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Jensen Investment Management (Jensen Investment) - FilingSpy
Jensen Investment Management
Jensen Investment
$8.01B
13F
2018 Q3
30 of 53 quarters
Overview
Activity
Holdings
Buys
LII
NEW
Lennox Intl Inc
$729.0K
+3.3K shares
PEP
Pepsico Inc
$406.40M
+ $52.77M
=
$459.18M
3.73M
+374.2K (+10.02%)
RTX
United Technologies Corporation
$377.76M
+ $46.49M
=
$424.25M
3.02M
+13.1K (+0.43%)
MMM
3m Co.
$297.43M
+ $61.28M
=
$358.71M
1.51M
+190.5K (+12.60%)
AAPL
Apple Inc
$231.63M
+ $52.66M
=
$284.29M
1.25M
+8.0K (+0.64%)
PG
Procter & Gamble Co/the
$224.61M
+ $16.02M
=
$240.63M
2.88M
+13.8K (+0.48%)
PFE
Pfizer Inc.
$110.29M
+ $103.61M
=
$213.90M
3.04M
+1.81M (+59.66%)
OMC
Omnicom Group Inc.
$234.88M
- $24.43M
=
$210.46M
3.08M
+14.4K (+0.47%)
UPS
United Parcel Service Inc
$165.76M
+ $17.29M
=
$183.05M
1.56M
+7.5K (+0.48%)
TROW
T Rowe Price Group Inc
$4.58M
- $206.0K
=
$4.38M
39.5K
+610 (+1.54%)
PAYX
Paychex, Inc.
$1.05M
+ $357.0K
=
$1.41M
15.4K
+3.7K (+24.29%)
HI
Hillenbrand Inc
$887.0K
+ $135.0K
=
$1.02M
18.8K
+740 (+3.93%)
LSTR
Landstar System Inc
$787.0K
+ $211.0K
=
$998.0K
7.2K
+970 (+13.45%)
HBI
Hanesbrands Inc
$830.0K
+ $120.0K
=
$950.0K
37.7K
+13.9K (+36.77%)
SMG
The Scotts Miracle-Gro Company
$752.0K
+ $180.0K
=
$932.0K
9.0K
+2.8K (+30.97%)
CBRL
Cracker Barrel Old Country Store Inc
$690.0K
+ $235.0K
=
$925.0K
4.4K
+1.9K (+42.31%)
CBRE
Cbre Group Inc
$722.0K
+ $178.0K
=
$900.0K
15.1K
+5.3K (+34.99%)
CR
Crane Company
$668.0K
+ $232.0K
=
$900.0K
8.3K
+810 (+9.71%)
KR
The Kroger Co.
$642.0K
+ $253.0K
=
$895.0K
22.6K
+8.2K (+36.15%)
ON
On Semiconductor Corporation
$425.0K
+ $463.0K
=
$888.0K
19.1K
+29.1K (+152.30%)
Show all 32 buys (12 more)
Sells
HRB
EXIT
H&R Block, Inc.
$593.0K
- $593.0K
=
Closed
-26.0K shares (100%)
DLX
EXIT
Deluxe Corporation
$613.0K
- $613.0K
=
Closed
-9.3K shares (100%)
DNB
EXIT
Dun & Bradstreet Holdings Inc
$617.0K
- $617.0K
=
Closed
-5.0K shares (100%)
KMB
EXIT
Kimberly-Clark Corporation
$475.0K
- $475.0K
=
Closed
-4.5K shares (100%)
KOP
EXIT
Koppers Holdings Inc.
$433.0K
- $433.0K
=
Closed
-11.3K shares (100%)
NUS
EXIT
Nu Skin Enterprises Inc
$861.0K
- $861.0K
=
Closed
-11.0K shares (100%)
SONC
EXIT
Sonic Corp.
$293.0K
- $293.0K
=
Closed
-8.5K shares (100%)
VFC
EXIT
Vf Corp.
$449.0K
- $449.0K
=
Closed
-5.5K shares (100%)
BDX
Becton, Dickinson and Company
$467.33M
+ $40.55M
=
$507.88M
1.95M left
-4.9K (-0.25%)
MSFT
Microsoft Corporation
$407.48M
+ $62.87M
=
$470.35M
4.11M left
-19.7K (-0.48%)
ECL
Ecolab Inc
$363.91M
+ $40.70M
=
$404.61M
2.58M left
-12.5K (-0.48%)
UNH
UnitedHealth Group Incorporated
$371.45M
+ $30.09M
=
$401.55M
1.51M left
-4.7K (-0.31%)
PX
Praxair, Inc.
$379.81M
+ $5.08M
=
$384.88M
2.39M left
-7.0K (-0.29%)
SYK
Stryker Corporation
$366.59M
+ $17.83M
=
$384.42M
2.16M left
-7.4K (-0.34%)
ORCL
Oracle Corporation
$313.74M
+ $52.92M
=
$366.66M
7.11M left
-9.5K (-0.13%)
JNJ
Johnson & Johnson
$284.49M
+ $38.38M
=
$322.87M
2.34M left
-7.8K (-0.33%)
ACN
Accenture Plc
$289.23M
+ $11.38M
=
$300.60M
1.77M left
-1.8K (-0.10%)
GOOGL
Alphabet Inc. (formerly Google Inc.)
$245.24M
+ $16.60M
=
$261.84M
216.9K left
-259 (-0.12%)
TJX
The Tjx Companies Inc
$257.32M
- $13.68M
=
$243.65M
2.18M left
-528.5K (-19.55%)
INTU
Intuit Inc
$205.58M
+ $22.94M
=
$228.52M
1.00M left
-1.3K (-0.13%)
Show all 40 sells (20 more)