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© 2026 DataHeimdall. All rights reserved.Data sourced from SEC EDGAR public filings.

Superinvestor Consensus

Stocks held by the most tracked legendary investors — latest 13F filings

Min investors:
All2+3+5+10+
8668 stocks
#SymbolCompanyInvestorsAvg WeightTotal ValuePriceQuarter
101UBERUBER TECHNOLOGIES INC COM USD0.00001 LLC184.4%$41.1B–Q1 2026
102ADPD AUTOMATIC DATA PROCESSING IN181.4%$171.9B$213.00Q1 2026
103MSof Market of Morgan Stanley Dean Witter Discover & Co181.2%$77.3B–Q1 2026
104ZBHZimmer Holdings, Inc. Common180.8%$34.9B–Q1 2026
105KKRKKR& CO L P DEL181.3%$31.0B–Q1 2026
106DVNDEVON ENERGY CORPORATION NEW171.5%$192682122.7B–Q1 2026
107MRSHMARSH& MCLENNAN COS INC170.9%$24.6B–Q1 2026
108NFLXNetflix Inc. Common172.5%$163.8B–Q1 2026
109DEODiageo PLC.........................170.9%$7546.9B–Q1 2026
110DHIDR Horton/dhi172.3%$68.8B–Q1 2026
111DDof Market of E.I. Du Pont170.9%$109.7B–Q1 2026
112GLWD CORNING INC COMMON170.7%$83.6B$135.97Q1 2026
113CAHRESTRICTED CARDINAL CAP NET INC ACCREDITED I14148095T 0 25000 SH SOLE 25000 0 0 CARDINAL HEALTH INC170.9%$63490173.6B–Q1 2026
114ABBVAbbVie, Inc.170.4%$17.4B$201.55Q1 2026
115GDGeneral Dynamics...................170.5%$20.5B–Q1 2026
116HOGITEM 1 Harley Davidson Inc171.1%$72706274.8B–Q1 2026
117MARMarriott Intl, Inc., Class Common171.1%$26.2B–Q1 2026
118AAPD ADVANCE AUTO PARTS INC COM COMMON160.4%$4.6B$58.18Q1 2026
119JDJDCOM INC ADR163.2%$135.3B–Q1 2026
120AONAON plc Registered Shs161.3%$113.3B–Q1 2026
121ASMLD ASML Holding NV ADR ADRS161.9%$91.6B–Q1 2026
122SYYSysco Corporation160.8%$23.2B$70.80Q1 2026
123GILDGilead Sciences, Inc.160.9%$78.2B–Q1 2026
124HALHSBC HOLDINGS PLC-SPONS ADR ONE ADR REP FIVE404280406 97186 1767662 SH DEFINED 1631288 0 136374 HALLIBURTON CO161.0%$37.2B–Q1 2026
125DOWThe Dow Chemical Company160.7%$83.9B–Q1 2026
126NOVXXXXNCR CORP NEW Common Stock 6.29E+112 3005 77000SH Sole 0 0 NATIONAL-OILWELL INC. Common161.2%$80.9B–Q4 2020
127EXPEExpedia Inc. COMMON161.3%$8.8B–Q1 2026
128HPQXXXXHewlett-Packard Inc.161.9%$112094809.4B–Q3 2015
129MDTXXXXMedtronic, Inc. Common162.1%$113.5B–Q4 2014
130FFORD MTR CO DEL COM PAR $0.01160.6%$18.4B$11.68Q1 2026
131QCOMQualcomm, Inc161.5%$46.9B–Q1 2026
132SHWThe Sherwin-Williams Company COMMON160.5%$3316.6B–Q1 2026
133UTXUnitied Technologies Corp.162.0%$100.2B–Q1 2020
134DEDEERE& CO150.8%$95.5B–Q1 2026
135TSLATESLA MTRS INC151.4%$6.9B–Q1 2026
136LYVLIVE NATION INC151.2%$17.8B–Q1 2026
137TRVTravelers Inc150.8%$49.1B–Q1 2026
138KMXD Carmax Inc. COMMON153.1%$55083590.0B–Q1 2026
139CCLRESTRICTED CARDINAL CAP NET INC ACCREDITED I14148095T 0 25000 SH SOLE 25000 0 0 CARNIVAL CORP152.6%$14.1B$25.88Q1 2026
140HCAHCA-HEALTHCARE CO COM151.9%$107.5B–Q1 2026
141MDLZMONDELEZ INTL INC155.4%$76.9B–Q1 2026
142NOKNOKIA OYJ SPON ADR150.5%$27.9B–Q1 2026
143HUMHumana, Inc.151.0%$59.4B–Q1 2026
144SWKThe Stanley Works COMMON150.5%$3.9B–Q1 2026
145CVNACARVANA CO CL A1516.0%$48.3B–Q1 2026
146DELLDell, Inc.152.0%$126.5B–Q1 2026
147AVGOBroadcom, Inc.152.1%$79.4B$354.91Q1 2026
148ALLThe Allstate Corp.150.2%$11011.6B$216.59Q1 2026
149AVTRAvatar Holdings Inc.151.0%$25.6B$7.98Q1 2026
150HRBLloyds TSB Group PLC FS 0870612 223,023 32,427,633 SOLE 32,427,633 0 0 H & R Block, Inc150.6%$36989349.6B–Q1 2026
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