Wedgewood Partners

Wedgewood Partners

13F Holdings and Portfolio Analysis

David Rolfe 2015 Q2 13F holdings, quarterly changes, portfolio value trend and position weight distribution.

Wedgewood Partners Overview

Wedgewood Partners held 22 stocks in 2015 Q2, with total market value around $7.47B.

Wedgewood Partners's top five holdings in 2015 Q2: QUALCOMM Incorporated(QCOM) 8.43%, BERKSHIRE HATHAWAY INC DEL CL B NEW(BRK.B) 7.90%, EXPRESS SCRIPTS 7.79%, Apple Inc.(AAPL) 7.33%, M&T BANK 6.31%.

Portfolio Value
$7.47B
Current Holdings
22 stocks
New / Increased
0 / 15
Reduced / Exited
7 / 0

Current Holdings

1QUALCOMM IncorporatedQCOM0.638.43%10.05 +5.52%$62.63$163.45 +160.98%$68.32+0.532.25+$0.96B+139.24%Increased
2BERKSHIRE HATHAWAY INC DEL CL B NEWBRK.B0.597.90%4.33 +6.06%$136.11$470.25 +245.49%$120.51+0.252.00+$1.52B+290.21%Increased
3EXPRESS SCRIPTSCUSIP 30219g1080.587.79%6.54 -1.23%$88.94- $70.96-0.081.25+$0.12B+25.35%Reduced
4Apple Inc.AAPL0.557.33%4.37 +0.40%$125.42$306.68 +144.51%$154.88+0.022.00+$0.66B+98.01%Increased
5M&T BANKCUSIP 55261f1040.476.31%3.77 +7.65%$124.93- $118.37+0.272.00+$0.02B+5.54%Increased
6COGNIZANT TECHNOLOGY SOLUTIONSCUSIP 1924461020.476.28%7.67 -0.49%$61.09- $37.41-0.042.25+$0.18B+63.30%Reduced
7COACHCUSIP 1897541040.385.07%10.94 +4.85%$34.61- $42.15+0.512.25-$0.08B-17.89%Increased
8SLB LTD (SLB) COMMONSLB0.374.99%4.32 +1.42%$86.19- $81.48+0.062.25+$0.02B+5.78%Increased
9NOV Inc.NOV0.364.79%7.40 +6.33%$48.28$12.67 -73.76%$46.09+0.442.25-$0.25B-72.51%Increased
10LKQ CORPLKQ0.324.31%10.63 +6.11%$30.24- $26.78+0.611.50+$0.04B+12.93%Increased
11VERISK ANALYTICSCUSIP 92345y1060.304.07%4.18 -0.37%$72.76- $63.94-0.022.00+$0.04B+13.79%Reduced
12VISACUSIP 92826c8390.293.86%4.30 -2.75%$67.15- $51.40-0.122.00+$0.07B+30.65%Reduced
13PRICELINECUSIP 7415034030.283.76%0.24 +5.13%$1151.37- $1001.95+0.012.25+$0.04B+14.91%Increased
14CORE LABSCUSIP n227171070.273.59%2.35 -7.08%$114.04- $118.41-0.180.75-$0.01B-3.69%Reduced
15MEAD JOHNSON NUTRITIONCUSIP 5828391060.253.30%2.73 +5.24%$90.22- $85.19+0.141.50+$0.01B+5.90%Increased
16EMC CORP/MA COMMON STOCKCUSIP 2686481020.243.20%9.06 +10.00%$26.39- $24.74+0.822.25+$0.01B+6.65%Increased
17GOOGLE INC CL ACUSIP 38259p5080.233.13%0.43 +27.83%$540.04- $564.39+0.091.25-$0.01B-4.32%Increased
18CUMMINSCUSIP 2310211060.233.05%1.74 +5.95%$131.19- $121.69+0.102.25+$0.02B+7.81%Increased
19STERICYCLECUSIP 8589121080.212.80%1.56 +4.68%$133.91- $115.49+0.072.25+$0.03B+15.95%Increased
20VARIAN MEDICAL SYSTEMSCUSIP 92220p1050.192.61%2.31 +7.45%$84.33- $77.90+0.162.00+$0.01B+8.25%Increased
21PERRIGOCUSIP g978221030.162.21%0.89 -39.93%$184.83- $152.60-0.591.75+$0.03B+21.12%Reduced
22GOOGLECUSIP 38259p7060.091.23%0.18 -4.72%$520.51- $1113.59-0.011.50-$0.10B-53.26%Reduced
Showing 1-22 of 22

"Holding Period (yrs)" is the latest uninterrupted holding duration, calculated by dividing continuous reported quarters by 4.

Cost basis is an estimate and can differ materially from the actual cost, especially in edge cases.

Cost basis estimate: from the latest uninterrupted holding period, new or increased shares are added to the cost pool at the report price; reductions remove shares at the then-average cost. Example: buy 100 shares at $10 in Q1 and add 50 shares at $16 in Q2, estimated cost basis is (100 x 10 + 50 x 16) / 150 = $12 per share.

Return shows estimated dollar return on top and percentage return below. It uses current price when available, otherwise report price.

Portfolio Visuals

Track portfolio value, position weights and Top 10 history.

Market Value Trend ($B)

52 periods

Position Weight

TOP10

Holding Changes ($B)

All-period Top 10

Top 10 Holdings Replay

Animated view