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Jensen Investment Management (Jensen Investment) - FilingSpy
Jensen Investment Management
Jensen Investment
$6.69B
13F
2016 Q3
38 of 53 quarters
Overview
Activity
Holdings
Buys
GOOGL
NEW
Alphabet Inc. (formerly Google Inc.)
$134.94M
+167.8K shares
USNA
NEW
Usana Health Sciences Inc
$490.0K
+3.5K shares
XLNX
NEW
Xilinx Inc
$484.0K
+8.9K shares
OA
NEW
Orbital Atk Inc
$482.0K
+6.3K shares
CHRW
NEW
C.h. Robinson Worldwide, Inc.
$474.0K
+6.7K shares
ZBH
NEW
Zimmer Biomet Holdings, Inc.
$467.0K
+3.6K shares
MSM
NEW
Msc Industrial Direct Co., Inc.
$465.0K
+6.3K shares
GRA
NEW
W.r. Grace & Co.
$456.0K
+6.2K shares
AXP
NEW
American Express Company
$455.0K
+7.1K shares
CTXS
NEW
Citrix Systems Inc
$453.0K
+5.3K shares
KR
NEW
The Kroger Co.
$447.0K
+15.1K shares
TGT
NEW
Target Corp
$423.0K
+6.2K shares
CPB
NEW
The Campbell'S Company
$422.0K
+7.7K shares
SONC
NEW
Sonic Corp.
$413.0K
+15.8K shares
PII
NEW
Polaris Inc
$368.0K
+4.8K shares
PEP
Pepsico Inc
$371.85M
+ $43.45M
=
$415.30M
3.51M
+308.1K (+8.78%)
RTX
United Technologies Corporation
$300.71M
+ $28.62M
=
$329.33M
2.93M
+309.1K (+10.54%)
ADP
Automatic Data Processing Inc
$180.88M
+ $24.14M
=
$205.02M
1.97M
+355.6K (+18.06%)
NKE
Nike Inc
$150.61M
+ $23.43M
=
$174.03M
2.73M
+577.1K (+21.15%)
KO
The Coca-Cola Company
$139.69M
- $9.22M
=
$130.47M
3.08M
+1.4K (+0.04%)
Show all 55 buys (35 more)
Sells
T
EXIT
AT&T Inc.
$389.0K
- $389.0K
=
Closed
-9.0K shares (100%)
MO
EXIT
Altria Group Inc
$443.0K
- $443.0K
=
Closed
-6.4K shares (100%)
BAX
EXIT
Baxter International Inc.
$409.0K
- $409.0K
=
Closed
-9.0K shares (100%)
BA
EXIT
Boeing Company (the)
$399.0K
- $399.0K
=
Closed
-3.1K shares (100%)
CAT
EXIT
Caterpillar Inc
$432.0K
- $432.0K
=
Closed
-5.7K shares (100%)
EXPD
EXIT
Expeditors International of Washington, Inc.
$419.0K
- $419.0K
=
Closed
-8.5K shares (100%)
GD
EXIT
General Dynamics Corp.
$394.0K
- $394.0K
=
Closed
-2.8K shares (100%)
GWW
EXIT
W.w. Grainger Inc
$409.0K
- $409.0K
=
Closed
-1.8K shares (100%)
HSY
EXIT
Hershey Co
$510.0K
- $510.0K
=
Closed
-4.5K shares (100%)
IBM
EXIT
International Business Machines Corporation
$417.0K
- $417.0K
=
Closed
-2.8K shares (100%)
LLTC
EXIT
Linear Technology Corporation
$429.0K
- $429.0K
=
Closed
-9.2K shares (100%)
MRK
EXIT
Merck & Co Inc
$436.0K
- $436.0K
=
Closed
-7.6K shares (100%)
NUS
EXIT
Nu Skin Enterprises Inc
$486.0K
- $486.0K
=
Closed
-10.5K shares (100%)
RL
EXIT
Ralph Lauren Corp
$412.0K
- $412.0K
=
Closed
-4.6K shares (100%)
TXN
EXIT
Texas Instruments Incorporated
$445.0K
- $445.0K
=
Closed
-7.1K shares (100%)
WDC
EXIT
Western Digital Corp
$527.0K
- $527.0K
=
Closed
-11.2K shares (100%)
BDX
Becton, Dickinson and Company
$383.86M
+ $21.60M
=
$405.46M
2.26M left
-7.5K (-0.33%)
MMM
3m Co.
$356.32M
+ $1.81M
=
$358.13M
2.03M left
-2.5K (-0.12%)
MSFT
Microsoft Corporation
$334.84M
+ $6.24M
=
$341.08M
5.92M left
-622.2K (-9.51%)
ECL
Ecolab Inc
$311.58M
+ $7.28M
=
$318.86M
2.62M left
-7.5K (-0.29%)
Show all 62 sells (42 more)