ARMSTRONG HENRY H ASSOCIATES INC

Holdings as of 2026-06-30, filed 2026-07-07

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 7 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
65
Value reported by manager
$1B
Sum of our stored positions
$1B
should match the line above
Disclosure lag
7 d
quarter end to filing
Top 5 concentration
74.4%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

65 largest shown
IssuerClassValueSharesTypeCUSIP
MICROSOFT CORPCOM$232.2M622,401594918104
BERKSHIRE HATHAWAY INC DELCL A$202.2M270084670108
BERKSHIRE HATHAWAY INC DELCL B NEW$187M373,695084670702
JOHNSON & JOHNSONCOM$82M322,853478160104
MOODYS CORPCOM$65.3M144,243615369105
PROCTER & GAMBLE COCOM$51.3M349,810742718109
ALPHABET INCCAP STK CL C$32.7M92,68802079K107
UNION PAC CORPCOM$18.7M68,701907818108
ASML HLDG NVN Y REGISTRY SHS$16.6M8,355N07059210
APPLE INCCOM$16.4M56,648037833100
AIR PRODUCTS AND CHEMICALS ICOM$16.4M55,789009158106
FASTENAL COCOM$13M270,143311900104
COCA COLA COCOM$10.4M127,722191216100
ALPHABET INCCAP STK CL A$8.7M24,30502079K305
MEDTRONIC PLCSHS$7.4M94,280G5960L103
MASTERCARD INCORPORATEDCL A$6.4M12,44057636Q104
RB GLOBAL INCCOM$4.8M40,90974935Q107
GE AEROSPACECOM NEW$4.5M12,043369604301
ABBVIE INCCOM$4.4M17,62300287Y109
HOME DEPOT INCCOM$3.8M10,816437076102
STATE STR SPDR S&P 500 ETF TTR UNIT$3.5M4,74178462F103
AUTOMATIC DATA PROCESSING INCOM$3.1M13,865053015103
NVIDIA CORPORATIONCOM$3.1M15,37267066G104
GE VERNOVA INCCOM$3.1M2,60036828A101
AMAZON COM INCCOM$2.8M11,732023135106
PEPSICO INCCOM$2.2M16,136713448108
JACOBS SOLUTIONS INCCOM$2.2M17,08146982L108
VISA INCCOM CL A$2.1M6,25792826C839
MICRON TECHNOLOGY INCCOM$2.1M1,800595112103
3M COCOM$1.9M11,50088579Y101
UBER TECHNOLOGIES INCCOM$1.8M25,47090353T100
ABBOTT LABORATORIESCOM$1.7M18,293002824100
VANGUARD INDEX FDSTOTAL STK MKT$1.6M4,449922908769
DONALDSON INCCOM$1.4M15,880257651109
WATERS CORPCOM$1.4M3,678941848103
TJX COS INC NEWCOM$1.2M7,682872540109
CORNING INCCOM$1.1M4,300219350105
COSTCO WHOLESALE CORPORATIONCOM$1M1,07122160K105
AUTODESK INCCOM$910.5K4,683052769106
DISNEY WALT COCOM$870K9,039254687106
BERKSHIRE HATHAWAY INC DELCL B NEW$728.1K1,455084670702
VANGUARD INDEX FDSMID CAP ETF$724.5K8,992922908629
WALMART INCCOM$704.6K6,221931142103
INTERNATIONAL BUSINESS MACHSCOM$629.3K2,238459200101
EMERSON ELEC COCOM$554.6K3,874291011104
VANGUARD INDEX FDSSMALL CP ETF$528.9K1,745922908751
ADVANCED MICRO DEVICES INCCOM$522.8K900007903107
CAREDX INCCOM$457K16,03614167L103
SHERWIN WILLIAMS COCOM$413.2K1,200824348106
SCHWAB CHARLES CORPCOM$377.5K4,091808513105
PFIZER INCCOM$370.7K15,394717081103
MCCORMICK & CO INCCOM NON VTG$368.2K7,303579780206
NOVO-NORDISK A SADR$319.5K6,664670100205
ISHARES TRCORE S&P500 ETF$312.3K417464287200
RTX CORPORATIONCOM$303.2K1,59875513E101
VANGUARD INDEX FDSS&P 500 ETF SHS$287.2K418922908363
CHEVRON CORPORATIONCOM$245K1,478166764100
SOLVENTUM CORPCOM SHS$245K3,17583444M101
MERCK & CO INCCOM$236.8K1,84358933Y105
TESLA INCCOM$224.6K53488160R101
GE HEALTHCARE TECHNOLOGIES ICOMMON STOCK$223.3K3,48936266G107
CISCO SYS INCCOM$222.8K1,89717275R102
STMICROELECTRONICS N VNY REGISTRY$220.9K2,950861012102
BAUSCH HEALTH COS INCCOM$218K44,215071734107
NEXTDOOR HOLDINGS INCCOM CL A$23.2K10,20965345M108
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-07