Murphy Pohlad Asset Management 13F annual report

Murphy Pohlad Asset Management is an investment fund managing more than $232 billion ran by Aaron Banke. There are currently 112 companies in Mr. Banke’s portfolio. The largest investments include Berkshire Hathaway and Travelers Companies, together worth $15.8 billion.

Limited to 30 biggest holdings

$232 billion Assets Under Management (AUM)

As of 10th July 2024, Murphy Pohlad Asset Management’s top holding is 19,266 shares of Berkshire Hathaway currently worth over $8.45 billion and making up 3.6% of the portfolio value. Relative to the number of outstanding shares of Berkshire Hathaway, Murphy Pohlad Asset Management owns more than approximately 0.1% of the company. In addition, the fund holds 36,190 shares of Travelers Companies worth $7.36 billion, whose value grew 10.3% in the past six months. The third-largest holding is Conocophillips worth $7.09 billion and the next is Microsoft worth $6.42 billion, with 14,369 shares owned.

Currently, Murphy Pohlad Asset Management's portfolio is worth at least $232 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Murphy Pohlad Asset Management

The Murphy Pohlad Asset Management office and employees reside in Eden Prairie, Minnesota. According to the last 13-F report filed with the SEC, Aaron Banke serves as the President at Murphy Pohlad Asset Management.

Recent trades

In the most recent 13F filing, Murphy Pohlad Asset Management revealed that it had opened a new position in V F Corp and bought 123,569 shares worth $1.67 billion.

The investment fund also strengthened its position in Comcast Corp New by buying 3,725 additional shares. This makes their stake in Comcast Corp New total 132,620 shares worth $5.19 billion.

On the other hand, there are companies that Murphy Pohlad Asset Management is getting rid of from its portfolio. Murphy Pohlad Asset Management closed its position in Barrick Gold on 17th July 2024. It sold the previously owned 89,400 shares for $1.49 billion. Aaron Banke also disclosed a decreased stake in Berkshire Hathaway by 0.2%. This leaves the value of the investment at $8.45 billion and 19,266 shares.

One of the smallest hedge funds

The two most similar investment funds to Murphy Pohlad Asset Management are Private Wealth Advisors and Smart Money. They manage $232 billion and $232 billion respectively.


Aaron Banke investment strategy

Murphy Pohlad Asset Management’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Finance — making up 9.6% of the total portfolio value. The fund focuses on investments in the United States as 44.6% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 43% of the total holdings value. On the other hand, small-cap stocks make up only 0.9% of the portfolio. The average market cap of the portfolio companies is close to $171 billion.

The complete list of Murphy Pohlad Asset Management trades based on 13F SEC filings

These positions were updated on July 17th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Berkshire Hathaway Inc.
20.37%
19,266
$8,449,243,000 3.65%
Travelers Companies Inc.
1.07%
36,190
$7,358,874,000 3.18%
Conocophillips
2.59%
61,961
$7,087,099,000 3.06%
Microsoft Corporation
11.75%
14,369
$6,422,224,000 2.77%
Procter And Gamble Co
5.84%
34,761
$5,732,805,000 2.47%
Medtronic Plc
10.96%
70,050
$5,513,635,000 2.38%
Comcast Corp New
2.89%
132,620
$5,193,399,000 2.24%
Intel Corp.
3.31%
166,445
$5,154,801,000 2.22%
Schlumberger Ltd.
0.10%
98,789
$4,660,865,000 2.01%
Autoliv Inc.
8.11%
42,560
$4,553,494,000 1.96%
Corteva Inc
No change
84,052
$4,533,764,000 1.96%
Union Pac Corp
8.50%
19,903
$4,503,252,000 1.94%
Devon Energy Corp.
0.17%
94,350
$4,472,190,000 1.93%
Emerson Elec Co
2.32%
39,806
$4,385,028,000 1.89%
Target Corp
6.15%
29,290
$4,336,091,000 1.87%
General Dynamics Corp.
5.14%
14,570
$4,227,339,000 1.82%
Alphabet Inc
10.72%
25,953
$4,755,576,000 2.05%
American Intl Group Inc
5.15%
54,205
$4,024,179,000 1.74%
Chevron Corp.
0.77%
25,607
$4,005,446,000 1.73%
Agnico Eagle Mines Ltd
0.25%
60,332
$3,945,712,000 1.70%
Pfizer Inc.
4.70%
133,624
$3,738,820,000 1.61%
United Parcel Service, Inc.
9.38%
27,244
$3,728,341,000 1.61%
Apple Inc
10.18%
17,638
$3,714,916,000 1.60%
Kimco Rlty Corp
0.97%
188,207
$3,662,508,000 1.58%
Cameco Corp.
2.25%
74,020
$3,641,784,000 1.57%
Citigroup Inc
10.53%
55,849
$3,544,177,000 1.53%
Flowserve Corp.
8.37%
70,760
$3,403,556,000 1.47%
APA Corporation
3.28%
114,550
$3,372,352,000 1.46%
Willis Towers Watson Plc Ltd
No change
12,810
$3,358,013,000 1.45%
Merck Co Inc
0.46%
26,016
$3,220,780,000 1.39%
Kimberly-Clark Corp.
1.30%
22,772
$3,147,090,000 1.36%
Unitedhealth Group Inc
19.71%
6,109
$3,111,069,000 1.34%
Pepsico Inc
0.45%
17,667
$2,913,818,000 1.26%
Pnc Finl Svcs Group Inc
7.87%
18,684
$2,904,988,000 1.25%
Federated Hermes Inc
20.63%
87,346
$2,871,936,000 1.24%
Bank America Corp
14.07%
70,701
$2,811,778,000 1.21%
Cnh Indl N V
0.66%
275,860
$2,794,461,000 1.21%
Bank New York Mellon Corp
5.94%
44,316
$2,654,085,000 1.15%
Nutrien Ltd
10.77%
51,239
$2,608,577,000 1.13%
Nokia Corp
6.36%
677,820
$2,562,159,000 1.11%
Signet Jewelers Limited
8.37%
27,900
$2,499,282,000 1.08%
Cisco Sys Inc
0.16%
50,273
$2,388,470,000 1.03%
Norfolk Southn Corp
No change
10,825
$2,324,019,000 1.00%
Huntington Ingalls Inds Inc
1.48%
9,237
$2,275,350,000 0.98%
Cummins Inc.
9.08%
8,010
$2,218,209,000 0.96%
Colgate-Palmolive Co.
10.86%
22,449
$2,178,450,000 0.94%
General Mls Inc
1.64%
33,949
$2,147,613,000 0.93%
Alamos Gold Inc.
81.85%
135,870
$2,130,441,000 0.92%
Johnson Johnson
16.53%
13,794
$2,016,230,000 0.87%
Illinois Tool Wks Inc
0.75%
7,930
$1,879,092,000 0.81%
Regeneron Pharmaceuticals, Inc.
9.04%
1,700
$1,786,751,000 0.77%
Lowes Cos Inc
No change
7,952
$1,753,097,000 0.76%
Macerich Co.
297.70%
110,560
$1,707,046,000 0.74%
V F Corp
Opened
123,569
$1,668,189,000 0.72%
Disney Walt Co
No change
16,434
$1,631,731,000 0.70%
Cleveland-Cliffs Inc
19.50%
103,815
$1,597,712,000 0.69%
Barrick Gold Corp.
Closed
89,400
$1,487,616,000
Cnx Res Corp
No change
60,300
$1,465,290,000 0.63%
Cencora Inc.
Closed
5,785
$1,405,697,000
Mondelez International Inc.
No change
20,050
$1,312,072,000 0.57%
Rio Tinto plc
No change
19,735
$1,301,128,000 0.56%
Walmart Inc
4.43%
18,235
$1,234,691,000 0.53%
Cardinal Health, Inc.
Opened
12,285
$1,207,861,000 0.52%
Wells Fargo Co New
10.97%
20,183
$1,198,668,000 0.52%
Thor Inds Inc
No change
12,340
$1,153,173,000 0.50%
Freeport-McMoRan Inc
12.48%
23,485
$1,141,371,000 0.49%
Ingredion Inc
No change
8,864
$1,016,700,000 0.44%
Marsh Mclennan Cos Inc
No change
4,730
$996,705,000 0.43%
Mid-amer Apt Cmntys Inc
1.12%
6,615
$943,365,000 0.41%
Toro Co.
17.76%
10,004
$935,474,000 0.40%
Coca-Cola Co
No change
14,052
$894,409,000 0.39%
Unilever plc
No change
15,082
$829,359,000 0.36%
Trane Technologies plc
No change
2,485
$817,391,000 0.35%
Tjx Cos Inc New
No change
7,088
$780,388,000 0.34%
Dimensional Etf Trust
No change
37,397
$1,498,068,000 0.65%
Home Depot, Inc.
8.00%
2,218
$763,524,000 0.33%
Simon Ppty Group Inc New
No change
4,536
$688,564,000 0.30%
Berkley W R Corp
No change
8,662
$680,659,000 0.29%
Lockheed Martin Corp.
0.73%
1,371
$640,394,000 0.28%
Cboe Global Mkts Inc
No change
3,715
$631,773,000 0.27%
Transocean Ltd
2.60%
98,650
$527,777,000 0.23%
Weyerhaeuser Co Mtn Be
No change
17,990
$510,736,000 0.22%
Exxon Mobil Corp.
No change
4,428
$509,751,000 0.22%
Applied Matls Inc
51.64%
2,155
$508,558,000 0.22%
Jpmorgan Chase Co.
No change
2,440
$493,514,000 0.21%
Baxter International Inc.
17.26%
13,826
$462,485,000 0.20%
BorgWarner Inc
No change
13,985
$450,876,000 0.19%
Verizon Communications Inc
No change
10,780
$444,567,000 0.19%
Eli Lilly Co
Closed
552
$429,433,000
Dow Inc
2.50%
7,800
$413,790,000 0.18%
Cf Inds Hldgs Inc
No change
5,240
$388,388,000 0.17%
Vanguard Index Fds
No change
2,359
$378,407,000 0.16%
Diageo plc
No change
2,952
$372,188,000 0.16%
Warner Bros.Discovery Inc
44.74%
49,920
$371,404,000 0.16%
Orasure Technologies Inc.
No change
84,850
$361,461,000 0.16%
Mosaic Co New
21.41%
12,475
$360,527,000 0.16%
Winmark Corporation
No change
1,000
$352,630,000 0.15%
Expedia Group Inc
Closed
2,500
$344,375,000
Abbvie Inc
0.56%
1,775
$304,448,000 0.13%
Fuller H B Co
No change
3,730
$287,060,000 0.12%
Vanguard Intl Equity Index F
Opened
4,822
$282,762,000 0.12%
Costco Whsl Corp New
70.26%
326
$277,096,000 0.12%
Armada Hoffler Pptys Inc
Opened
24,645
$273,313,000 0.12%
United Rentals, Inc.
16.00%
420
$271,626,000 0.12%
Edwards Lifesciences Corp
Closed
2,664
$254,571,000
Vanguard Bd Index Fds
No change
4,866
$240,964,000 0.10%
Moderna Inc
No change
2,000
$237,500,000 0.10%
Phillips 66
3.62%
1,650
$232,930,000 0.10%
Spdr Sp 500 Etf Tr
No change
422
$229,660,000 0.10%
Enbridge Inc
No change
6,306
$224,430,000 0.10%
Accenture Plc Ireland
Closed
638
$221,137,000
Eaton Corp Plc
Closed
669
$209,182,000
Whitestone REIT
5.52%
15,400
$204,974,000 0.09%
Dimensional Etf Trust
Closed
4,920
$201,228,000
Amcor Plc
No change
10,000
$97,800,000 0.04%
Kopin Corp.
80.54%
107,600
$90,373,000 0.04%
Lightpath Technologies, Inc.
22.83%
56,500
$71,190,000 0.03%
Gannett Co Inc.
60.00%
12,000
$55,320,000 0.02%
Omega Therapeutics Inc
No change
16,500
$34,155,000 0.01%
I-80 Gold Corp
Opened
15,000
$16,200,000 0.01%
No transactions found
Showing first 500 out of 120 holdings