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Institutional Investment Manager
FIRST MANHATTAN CO. LLC.
FIRST MANHATTAN CO. LLC. (CIK: 0000728083) incorporated in New York, located at 399 Park Ave, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 1,440 holdings with a total value of $16,444,862,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 BERKSHIRE HATHAWAY INC DEL 14,679 3,583,452,000 21.79%
2 BROOKFIELD ASSET MGMT INC 16,896,364 557,749,000 3.39%
3 MICROSOFT CORP 8,066,837 501,273,000 3.05%
4 Reckitt Benckise Gp Ord 5,658,458 480,006,000 2.92%
5 BERKSHIRE HATHAWAY INC DEL 2,774,579 452,201,000 2.75%
6 APPLE INC 3,740,601 433,236,000 2.63%
7 NESTLE SA SPONSORED ADR REPSTG 5,566,792 399,362,000 2.43%
8 JOHNSON & JOHNSON 2,588,309 298,199,000 1.81%
9 ANHEUSER BUSCH INBEV SA/NV 2,426,205 255,819,000 1.56%
10 HONEYWELL INTL INC 2,089,860 242,111,000 1.47%
11 WELLS FARGO & CO NEW 4,306,341 237,322,000 1.44%
12 ZIMMER BIOMET HLDGS INC 2,259,702 233,201,000 1.42%
13 DANAHER CORP DEL 2,910,662 226,566,000 1.38%
14 COMCAST CORP NEW 3,153,077 217,722,000 1.32%
15 CVS HEALTH CORP 2,652,359 209,297,000 1.27%
16 ARAMARK 5,411,959 193,315,000 1.18%
17 GILEAD SCIENCES INC 2,683,990 192,200,000 1.17%
18 PFIZER INC 5,171,073 167,956,000 1.02%
19 PHILIP MORRIS INTL INC 1,697,697 155,322,000 0.94%
20 AMERICAN INTL GROUP INC 2,115,141 138,139,000 0.84%
21 NEWELL BRANDS 3,059,015 136,585,000 0.83%
22 3M CO 738,779 131,924,000 0.80%
23 INTERNATIONAL BUSINESS MACHS 779,225 129,343,000 0.79%
24 ACCENTURE PLC IRELAND 1,092,329 127,944,000 0.78%
25 ORACLE CORP 3,266,517 125,597,000 0.76%
26 COTY INC-CL A 6,723,666 123,110,000 0.75%
27 GENERAL ELECTRIC CO 3,835,941 121,216,000 0.74%
28 SERVICE CORP INTL COM 3,925,003 111,470,000 0.68%
29 OLD REP INTL CORP 5,631,622 107,001,000 0.65%
30 US BANCORP DEL 2,002,506 102,868,000 0.63%
31 TIME WARNER INC 1,058,564 102,183,000 0.62%
32 FEDEX CORP 544,108 101,312,000 0.62%
33 PAYPAL HLDGS INC 2,502,742 98,783,000 0.60%
34 AMERICAN EXPRESS CO 1,220,440 90,410,000 0.55%
35 THERMO FISHER SCIENTIFIC INC 617,338 87,106,000 0.53%
36 ALPHABET INC 108,860 84,021,000 0.51%
37 OMNICOM GROUP INC 951,186 80,955,000 0.49%
38 HRG GROUP INC 5,159,464 80,281,000 0.49%
39 CANADIAN NAT RES LTD 2,433,578 77,582,000 0.47%
40 CBS CORP NEW 1,187,653 75,558,000 0.46%
41 ROBERT HALF 1,511,325 73,722,000 0.45%
42 ALLY FINANCIAL 3,820,500 72,665,000 0.44%
43 UNITED TECHNOLOGIES CORP 652,867 71,567,000 0.44%
44 CONOCOPHILLIPS 1,339,427 67,158,000 0.41%
45 LEUCADIA NATIONAL CO 2,849,383 66,248,000 0.40%
46 CHUBB LIMITED 478,777 63,256,000 0.38%
47 WABCO 592,970 62,943,000 0.38%
48 AMGEN INC 411,841 60,215,000 0.37%
49 VIACOM CLASS B 1,702,914 59,772,000 0.36%
50 Theravance Biopharma Inc 1,841,455 58,705,000 0.36%
Page 1 of 29

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-17-002832, filed 2017.01.25).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.