KO

KO

KO

Market Cap: $340.45B

Letters With This Ticker

Quarter Letter Date Fund Name QTD YTD Tickers Keywords/Themes Theme Commentary Pitches Letter
2025 Q3 Sep 30, 2025 Mondrian Global Equity Fund - - BATS.L, CL, ENEL.MI, IMB.L, KO, PEP, PG, RI.PA, SRG.MI, WMT Consumer Staples, defensives, global, Risk-adjusted, Utilities, value
2025 Q2 Aug 5, 2025 Horos Asset Management 6.6% 11.9% AAPL, ANA.MC, ATALAYA.L, AXP, AZM.MI, BRK-A, DIA.MC, GEST.MC, GOOGL, KO, MCO, MEL.MC, MSFT, NFLX, NPN.L, SEM.LS, VRA.PA Buybacks, catalysts, energy, Europe, Hotels, Spain, Telecommunications, value
2025 Q2 Aug 4, 2025 Artemis US Select Fund 10.1% -6.2% AAPL, ABBV, ALL, CEG, CHD, CMFY, FI, KO, MU, NVDA, PCG, STX, TDG, TMO, TXN, WFC, WMT Data centers, nuclear, semiconductors, tariffs, technology, US NVDA
CMG
AAPL
2025 Q2 Aug 18, 2025 Bonsai Partners - 7.3% AMZN, CELH, FEVR.L, KO, MNST, TAP, WISE.L Beverages, Customer Focus, Distribution, Enduring Economics, Partnerships, Quality FEVR.L
2025 Q2 Aug 11, 2025 BlackRock Global Dividend Fund 8.4% 9.1% AVGO, AZN, CMS, KO, META, MSFT, NVDA, ORCL, RELX, TSM, UNH, VMW, WMT dividends, global, healthcare, Quality, technology, Utilities, volatility
2025 Q2 Jul 27, 2025 Carillon Eagle Growth & Income Fund - - ABBV, ABT, ACN, AVGO, CARR, DUK, ETN, GLW, GS, JPM, KO, LRCX, MCD, MDLZ, MSFT, ORCL, PG, PNC, RTX AI, financials, growth, healthcare, income, large cap, semiconductors, technology LRCX
ABBV
AVGO
ORCL
GLW
ETN
2025 Q2 Jul 16, 2025 Pittenger & Anderson - - AAPL, AMZN, BRK-A, GE, GOOGL, IBM, INTC, JPM, KO, META, MO, MRK, MSFT, NVDA, T, TSLA, WMT, XOM AI, diversification, long-term, Quality, tariffs, technology, volatility
2025 Q2 Jun 30, 2025 YCG Investment - - AAPL, BRK-A, EFX, EIX, EXPN.L, FICO, HE, KO, MCO, PCG, PEP, SPGI, TRU, UNH, VRSK Network Effects, Pricing Power, Quality, regulation, tariffs, value FICO
AAPL
2024 Q2 Jun 30, 2024 Orbis Global Equity - - AAPL, AMZN, CXT, GOOGL, KO, META, MSFT, NVDA, TSLA, WFC Advertising, AI, Buybacks, large cap, technology, value GOOGL
2024 Q1 May 7, 2024 First Eagle Investments 0.0% 0.0% CLX, KO Deficit Spending, Geopolitical, gold, inflation, Nominal Drift, Resilience, Valuations
2024 Q1 May 28, 2024 Bridgewater Associates 0.0% 0.0% AMT, CAT, ETN, FUN, GE, GOOGL, HA, HCA, HON, KO, MAT, MCD, META, MONDEE, MSI, NEE, PFGC, PG, TXRH, WLDN AI, Capex, Corporate Spending, earnings, Energy Transition, Labor Markets, profitability
2025 Q1 May 22, 2025 Artemis US Select Fund -14.7% -14.7% AAPL, ALL, AVTR, CTVA, EXP, FI, GOOGL, GS, KO, PCG, SAIA, VMC, WST AI, Data centers, healthcare, industrials, tariffs, technology, Trade Policy, value
2025 Q1 May 21, 2025 Fairtree Global Equity Fund 1.5% 1.5% ABT, AMZN, AVGO, BABA, BID.JO, BP, EVO.ST, GFI, GOOGL, JD, JPM, KO, KSPI.L, MSFT, NVDA, ORCL, PDD, SHEL, TTE AI, China, E-Commerce, energy, Global Equity, Recession, tariffs, technology
2025 Q1 May 2, 2025 Tweedy, Browne Worldwide High Dividend 7.2% 7.2% 0220.HK, AAPL, ARKM.PA, BA.L, CNHI, D05.SI, DGE.L, DHL.DE, FMC, GOOGL, HEIN.AS, HTO.PA, INCH.L, JNJ, KEF1V.HE, KO, MSFT, NESN.SW, NOVN.SW, PRU.L, RHM.DE, ROG.SW, RUI.PA, SAF.PA, TFC, TREL-B.ST, TTE, U11.SI, USB, ZURN.SW defense, dividends, Europe, industrials, international, value
2025 Q1 Apr 5, 2025 ClearBridge Investments Dividend Strategy - - AIG, APO, AVGO, CVS, EIX, GILD, GOOGL, ITX.MC, KO, MSFT, NESN.SW, NOC, RTX, SAP, SRE, TEL, TMUS, WMB, XOM defense, dividends, energy, tariffs, Utilities, value TEL
ITX.MC
CVS
2026 Q1 Apr 21, 2026 Bronte Capital Amalthea Fund -5.9% -5.9% 5016.T, COF, CTVA, GOOGL, IBKR, IHG, KO, LLY, NVO, SPX.L, V, VNP.TO energy, Europe, Geopolitical, global, Long/Short, Quality, valuation
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
2024 Q1 Apr 20, 2024 Saga Partners 22.6% 39.4% AMZN, COST, CVNA, EXPI, GDRX, GOOGL, KMX, KO, LAD, META, NFLX, RDFN, ROKU, TTD, UA, VZIO, WMT, Z Concentration, E-Commerce, long-term, technology, value, volatility
2024 Q1 Apr 15, 2024 Manole Capital Management 0.0% 0.0% AAPL, AMZN, AXP, BRK-A, GOOGL, KO, META, MSFT, NVDA, TSLA Economic Growth, Federal Reserve, Fintech, inflation, interest rates, payments, technology
2025 Q1 Apr 13, 2025 Richie Capital Group - - ADM, DE, IBM, KO, X Economic Outlook, Onshoring, Recession, Resilience, stock picking, tariffs, Trade Policy
2025 Q1 Mar 31, 2025 Miller Howard Investments Income-Equity Strategies - - CMCSA, CMS, CNQ, CSCO, EIX, EPD, EWBC, EXC, GILD, JEF, JPM, KO, LAMR, NTR, ORI, RHI, RY, STAG, TTE, VICI dividends, financials, income, low volatility, tariffs, Utilities, value
2025 Q1 Mar 31, 2025 Auxier Asset Management 4.6% 4.6% AAPL, AFL, AIG, AMZN, BRK.B, GOOGL, HD, KO, KR, LOW, META, MMC, MNST, MO, MSFT, NVDA, PM, TRV, TSLA, UNM AI, Buybacks, Consumer Staples, insurance, Leverage, tariffs, technology, 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 Columbia Dividend Opportunity Fund 3.4% 3.4% ABBV, AFG, ALL, AVGO, CSCO, CVS, CVX, DLR, EIX, HD, HPE, IBM, JNJ, JPM, KO, MRK, PEG, PM, TGT, XOM defensives, dividends, energy, large cap, Trade Policy, Utilities, value
2025 Q1 Mar 31, 2025 Macquarie Large Cap Growth Fund -7.0% -7.0% AAPL, AMZN, AVGO, CRM, EA, GOOGL, ICE, IDXX, KO, LLY, META, MSFT, NVDA, TSLA, TSM, UNH, V, WCN AI, financials, growth, large cap, Quality, risk management, technology, volatility IDXX
EA
V
ICE
2024 Q1 Mar 31, 2024 Merchant West - - AAL.L, BHP, CL, KO, NESN.SW Consumer Staples, credit, Elections, fixed income, Governance, Politics, South Africa
2024 Q1 Mar 31, 2024 City Different Investments – Global Equity 16.4% 46.0% AAPL, AMZN, BRK-A, GE, GOOGL, IBM, INTC, JPM, KO, META, MO, MRK, MSFT, NVDA, T, TSLA, WMT, XOM AI, diversification, long-term, tariffs, technology
2025 Q4 Mar 1, 2026 Berkshire Hathaway - 10.9% 8001.T, 8002.T, 8031.T, 8053.T, 8058.T, AAPL, AXP, KHC, KO, MCO, OXY Capital Allocation, energy, Float, insurance, Quality, Railroads, Underwriting, value
2024 Q4 Mar 1, 2025 Columbia Dividend Opportunity Fund -1.6% 15.5% ABBV, APO, AVGO, BAC, CSCO, CVS, CVX, GRMN, GS, HD, IBM, JNJ, JPM, KO, MRK, SWK, TPG, VST, WFC, XOM AI, dividends, financials, large cap, semiconductors, value
2025 Q4 Feb 8, 2026 BlackRock Global Dividend Fund 2.2% 19.3% 000001.SZ, 000660.KS, AAPL, ALVY.DE, AVGO, AZN, BABA, CMS, GOOGL, KO, MSFT, REL.L, SONY, TSM dividends, Europe, financials, global, healthcare, Quality, technology FBK IM
2025 Q4 Feb 25, 2026 Semper Augustus - 41.4% AAPL, AMZN, BRK-A, COST, DECK, DG, DLTR, FIVE, GOOGL, KGC, KHC, KO, META, MSFT, NEM, NVDA, TSLA Artificial Intelligence, Capital discipline, Energy Infrastructure, Intrinsic Value, Valuation risk
2025 Q4 Feb 12, 2026 Artemis US Select Fund 7.0% 10.0% AMAT, AMD, AXON, CAH, CTVA, ETN, IQV, KO, LLY, LYV, META, MU, NVT, PH, RCL, WDC AI, growth, healthcare, Pharmaceuticals, semiconductors, technology, US Equities
2024 Q4 Dec 31, 2024 Distillate Capital Fundamental Stability & Value - 12.8% AAPL, AMZN, AVGO, BMY, COST, CSCO, CVS, DKS, GDDY, KO, META, MO, MSFT, NFLX, NVDA, ORCL, TMUS, TSLA, WMT, WSM AI, Concentration, large cap, Quality, technology, valuation, value
2024 Q4 Dec 31, 2024 Capicraft Investment Partners - - AAPL, AMZN, ASML, COST, DIS, DOCU, GOOGL, JNJ, KO, LB, NFLX, NVDA, TPG, TSM, ZM AI, energy, inflation, Quality, technology, US, value LBRT
2024 Q4 Dec 31, 2024 Miller Howard Investments Income-Equity Strategies - - ABBV, CPT, EIX, ETR, EWBC, GILD, GS, GSK, HST, JEF, JNJ, JPM, KO, LAMR, LYB, MAA, MDT, MRK, MSM, ORI, RY, TTE, USB dividends, financials, healthcare, income, Utilities, value
2024 Q4 Dec 31, 2024 Vision Capital - - 0700.HK, 3690.HK, AAPL, AMZN, AXP, DIS, GOOGL, JD, KO, MELI, META, MSFT, NU compounders, growth, long-term, Quality, technology, value
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
2025 Q3 Dec 15, 2025 Baumann Capital - - 005930.KS, 4188.T, 5401.T, 6701.T, 6723.T, 6758.T, 6967.T, AAPL, AI.PA, BOSCH, DRW3.DE, HLMA.L, HON, IFX.DE, KO, MSA, MU, NVDA, TSM concentrated, Gas Detection, Japan, Primary Research, Quality, Safety, semiconductors
2025 Q3 Nov 3, 2025 Fairtree Global Equity Fund 8.9% - 005930.KS, AAPL, AMZN, BABA, BRK-B, CNC, CROX, DHI, EVO.ST, FI, GOOGL, JD, KO, ORCL, V, WKL, ZTS AI, China, Dollar, emerging markets, global, policy, semiconductors, technology FISV
CROX
CNC
AAPL
BABA
GOOG
2025 Q3 Nov 3, 2025 BlackRock Global Dividend Fund 6.7% 16.5% AAPL, AVGO, AZN, BABA, CL, CMS, GOOGL, KO, MSFT, NVDA, NVO, ORCL, TSM, WMT AI, Cloud, dividends, global, Quality, technology, volatility CL
NOVO
ORCL
AVGO
BABA
ORCL
AVGO
BABA
2025 Q3 Oct 9, 2025 Resilient Asset Management - - AMZN, GOOGL, JDSU, KO, LITE, META, NVDA, ORCL, VIAV AI, diversification, international, Tax Planning, technology, valuation
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
2024 Q3 Oct 20, 2024 Distillate Capital Small/Mid Cap Quality & Value 0.0% 5.6% AAPL, ABBV, AMD, AMZN, AVGO, COST, KO, LLY, MA, META, MSFT, NFLX, NVDA, ORCL, QCOM, TMUS, TOL, TSLA, WMT, WSM cash flow, Leverage, Quality, risk management, small caps, valuation, value
2025 Q3 Oct 19, 2025 Carillon Eagle Growth & Income Fund - - ABBV, ABT, ACN, AVGO, CARR, DUK, ETN, GLW, GS, JPM, KO, LRCX, MCD, MDLZ, MSFT, ORCL, PG, PNC, RTX AI, financials, growth, healthcare, income, large cap, semiconductors, technology
2025 Q3 Oct 10, 2025 Moon Capital Management - - AMD, AMZN, GOOGL, IONQ, KO, META, MSFT, QBTS, QUBT, RGTI, WMT AI, Bubble, fundamentals, risk, technology, Valuations, value
2024 Q3 Oct 1, 2024 Minion Capital 0.0% 0.0% BRZE, CRM, GOOGL, KO, PEP, TEAM AI, dislocations, growth, Options, SaaS, technology, value
2025 Q4 Jan 8, 2026 NS Partners - - GOOGL, KO, NVDA, PG AI, Biotechnology, commodities, emerging markets, energy, global, private equity, technology
2024 Q4 Jan 8, 2025 Tapasya Investment Fund - 17.8% AAPL, AMZN, GE, GOOGL, IBM, INTC, JPM, KO, META, MO, MRK, MSFT, NVDA, T, TSLA, WMT, XOM AI, diversification, long-term, Quality, tariffs, technology
2025 Q4 Jan 7, 2026 ClearBridge Investments Dividend Strategy 0.0% 0.0% AAPL, ADP, APD, AVGO, GOOGL, ITX.MC, KO, LHX, META, MMC, MSFT, NESN.SW, NVDA, ODFL, ORCL, TEL, TMUS, UL, UNP, XOM AI, Concentration, diversification, dividends, large cap, semiconductors, technology, value
2024 Q4 Jan 7, 2025 Horos Asset Management 1.9% 11.8% AAPL, AMZN, AXP, CSCO, DIS, GOOGL, KO, LBTYA, MCD, META, MSFT, NVDA, PG, PYPL, TSLA Concentration, contrarian, Europe, Market Risk, Spain, Telecommunications, value ZEGN.L
2025 Q4 Jan 19, 2026 Carillon Eagle Growth & Income Fund 0.0% 0.0% ADI, AVGO, AZN, DUK, ETN, GS, HD, JPM, KO, LRCX, MCD, MSFT, ORCL, PG, PNC, RTX, TMUS AI, Capital markets, earnings, growth, large cap, semiconductors, technology
2024 Q3 Sep 30, 2024 Columbia Dividend Opportunity Fund 9.5% 0.0% ABBV, BAC, BBY, BX, BXP, CSCO, CVX, F, GS, IBM, JNJ, JPM, K, KO, MMM, MRK, SWK, VST, WFC, XOM AI, dividends, large cap, rates, Utilities, value
2024 Q3 Sep 30, 2024 Miller Howard Investments Income-Equity Strategies 3.6% 0.0% ABBV, BAC, BK, CAH, CNQ, EPD, ETR, GILD, GS, HST, JEF, JPM, KO, LAMR, MRK, NTR, OGE, ORI, PSX, TXN AI, dividends, financials, Market Concentration, Utilities, value ETR
2024 Q3 Sep 30, 2024 Coho Relative Value Equity 0.0% 6.1% AMZN, BAX, CVS, DG, KDP, KO, MCHP, NVDA, STZ, WMT Beverages, defensives, earnings, healthcare, Quality, value
2023 Q2 Aug 8, 2023 Matrix Dividend Income 0.0% 0.0% AAPL, AMZN, CSCO, GD, GOOGL, KO, LHX, META, MSFT, PFE, PYPL, QCOM, SBUX, UNH AI, dividends, financials, healthcare, large cap, rates, technology, value PFE
AAPL|MSFT|NFLX|NVDA|UNH
2023 Q2 Aug 8, 2023 Matrix Large Cap Value Strategy 0.0% 0.0% AAPL, AMZN, CSCO, GD, GOOGL, KO, LHX, META, MSFT, PFE, PYPL, QCOM, SBUX, UNH dividends, Fed policy, financials, healthcare, insider buying, Market Rotation, technology, value PFE
AAPL|MSFT|NFLX|NVDA|UNH
2023 Q1 Aug 5, 2023 Matrix Dividend Income 0.0% 0.0% AEP, AMZN, APD, BK, EBAY, HD, KMB, KO, MDT, MTB, PARA, PNC, SLB, TFC, TSN, UNP, USB Banking, dividends, financials, healthcare, rates, technology, value SUNP IN
PNC
2023 Q1 Aug 5, 2023 Matrix Large Cap Value Strategy 0.0% 0.0% AEP, AMZN, APD, BK, EBAY, HD, KMB, KO, MDT, MTB, PARA, PNC, SLB, TFC, TSN, UNP, USB Banking, dividends, financials, healthcare, rates, technology, value SUNP IN
PNC
2024 Q2 Jul 31, 2024 Auxier Asset Management 7.4% 0.0% AAPL, BAC, BK, GLW, GOOGL, KO, KR, LINC, MA, META, MNST, MRK, MSFT, NVDA, PEP, PM, RTX, TAP, UNH, V AI, infrastructure, risk management, small caps, Speculation, technology, value
2024 Q2 Jul 20, 2024 Frontaura Global Frontier 5.2% 23.3% ASAI.L, KO, MCD earnings, emerging markets, frontier markets, Performance, value
2022 Q2 Jun 30, 2022 Aristotle International Equity Fund 10.5% 13.3% 0S9F LN, 1MUV2 IM, AHT LN, CCJ, KO -
2022 Q2 Jun 30, 2022 Aristotle Value Equity Fund 6.3% 12.3% ADSK, AMG GR, KO, MCHP, MLM -
2023 Q2 Jun 7, 2023 St. James Investment Company 0.0% 0.0% AAPL, AMZN, AVP, BRK.A, DIS, G, GOOGL, IBM, KO, MCD, META, MSFT, NVDA, TSLA, XRX AI, Historical Parallels, inflation, Market Concentration, Speculation, technology, Valuations, Value Investing
2024 Q1 Mar 31, 2024 Miller Howard Investments Infrastructure 0.0% 0.0% AAPL, AMZN, CMCSA, CMS, CNQ, CSCO, EOG, EPD, EWBC, EXC, GILD, GOOGL, IPG, JPM, KO, LAMR, META, MSFT, NTR, NVDA, ORI, STAG, TSLA, TTE, UPS AI, dividends, energy, growth, income, infrastructure, Utilities, value
2024 Q1 Mar 31, 2024 Miller Howard Investments Income-Equity Strategies 3.6% 0.0% AAPL, AMZN, CMCSA, CMS, CNQ, CSCO, EOG, EPD, EWBC, EXC, GILD, GOOGL, IPG, JPM, KO, LAMR, META, MSFT, NTR, NVDA, ORI, STAG, TSLA, TTE, UPS AI, dividends, energy, income, Market Concentration, Utilities, value, volatility
2024 Q1 Mar 31, 2024 Miller Howard Investments MLP Strategy 0.0% 0.0% AES, AM, ATO, BCE, CEG, CMCSA, CMS, CNP, CNQ, CSCO, CVX, DTE, EOG, EPD, EWBC, EXC, FTS, GILD, HESM, IPG, JPM, KMI, KO, LAMR, LBRT, LNG, MPC, NEE, NTR, OKE, ORI, PAGP, PCG, PEG, POR, SRE, STAG, TMUS, TRGP, TTE, UPS, VST, WM dividends, energy, income, infrastructure, Midstream, Utilities, value
2024 Q1 Mar 31, 2024 Miller Howard Investments Utilities Plus 0.0% 0.0% AAPL, AES, AM, AMZN, ATO, BCE, CEG, CMCSA, CMS, CNP, CNQ, CSCO, CVX, DTE, EOG, EPD, EWBC, EXC, FTS, GILD, GOOGL, HESM, IPG, JNJ, JPM, KMI, KO, LAMR, LBRT, LNG, META, MPC, MSFT, NEE, NTAP, NTR, NVDA, OKE, ORCL, ORI, PAGP, PCG, PEG, POR, QCOM, SRE, STAG, TMUS, TRGP, TSLA, TTE, UPS, VST, WM AI, dividends, energy, growth, Utilities, valuation
2023 Q1 Mar 30, 2024 Miller Howard Investments Infrastructure 0.0% 0.0% AMT, CMCSA, CMS, CPT, CSCO, DINO, EPD, EXR, GILD, GPC, HUN, IPG, KMI, KO, LAMR, LYB, MAA, MMP, MPLX, ORI, POR, PPL, SO, STAG, TRGP, TTE, UPS Banking, dividends, energy, infrastructure, interest rates, real estate, Recession, Utilities
2023 Q1 Mar 30, 2024 Miller Howard Investments Income-Equity Strategies 3.6% 0.0% AMT, CMCSA, CMS, CPT, CSCO, EPD, EXR, GILD, GPC, HUN, IPG, KMI, KO, LAMR, MAA, MMP, MPLX, ORI, STAG, TTE, UPS Banking, credit, dividends, infrastructure, interest rates, Recession, Utilities
2023 Q1 Mar 30, 2024 Miller Howard Investments MLP Strategy 0.0% 0.0% AMT, CMCSA, CMS, CPT, CSCO, EPD, EXR, GILD, GPC, HUN, IPG, KO, LAMR, MMP, MPLX, ORI, POR, STAG, TTE, UPS Banking, dividends, energy, inflation, infrastructure, interest rates, Midstream, Recession
2023 Q1 Mar 30, 2024 Miller Howard Investments Utilities Plus 0.0% 0.0% CMCSA, CMS, CPT, CSCO, DINO, EXR, GILD, GPC, HUN, IPG, KO, LAMR, MAA, ORI, POR, PPL, SO, STAG, TTE, UPS Banking, dividends, energy, infrastructure, interest rates, real estate, Recession, Utilities
2023 Q4 Feb 24, 2024 Berkshire Hathaway 0.0% 0.0% 8001.T, 8002.T, 8031.T, 8053.T, 8058.T, AXP, KO, OXY energy, insurance, long-term, Railroads, Utilities, value
2023 Q4 Feb 23, 2024 Semper Augustus 0.0% 10.8% AAPL, AMZN, AXP, BAC, BRK-A, COST, CVX, DG, GOOGL, KHC, KO, META, MSFT, NVDA, OXY, TSLA Berkshire, Buybacks, China, energy, inflation, value
2024 Q4 Feb 22, 2025 Berkshire Hathaway - 25.5% 0700.HK, 7203.T, AAPL, AMZN, AXP, BAC, BHP.AX, BP.L, CVX, HSBA.L, KHC, KO, MC.PA, MCO, MSFT, OXY, RELIANCE.NS, SAP.DE, SHOP.TO, TSLA energy, insurance, long-term, Manufacturing, Railroads, value
2023 Q4 Jan 31, 2024 Manole Capital Management 0.0% 0.0% AAPL, AFRM, AMZN, AXP, BRK-A, GOOGL, KO, META, MSFT, NVDA, PYPL, SHOP, SQ, TSLA consumer, E-Commerce, Fintech, inflation, payments, rates, technology
2022 Q4 Jan 23, 2023 Giverny Capital Asset Management 8.5% -22.7% COHR, ERF FP, FD, FIVE, FRCB, GOOG, HEI, JPM, KMX, KO, MA, META, PGR, SCHW -
2022 Q4 Jan 18, 2023 Rowan Street Capital 12.8% 42.3% COST, KO, PG -
2023 Q3 Jan 7, 2024 Hayden Capital 13.9% 37.6% AAPL, ADBE, ATVI, EDU, KO, NESTLEIND.NS, PDD, PG, SMRT cash flow, China, Predictability, real estate, technology, value SMRT

Pitches With This Ticker

Date Pitch Type Author Company Industry Sub Industry Bull / Bear Stock Exchange Keywords Action
Sep 16, 2025 Short Thesis The Bear Cave Coca-Cola Co/The Consumer Staples Soft Drinks Bear NYSE Beverages, FX, Health trends, Pricing, valuation
Aug 8, 2025 Seeking Alpha JR Research The Coca-Cola Company Consumer Staples Beverages - Non-Alcoholic Bull NYSE
Aug 8, 2025 Seeking Alpha Bay Area Ideas The Coca-Cola Company Consumer Staples Beverages - Non-Alcoholic Bear NYSE
Aug 8, 2025 Seeking Alpha Agar Capital Coca-Cola Company Consumer Staples Beverages - Non-Alcoholic Bull NYSE
Aug 8, 2025 Seeking Alpha Skeptical12 The Coca-Cola Company Consumer Staples Beverages - Non-Alcoholic Bear NYSE

BSD Shareholders of KO

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
David Hoeft Dodge & Cox $185.3B $1.7M 0.00% 24,000 -635 -2.58% 0.0005%
Tim Campbell Baillie Gifford $120.3B $53.2M 0.04% 760,904 -9,472 -1.23% 0.0156%
Tom Russo Gardner Russo & Quinn $9.3B $953,572 0.01% 13,640 +0 +0.00% 0.0003%
Paul Tudor Jones Tudor Investment Corp $53.4B $23.9M 0.04% 341,400 -1,730,200 -83.52% 0.0070%
Steven A. Cohen Point72 Asset Management $86.8B $102.2M 0.12% 1,461,616 +1,057,927 +262.06% 0.0300%
Nick Train Lindsell Train Ltd $3.9B $1.2M 0.03% 17,000 -1,500 -8.11% 0.0003%
Lee Ainslie Maverick Capital $9.3B $109.2M 1.17% 1,562,287 +1,540,598 +7103.13% 0.0321%
Robert Pohly Samlyn Capital $6.3B $29.4M 0.47% 420,189 +420,189 +100.00% 0.0086%
Ray Dalio Bridgewater Associates $27.4B $20.0M 0.07% 286,109 +34,650 +13.78% 0.0059%
Dmitry Balyasny Balyasny Asset Management $76.6B $5.5M 0.01% 79,000 +61,100 +341.34% 0.0016%
Israel Englander Millennium Management LLC $233.2B $135.3M 0.06% 1,934,800 +465,000 +31.64% 0.0397%
Jeremy Grantham GMO LLC $39.1B $615.8M 1.57% 8,808,478 +1,822,090 +26.08% 0.1809%
Terrence Murphy Clearbridge Investments $124.9B $589.2M 0.47% 8,427,307 -397,115 -4.50% 0.1731%
David Siegel & John Overdeck Two Sigma Investments $67.5B $6.4M 0.01% 92,194 +59,600 +182.86% 0.0019%
Cliff Asness AQR Capital Management $190.6B $112.8M 0.06% 1,612,849 -178,263 -9.95% 0.0331%
Mario Gabelli GAMCO Investors $10.4B $21.2M 0.20% 302,784 -407 -0.13% 0.0062%
Louis Bacon Moore Capital Management $6.8B $1.5M 0.02% 22,025 -19,171 -46.54% 0.0005%
Richard L. Chilton Jr. Chilton Investment $4.8B $2.2M 0.05% 31,396 -8,790 -21.87% 0.0006%
Warren Buffett Berkshire Hathaway $274.2B $28.0B 10.20% 400,000,000 +400,000,000 +100.00% 8.2138%
Donald Yacktman Yacktman Asset Management $7.1B $147.4M 2.06% 2,108,644 -27,583 -1.29% 0.0433%
Rich Handler Jefferies $19.3B $3.2M 0.02% 45,715 +32,791 +253.72% 0.0009%
Richard Kayne & John Anderson Kayne Anderson Rudnick Investment Management $37.3B $11.2M 0.03% 160,131 -6,697 -4.01% 0.0033%