PEP, PG, SGO.PA, SMDS.L, SNY dividends, global, income, rates, technology, value
2023 Q2 Jun 30, 2023 ClearBridge Investments Dividend Strategy 0.0% 0.0% AAPL, APO, AVGO, COF, DEO, DIS, MSFT, ORCL, PFE, PSA, SAP, SRE, UPS, VMC AI, dividends, energy, financials, inflation, rates, technology, value COF
PSA
2025 Q1 Mar 31, 2025 Oakmark Global Select Fund 8.5% 8.5% AIG, AMZN, BABA, DEO, GOOGL, HLT, IQV, LLOY.L, MOH, PHM, SYY AI, Banking, global, growth, healthcare, technology, undervalued, value SYY
MOH
GOOGL
LLOY.L
2025 Q1 Mar 31, 2025 Oakmark Global Fund 4.4% 4.4% ABNB, AIG, BNR.DE, DEO, ETSY, GOOGL, KER.PA, KR, LYG, NVS, PHM, PUK, RI.PA, SYY discount, Europe, financials, global, Quality, undervalued, value SYY
RI.PA
BNR.DE
ABNB
2023 Q1 Mar 31, 2023 ClearBridge Investments Dividend Strategy 0.0% 0.0% AAPL, AIG, AMZN, BAC, COF, DEO, GOOGL, JNJ, JPM, LIN, MET, META, MSFT, NVDA, ORCL, PFE, PNC, SAP, TSLA, UNH, USB Banking, dividends, financials, interest rates, Quality, value
2023 Q4 Feb 22, 2024 Tweedy, Browne International Value II 4.8% 8.3% 0010.HK, 1169.HK, 4324.T, 4401.T, 6297.T, 9147.T, AALB.AS, ALV.ST, ATE.PA, BA.L, BAC, BIDU, BNR.DE, DEO, DPW.DE, EPD, FMC, FRE.DE, IONS, KOF, KRA1V.HE, LAS.TO, NESN.SW, NVS, PGR, RNO.PA, ROG.SW, RTE.PA, SAF.PA, SEE, SOL.MI, TFC, TREL.ST, TTE, UBI.PA, UHAL, VRTX, WFC industrials, inflation, international, Japan, rates, value
2023 Q4 Feb 22, 2024 Tweedy, Browne Value Fund 2.8% 7.6% 0010.HK, 1882.HK, 4324.T, 4401.T, 6277.T, 9147.T, AALB.AS, ALV.ST, ATE.PA, BA.L, BAC, BIDU, BNR.DE, DEO, DPW.DE, EPD, FMC, FRE.DE, IONS, KOF, KRA1V.HE, LAS.TO, NESN.SW, NOVN.SW, PGR, ROG.SW, SAF.PA, SCOR.PA, SEE, SOL.MI, TEP.PA, TFC, TREL.ST, TTE, UBI.PA, UHAL, VRTX, WFC global, industrials, inflation, interest rates, value
2023 Q4 Feb 22, 2024 Tweedy, Browne Worldwide High Dividend 6.4% 9.8% 0010.HK, 1169.HK, 4324.T, 4401.T, 6297.T, 9147.T, AALB.AS, ALV.ST, ATE.PA, BA.L, BAC, BIDU, BNR.DE, DEO, DPW.DE, EPD, FMC, FRE.DE, IONS, KOF, KRA1V.HE, LAS.TO, NESN.SW, NOVN.SW, PGR, RNO.PA, ROG.SW, SAF.PA, SEE, SOL.MI, TEP.PA, TFC, TREL.ST, TTE, UBI.PA, UHAL, VRTX, WFC dividends, global, High Dividend, industrials, value
2024 Q4 Jan 27, 2025 RGA Investment Advisors - - AMZN, AVGO, COST, DBX, DEO, GEV, NVDA, PLTR, TSLA, UBER, VST, WMT AI, large cap, market breadth, rates, technology, valuation
2023 Q4 Jan 23, 2024 The London Company Income Equity 10.4% 14.6% APD, BLK, CVX, DEO, NSC, SCHW dividends, income, large cap, Quality, US, value DEO
CVX
APD
NSC
SCHW
BLK
2024 Q4 Jan 21, 2025 Tweedy, Browne International Value II -5.3% 2.5% BAC, D05.SI, DEO, DHL.DE, EPD, FDX, FMC, GOOGL, HEIA.AS, IONS, JNJ, KOF, NESN.SW, NVS, RHM.DE, ROG.SW, TX.SW, UOB.SI, VRTX, WFC financials, industrials, international, Japan, valuation, value
2024 Q4 Jan 21, 2025 Tweedy, Browne Worldwide High Dividend -8.7% 0.2% 005930.KS, 2531.T, 3105.T, 7203.T, ALTEN.PA, BAC, D05.SI, DEO, DHL.DE, EPD, FDX, FMC, GOOGL, HEIA.AS, IONS, JNJ, KOF, NESN.SW, NVS, P911.DE, RHM.DE, ROG.SW, TEP.PA, TX.SW, UOB.SI, UPI.HK, VRTX, WFC dividends, financials, global, high yield, value
2023 Q4 Jan 17, 2024 Vulcan Value Partners – Small Cap 9.1% 9.4% CIGI, CWK, DEO, FORT.L, IBST.L, ISS.CO, LFUS, MEDP, PK, SDIP.ST, VIC.L, VRTS Commercial real estate, Concentration, infrastructure, interest rates, Margin Of Safety, small cap, value LFUS
FORT.L
IBTX.L
DEO
2023 Q4 Jan 17, 2024 Vulcan Value Partners – Large Cap 8.2% 17.6% AMZN, BVS.PA, CG, CIGI, CRM, CWK, DEO, FORT.L, GOOGL, IBST.L, ISS.CO, JLL, KKR, LFUS, MEDP, MSFT, PK, SDIP.ST, TDG, VRTS Alternative Assets, Concentration, large cap, Margin Of Safety, real estate, technology, value LFUS
FORT.L
IBTX.L
DEO
2023 Q4 Jan 17, 2024 Vulcan Value Partners – Focus Plus 5.9% 18.7% AMZN, CBRE, CG, CIGI, CRM, CWK, DEO, FORT.L, GOOGL, IBST.L, ISS.CO, KKR, LFUS, MEDP, MSFT, PK, SDIP.ST, TDG, V, VRTS AI, Alternative Assets, Cloud, Concentration, large cap, real estate, technology, Value Investing DEO
2024 Q4 Jan 13, 2025 Fundsmith Equity Fund - 8.9% AAPL, ADP, AMZN, ATCO-A.ST, BF-B, DEO, GOOGL, IDXX, LLY, META, MKC, MSFT, NKE, NVDA, NVO, OR.PA, PM, SAP.DE, SYK, TXN AI, Concentration, long-term, Quality, technology, volatility
2023 Q3 Jan 11, 2023 Tweedy, Browne International Value II 4.8% 8.3% BA.L, BRK-B, CNHI, D05.SI, DEO, DHL.DE, FMS.DE, GOOGL, INP.L, IONS, JNJ, MEGACPO.MX, NESN.SW, NVS, RMS.PA, ROG.SW, SAF.PA, TREL-B.ST, TTE, U11.SI Currency, Diversified, international, value

Pitches With This Ticker

Date Pitch Type Author Company Industry Sub Industry Bull / Bear Stock Exchange Keywords Action
Apr 29, 2026 Fund Letters Diamond Hill International Diageo Beverages - Wineries & Distilleries Beverages Bull New York Stock Exchange Beverages, consumer staples, Global Brands, premium brands, Spirits, turnaround, Value
Apr 28, 2026 Fund Letters The London Company Income Equity Diageo Consumer Staples Distillers & Vintners Bull NYSE brand portfolio, consumer staples, Equity, Global, Latin America, Marketing Investment, premium brands, Spirits
Apr 28, 2026 Fund Letters Vulcan Value Partners - Small Cap Diageo plc Consumer Staples Distillers & Vintners Bull London Stock Exchange consumer staples, Cyclical Recovery, Free Cash Flow, Global distribution, premium brands, Pricing power, Spirits, Value
Apr 28, 2026 Fund Letters Vulcan Value Partners - Large Cap Diageo plc Consumer Staples Distillers & Vintners Bull London Stock Exchange consumer staples, Cyclical Recovery, Free Cash Flow, Global distribution, premium brands, Pricing power, Spirits, Value
Apr 28, 2026 Fund Letters Vulcan Value Partners - All Cap Diageo plc Consumer Staples Distillers & Vintners Bull London Stock Exchange consumer staples, Free Cash Flow, Global distribution, premium brands, Pricing power, Spirits, Value
Apr 28, 2026 Fund Letters Vulcan Value Partners - Focus Diageo plc Consumer Staples Distillers & Vintners Bull London Stock Exchange consumer staples, Equity, Free Cash Flow, Global distribution, premium brands, Pricing power, Spirits, Value
Apr 28, 2026 Fund Letters Vulcan Value Partners - Focus Plus Diageo plc Consumer Staples Distillers & Vintners Bull LSE consumer staples, Free Cash Flow, Global distribution, premium brands, Pricing power, Regulated Industry, Spirits, Value
Apr 28, 2026 Fund Letters Vulcan Value Partners - All Cap Diageo plc Consumer Staples Distillers & Vintners Bull London Stock Exchange brand portfolio, consumer staples, defensive, Global, high margins, premium brands, premiumization, Pricing power, Spirits
Apr 28, 2026 Fund Letters Vulcan Value Partners - Focus Diageo plc Consumer Staples Distillers & Vintners Bull LSE brand portfolio, Global-consumer, high-ROIC, premium brands, premiumization, Pricing power, Recession-resistant, Spirits
Apr 28, 2026 Fund Letters Vulcan Value Partners - Focus Plus Diageo plc Consumer Staples Distillers & Vintners Bull LSE brand portfolio, consumer staples, Global, premium brands, premiumization, Pricing power, Recession-resistant, Spirits
Apr 28, 2026 Fund Letters Vulcan Value Partners - Large Cap Diageo plc Consumer Staples Distillers & Vintners Bull LSE brand portfolio, consumer staples, Global, market share gains, premium brands, premiumization, Pricing power, Recession-resistant, Spirits
Apr 28, 2026 Fund Letters Vulcan Value Partners - Small Cap Diageo plc Consumer Staples Distillers & Vintners Bull NYSE brand portfolio, consumer staples, Global, premium brands, premiumization, Pricing power, Recession-resistant, Spirits
Apr 28, 2026 Fund Letters Kovitz Core Equity Diageo Consumer Staples Distillers & Vintners Bull NYSE consumer staples, Global, inventory management, margin expansion, market share, premium brands, Spirits, Value
Apr 28, 2026 Fund Letters Kovitz Core Equity Diageo Consumer Staples Distillers & Vintners Bull NYSE consumer staples, defensive, Global, market share gains, premium brands, Recession-resistant, Resource Scarcity, Spirits
Apr 13, 2026 Fund Letters Latitude Global Fund Diageo plc Consumer Staples Distillers & Vintners Bull NYSE Beverages, brand portfolio, consolidation, Cyclical, Inventory Cycle, market share, Pricing power, Spirits, Value
Apr 13, 2026 Fund Letters Argosy Investors Diageo plc Consumer Staples Beverages Bull NYSE defensive, dividend yield, Global Brands, premium brands, risk management, Spirits, Stable Earnings, Value Investment
Apr 13, 2026 Fund Letters Oakmark Global Select Fund Diageo Consumer Staples Distillers & Vintners Bull NYSE Beverages, Destocking, Distribution, Geographic Diversification, Global Brands, Marketing Scale, premium spirits, UK
Jan 10, 2026 Substack Winter Gems Diageo plc Beverages Distillers & Vintners Bull London Stock Exchange competitive position, Diageo, Guinness, Johnnie Walker, Spirits, Supreme Court, tariff, trade environment, UK, US market
Aug 13, 2025 Seeking Alpha Alan Galecki Diageo Consumer Staples Beverages - Wineries & Distilleries Bear NYSE

BSD Shareholders of DEO

This report provides a detailed summary of investor holdings for a specified stock ticker, highlighting key metrics such as fund name, total assets under management (AUM), invested value, portfolio weight, and shares owned. It also tracks changes in share ownership during the last quarter, including the percentage of shares bought or sold and the percentage of outstanding shares owned. The data is generated using an API that processes investor holdings and calculates these values for each fund. This report helps investors and analysts monitor the stock positions of major funds, identify investment trends, and assess the influence of large investors on individual stocks.

Filing Date: September 30, 2025
Manager Name Fund Name Fund AUM Invested Value Portfolio Weight Shares Owned Shares Bought / Sold During Quarter % Bought / Sold During Quarter % of Shares Outstanding Owned
No investor data available.