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Gardner Russo & Quinn (Thomas Russo) - FilingSpy
Gardner Russo & Quinn
Thomas Russo
$8.58B
13F
2013 Q2
51 of 53 quarters
Overview
Activity
Holdings
Buys
D
NEW
Dominion Energy, Inc.
$206.0K
+3.6K shares
NSRGY
Nestle SA
$920.09M
- $56.27M
=
$863.82M
12.69M
+501.3K (+3.95%)
BRK.A
Berkshire Hathaway Inc
$755.30M
+ $69.32M
=
$824.62M
4.8K
+58 (+1.20%)
PM
Philip Morris International Inc.
$818.05M
- $21.87M
=
$796.19M
8.82M
+367.9K (+4.17%)
MA
Mastercard Incorporated
$510.81M
+ $52.19M
=
$563.00M
944.0K
+36.0K (+3.82%)
WFC
Wells Fargo & Company
$469.19M
+ $89.29M
=
$558.48M
12.68M
+848.1K (+6.69%)
HKHHY
Heineken Holding N.v.
$613.44M
- $68.63M
=
$544.80M
9.56M
+167.1K (+1.75%)
SBMRY
Sabmiller Plc
$519.21M
- $37.07M
=
$482.15M
9.87M
+212.7K (+2.15%)
RI
Pernod Ricard SA
$492.69M
- $33.57M
=
$459.12M
3.95M
+199.2K (+5.05%)
BUD
Anheuser-Busch Inbev Sa/nv
$429.10M
- $16.27M
=
$412.83M
4.31M
+263.4K (+6.11%)
UN
Unilever NV
$366.02M
+ $29.69M
=
$395.72M
8.93M
+1.14M (+12.76%)
MO
Altria Group Inc
$253.06M
+ $11.28M
=
$264.34M
7.36M
+196.2K (+2.67%)
BRK.B
Berkshire Hathaway Inc
$228.43M
+ $21.44M
=
$249.87M
2.19M
+40.3K (+1.84%)
BATS
British American Tobacco Plc
$247.88M
- $6.70M
=
$241.18M
4.63M
+93.7K (+2.02%)
DGE
Diageo Plc
$228.08M
- $14.59M
=
$213.49M
7.24M
+248.3K (+3.43%)
BF/A
Brown-Forman Corp
$206.99M
- $15.72M
=
$191.27M
2.81M
+14.6K (+0.52%)
CMCSA
Comcast Corporation
$182.07M
+ $4.29M
=
$186.36M
4.60M
+101.3K (+2.20%)
MLM
Martin Marietta Materials Inc
$173.90M
- $2.90M
=
$171.00M
1.70M
+32.9K (+1.93%)
DEO
Diageo Plc
$51.39M
- $4.07M
=
$47.32M
408.4K
+3.3K (+0.80%)
JCDXF
Jc Decaux SA Act
$36.75M
+ $2.63M
=
$39.38M
1.34M
+107.1K (+8.00%)
Show all 48 buys (28 more)
Sells
ACCO
EXIT
Acco Brands Corporation
$0
- $0
=
Closed
-14 shares (100%)
ACNB
EXIT
Acnb Corporation
$15.0K
- $15.0K
=
Closed
-881 shares (100%)
T
EXIT
AT&T Inc.
$219.0K
- $219.0K
=
Closed
-6.0K shares (100%)
AES-C
EXIT
.
$176.0K
- $176.0K
=
Closed
-3.5K shares (100%)
AFFY
EXIT
.
$0
- $0
=
Closed
-169 shares (100%)
Y
EXIT
Alleghany Corporation
$184.0K
- $184.0K
=
Closed
-465 shares (100%)
ALNY
EXIT
Alnylam Pharmaceuticals, Inc.
$2.0K
- $2.0K
=
Closed
-75 shares (100%)
AMZN
EXIT
Amazon.com Inc
$85.0K
- $85.0K
=
Closed
-320 shares (100%)
AMXN
EXIT
América Móvil, S.a.b. De C.v.
$25.0K
- $25.0K
=
Closed
-1.2K shares (100%)
AMGN
EXIT
Amgen Inc
$10.0K
- $10.0K
=
Closed
-100 shares (100%)
BNNY
EXIT
.
$2.0K
- $2.0K
=
Closed
-55 shares (100%)
AAPL
EXIT
Apple Inc
$7.0K
- $7.0K
=
Closed
-16 shares (100%)
ADP
EXIT
Automatic Data Processing Inc
$72.0K
- $72.0K
=
Closed
-1.1K shares (100%)
CAR
EXIT
Avis Budget Group Inc
$5.0K
- $5.0K
=
Closed
-168 shares (100%)
BAC
EXIT
Bank of America Corporation
$1.0K
- $1.0K
=
Closed
-2.0K shares (100%)
BAC
EXIT
Bank of America Corporation
$26.0K
- $26.0K
=
Closed
-21 shares (100%)
BMO
EXIT
Bank of Montreal
$10.0K
- $10.0K
=
Closed
-157 shares (100%)
BK
EXIT
The Bank of New York Mellon Corporation
$56.0K
- $56.0K
=
Closed
-2.0K shares (100%)
ABX
EXIT
Barrick Mining Corporation
$5.0K
- $5.0K
=
Closed
-165 shares (100%)
BEAM
EXIT
Beam Inc.
$32.0K
- $32.0K
=
Closed
-500 shares (100%)
Show all 181 sells (161 more)