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Jensen Investment Management (Jensen Investment) - FilingSpy
Jensen Investment Management
Jensen Investment
$7.14B
13F
2017 Q1
36 of 53 quarters
Overview
Activity
Holdings
Buys
VFC
NEW
Vf Corp.
$677.0K
+12.3K shares
COL
Rockwell Collins Inc.
$435.0K
+ $254.0K
=
$689.0K
4.7K
+2.4K (+51.17%)
HSY
Hershey Co
$429.0K
+ $229.0K
=
$658.0K
4.2K
+1.9K (+45.06%)
CCK
Crown Holdings Inc
$403.0K
+ $225.0K
=
$628.0K
7.7K
+4.2K (+54.83%)
CHH
Choice Hotels Intl Inc
$465.0K
+ $131.0K
=
$596.0K
8.3K
+1.2K (+14.84%)
BBY
Best Buy Co., Inc.
$448.0K
+ $145.0K
=
$593.0K
10.5K
+1.6K (+14.86%)
ZBH
Zimmer Biomet Holdings, Inc.
$423.0K
+ $152.0K
=
$575.0K
4.1K
+610 (+14.88%)
VIAB
Viacom Inc.
$376.0K
+ $197.0K
=
$573.0K
10.7K
+1.6K (+14.85%)
ZD
Ziff Davis, Inc.
$462.0K
+ $83.0K
=
$545.0K
5.7K
+840 (+14.87%)
DVA
DaVita Inc.
$438.0K
+ $95.0K
=
$533.0K
6.8K
+1.0K (+14.79%)
HLF
Herbalife Ltd
$379.0K
+ $147.0K
=
$526.0K
7.9K
+1.2K (+14.85%)
EXPD
Expeditors International of Washington, Inc.
$427.0K
+ $96.0K
=
$523.0K
8.1K
+1.2K (+14.89%)
COH
Coach Inc
$386.0K
+ $137.0K
=
$523.0K
11.0K
+1.6K (+14.88%)
HI
Hillenbrand Inc
$483.0K
+ $36.0K
=
$519.0K
12.6K
+1.9K (+14.93%)
DLX
Deluxe Corporation
$445.0K
+ $70.0K
=
$515.0K
6.2K
+920 (+14.81%)
EMN
Eastman Chemical Co
$416.0K
+ $97.0K
=
$513.0K
5.5K
+820 (+14.83%)
XLNX
Xilinx Inc
$464.0K
+ $48.0K
=
$512.0K
7.7K
+1.1K (+14.95%)
OI
O-I Glass Inc
$380.0K
+ $132.0K
=
$512.0K
21.9K
+3.3K (+14.87%)
TDC
Teradata Corporation
$389.0K
+ $123.0K
=
$512.0K
14.3K
+2.1K (+14.80%)
WWW
Wolverine World Wide Inc
$388.0K
+ $119.0K
=
$507.0K
17.7K
+2.6K (+14.88%)
Show all 48 buys (28 more)
Sells
AXP
EXIT
American Express Company
$426.0K
- $426.0K
=
Closed
-5.8K shares (100%)
CSCO
EXIT
Cisco Systems Inc
$393.0K
- $393.0K
=
Closed
-13.0K shares (100%)
HPQ
EXIT
Hp, Inc.
$386.0K
- $386.0K
=
Closed
-26.0K shares (100%)
NSR
EXIT
Neustar Inc
$573.0K
- $573.0K
=
Closed
-17.1K shares (100%)
TNHUSD
EXIT
Terra Nitrogen Company, L.p.
$413.0K
- $413.0K
=
Closed
-4.0K shares (100%)
TXN
EXIT
Texas Instruments Incorporated
$425.0K
- $425.0K
=
Closed
-5.8K shares (100%)
BDX
Becton, Dickinson and Company
$406.83M
+ $43.43M
=
$450.27M
2.45M left
-2.9K (-0.12%)
PEP
Pepsico Inc
$399.32M
+ $26.91M
=
$426.23M
3.81M left
-6.1K (-0.16%)
MSFT
Microsoft Corporation
$367.13M
+ $21.43M
=
$388.56M
5.90M left
-8.4K (-0.14%)
MMM
3m Co.
$362.54M
+ $25.24M
=
$387.78M
2.03M left
-3.5K (-0.17%)
RTX
United Technologies Corporation
$355.45M
+ $8.05M
=
$363.50M
3.24M left
-3.1K (-0.10%)
JNJ
Johnson & Johnson
$309.82M
+ $24.25M
=
$334.07M
2.68M left
-6.9K (-0.26%)
ECL
Ecolab Inc
$306.39M
+ $20.68M
=
$327.06M
2.61M left
-4.4K (-0.17%)
UNH
UnitedHealth Group Incorporated
$310.06M
+ $7.26M
=
$317.32M
1.93M left
-2.6K (-0.14%)
ORCL
Oracle Corporation
$265.32M
+ $41.98M
=
$307.30M
6.89M left
-11.7K (-0.17%)
PX
Praxair, Inc.
$302.40M
+ $3.09M
=
$305.50M
2.58M left
-4.6K (-0.18%)
ACN
Accenture Plc
$290.02M
+ $6.31M
=
$296.33M
2.47M left
-4.2K (-0.17%)
PG
Procter & Gamble Co/the
$259.77M
+ $16.95M
=
$276.71M
3.08M left
-9.8K (-0.32%)
OMC
Omnicom Group Inc.
$267.91M
+ $3.17M
=
$271.08M
3.14M left
-3.4K (-0.11%)
TJX
The Tjx Companies Inc
$253.36M
+ $12.75M
=
$266.11M
3.37M left
-7.3K (-0.22%)
Show all 42 sells (22 more)