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Fundsmith (Terry Smith) - FilingSpy
Fundsmith
Terry Smith
$2.34B
13F
2014 Q3
46 of 53 quarters
Overview
Activity
Holdings
Buys
BDX
NEW
Becton, Dickinson and Company
$173.66M
+1.53M shares
ADP
NEW
Automatic Data Processing Inc
$116.05M
+1.59M shares
MCD
Mcdonald'S Corporation
$219.19M
+ $35.28M
=
$254.47M
5.26M
+232.7K (+4.43%)
DPS
Dr Pepper Snapple Group, Inc.
$196.05M
+ $21.00M
=
$217.05M
3.35M
+28.4K (+0.85%)
SYK
Stryker Corporation
$207.38M
- $2.35M
=
$205.03M
2.46M
+79.6K (+3.24%)
PM
Philip Morris International Inc.
$150.42M
+ $11.62M
=
$162.04M
1.78M
+158.8K (+8.90%)
JNJ
Johnson & Johnson
$136.36M
+ $16.52M
=
$152.88M
1.30M
+130.9K (+10.05%)
V
Visa Inc
$122.63M
+ $4.91M
=
$127.54M
582.0K
+15.8K (+2.71%)
PG
Procter & Gamble Co/the
$111.15M
+ $8.90M
=
$120.06M
1.41M
+19.4K (+1.37%)
MMM
3m Co.
$119.62M
+ $335.0K
=
$119.95M
835.1K
+11.6K (+1.38%)
SIAL
Sigma-Aldrich Corp
$99.81M
+ $14.25M
=
$114.07M
698.0K
+102.6K (+14.70%)
EBAY
Ebay Inc
$59.59M
+ $50.18M
=
$109.77M
1.19M
+748.1K (+62.85%)
CL
Colgate-Palmolive Co.
$59.38M
+ $3.70M
=
$63.08M
870.9K
+101.7K (+11.68%)
Sells
ADP
EXIT
Automatic Data Processing, Inc.
$124.59M
- $124.59M
=
Closed
-1.57M shares (100%)
BDX
EXIT
Becton, Dickinson and Company
$168.55M
- $168.55M
=
Closed
-1.42M shares (100%)
CHH
Choice Hotels Intl Inc
$67.61M
- $4.15M
=
$63.46M
1.22M left
-210.5K (-14.66%)