Roberts Glore & Co Inc il/ 13F annual report

Roberts Glore & Co Inc il/ is an investment fund managing more than $331 billion ran by Byron Smythe. There are currently 189 companies in Mr. Smythe’s portfolio. The largest investments include Berkshire Hathaway and Microsoft, together worth $46.5 billion.

$331 billion Assets Under Management (AUM)

As of 7th August 2024, Roberts Glore & Co Inc il/’s top holding is 58,985 shares of Berkshire Hathaway currently worth over $27.7 billion and making up 8.4% of the portfolio value. Relative to the number of outstanding shares of Berkshire Hathaway, Roberts Glore & Co Inc il/ owns more than approximately 0.1% of the company. In addition, the fund holds 42,069 shares of Microsoft worth $18.8 billion, whose value grew 1.1% in the past six months. The third-largest holding is Apple Inc worth $15.6 billion and the next is Vanguard Mun Bd Fds worth $11.2 billion, with 222,993 shares owned.

Currently, Roberts Glore & Co Inc il/'s portfolio is worth at least $331 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 Roberts Glore & Co Inc il/

The Roberts Glore & Co Inc il/ office and employees reside in Deerfield, Illinois. According to the last 13-F report filed with the SEC, Byron Smythe serves as the CCO at Roberts Glore & Co Inc il/.

Recent trades

In the most recent 13F filing, Roberts Glore & Co Inc il/ revealed that it had opened a new position in Ishares Tr and bought 16,241 shares worth $1.33 billion.

The investment fund also strengthened its position in Vanguard Malvern Fds by buying 6,700 additional shares. This makes their stake in Vanguard Malvern Fds total 192,782 shares worth $9.36 billion.

On the other hand, there are companies that Roberts Glore & Co Inc il/ is getting rid of from its portfolio. Roberts Glore & Co Inc il/ closed its position in General Electric Co on 14th August 2024. It sold the previously owned 2,079 shares for $365 million. Byron Smythe also disclosed a decreased stake in Berkshire Hathaway by approximately 0.1%. This leaves the value of the investment at $27.7 billion and 58,985 shares.

One of the smaller hedge funds

The two most similar investment funds to Roberts Glore & Co Inc il/ are Orchard Capital Management and Globe Life Inc. They manage $331 billion and $331 billion respectively.


Byron Smythe investment strategy

Roberts Glore & Co Inc il/’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 17.4% of the total portfolio value. The fund focuses on investments in the United States as 46.0% 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 46% of the total holdings value. On the other hand, small-cap stocks make up only 0.5% of the portfolio. The average market cap of the portfolio companies is close to $163 billion.

The complete list of Roberts Glore & Co Inc il/ trades based on 13F SEC filings

These positions were updated on August 14th 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.
0.71%
58,985
$27,666,103,000 8.36%
Microsoft Corporation
1.01%
42,069
$18,802,740,000 5.68%
Apple Inc
6.66%
74,257
$15,640,009,000 4.72%
Vanguard Mun Bd Fds
5.64%
222,993
$11,174,179,000 3.38%
Alphabet Inc
2.28%
100,666
$18,413,570,000 5.56%
Vanguard Malvern Fds
3.60%
192,782
$9,357,638,000 2.83%
Johnson Johnson
0.83%
58,578
$8,561,760,000 2.59%
Vanguard Index Fds
11.61%
53,012
$13,164,347,000 3.98%
Abbott Labs
0.98%
58,876
$6,117,805,000 1.85%
Abbvie Inc
2.19%
32,850
$5,634,432,000 1.70%
Pepsico Inc
0.08%
32,116
$5,296,892,000 1.60%
Stryker Corp.
1.00%
15,303
$5,206,846,000 1.57%
Amazon.com Inc.
0.02%
26,565
$5,133,686,000 1.55%
Spdr Sp 500 Etf Tr
13.95%
8,201
$4,463,148,000 1.35%
Vanguard Intl Equity Index F
4.74%
82,726
$5,272,348,000 1.59%
Cisco Sys Inc
0.58%
76,484
$3,633,755,000 1.10%
Expeditors Intl Wash Inc
0.65%
28,168
$3,515,085,000 1.06%
Arista Networks Inc
3.84%
9,775
$3,425,942,000 1.03%
VanEck ETF Trust
0.77%
39,016
$3,379,176,000 1.02%
Illinois Tool Wks Inc
No change
14,045
$3,328,103,000 1.01%
Sprott Physical Gold Silve
0.19%
150,091
$3,309,507,000 1.00%
NVIDIA Corp
879.84%
25,515
$3,152,123,000 0.95%
Walmart Inc
1.58%
43,194
$2,924,666,000 0.88%
RTX Corp
0.00%
28,718
$2,883,000,000 0.87%
Exxon Mobil Corp.
2.62%
23,781
$2,737,669,000 0.83%
Vanguard Scottsdale Fds
6.59%
34,311
$2,651,211,000 0.80%
Norfolk Southn Corp
0.84%
11,827
$2,539,139,000 0.77%
Linde Plc.
0.44%
5,712
$2,506,483,000 0.76%
AMGEN Inc.
4.31%
7,968
$2,489,602,000 0.75%
Intel Corp.
0.29%
77,121
$2,388,437,000 0.72%
Meta Platforms Inc
10.26%
4,506
$2,272,015,000 0.69%
Atrion Corp.
2.47%
5,018
$2,270,444,000 0.69%
Vanguard World Fd
0.08%
19,083
$2,261,336,000 0.68%
Procter And Gamble Co
10.04%
13,564
$2,236,975,000 0.68%
Western Ast Infl Lkd Opp I
1.15%
257,947
$2,195,129,000 0.66%
Vanguard Specialized Funds
2.66%
11,971
$2,185,186,000 0.66%
Starbucks Corp.
2.21%
27,062
$2,106,777,000 0.64%
Union Pac Corp
1.07%
9,232
$2,088,832,000 0.63%
Vertex Pharmaceuticals, Inc.
5.30%
4,342
$2,035,009,000 0.61%
Quest Diagnostics, Inc.
3.07%
14,756
$2,019,801,000 0.61%
Centene Corp.
0.83%
30,032
$1,991,122,000 0.60%
Becton Dickinson Co
0.60%
8,389
$1,960,593,000 0.59%
CVS Health Corp
8.01%
32,893
$1,942,661,000 0.59%
Bio-Techne Corp
No change
26,080
$1,868,632,000 0.56%
Vanguard Whitehall Fds
4.34%
25,060
$2,142,978,000 0.65%
Adams Diversified Equity Fd
0.13%
83,394
$1,792,137,000 0.54%
Intuit Inc
2.27%
2,716
$1,784,982,000 0.54%
M T Bk Corp
0.52%
11,463
$1,735,040,000 0.52%
Medpace Holdings Inc
13.78%
4,106
$1,691,179,000 0.51%
Disney Walt Co
2.77%
16,685
$1,656,654,000 0.50%
Booking Holdings Inc
4.05%
403
$1,595,171,000 0.48%
Invesco Exch Traded Fd Tr Ii
3.45%
60,424
$1,593,985,000 0.48%
Dimensional Etf Trust
7.57%
76,108
$2,600,572,000 0.79%
Novartis AG
1.69%
14,691
$1,564,004,000 0.47%
Oracle Corp.
3.92%
11,019
$1,555,883,000 0.47%
Coca-Cola Co
1.25%
24,399
$1,552,996,000 0.47%
MercadoLibre Inc
1.77%
943
$1,550,273,000 0.47%
Western Asst Infltn Lkd Inm
11.81%
192,317
$1,540,459,000 0.47%
Central Secs Corp
1.40%
34,448
$1,516,401,000 0.46%
PayPal Holdings Inc
0.13%
26,091
$1,514,061,000 0.46%
CME Group Inc
1.64%
7,663
$1,506,469,000 0.46%
Fedex Corp
3.53%
4,995
$1,497,751,000 0.45%
Entergy Corp.
No change
13,058
$1,397,206,000 0.42%
General Dynamics Corp.
No change
4,549
$1,319,847,000 0.40%
L3Harris Technologies Inc
1.97%
5,758
$1,293,132,000 0.39%
Lockheed Martin Corp.
2.28%
2,656
$1,240,618,000 0.37%
Visa Inc
No change
4,621
$1,212,874,000 0.37%
Invesco Exchange Traded Fd T
No change
17,750
$1,152,153,000 0.35%
Carrier Global Corporation
0.14%
17,861
$1,126,672,000 0.34%
Charles Riv Labs Intl Inc
0.09%
5,401
$1,115,739,000 0.34%
Pfizer Inc.
20.86%
39,526
$1,105,937,000 0.33%
Ishares Tr
Opened
16,241
$1,330,242,000 0.40%
Gilead Sciences, Inc.
2.00%
15,305
$1,050,076,000 0.32%
Broadcom Inc
5.45%
624
$1,001,320,000 0.30%
C.H. Robinson Worldwide, Inc.
31.28%
11,310
$996,637,000 0.30%
Vanguard Bd Index Fds
15.54%
13,681
$985,716,000 0.30%
Home Depot, Inc.
0.18%
2,797
$962,839,000 0.29%
Zimmer Biomet Holdings Inc
1.02%
8,723
$946,707,000 0.29%
Automatic Data Processing In
No change
3,966
$946,645,000 0.29%
Global Pmts Inc
10.68%
9,329
$902,114,000 0.27%
Jpmorgan Chase Co.
6.95%
4,341
$878,011,000 0.27%
Ishares Tr
0.03%
14,746
$2,019,845,000 0.61%
Vanguard Star Fds
4.75%
13,746
$828,884,000 0.25%
Canadian Natl Ry Co
0.84%
6,761
$798,677,000 0.24%
Biogen Inc
2.65%
3,444
$798,388,000 0.24%
Royce Micro-cap Tr Inc
0.63%
86,492
$794,861,000 0.24%
General Mls Inc
0.35%
11,467
$725,402,000 0.22%
Comcast Corp New
7.78%
18,421
$721,366,000 0.22%
Air Prods Chems Inc
No change
2,763
$713,075,000 0.22%
Fastenal Co.
No change
11,029
$693,062,000 0.21%
Fiserv, Inc.
No change
4,618
$688,267,000 0.21%
Lowes Cos Inc
0.80%
3,099
$683,206,000 0.21%
The Southern Co.
1.83%
8,727
$676,953,000 0.20%
Dollar Gen Corp New
17.78%
4,969
$657,051,000 0.20%
Cigna Group (The)
No change
1,973
$652,136,000 0.20%
Merck Co Inc
2.69%
5,205
$644,379,000 0.19%
Advance Auto Parts Inc
1.46%
10,147
$642,610,000 0.19%
Spdr Sp Midcap 400 Etf Tr
46.42%
1,176
$629,254,000 0.19%
Blackrock Inc.
6.13%
781
$614,897,000 0.19%
Expedia Group Inc
0.08%
4,880
$614,782,000 0.19%
Medtronic Plc
1.66%
7,737
$608,979,000 0.18%
Teradyne, Inc.
4.65%
4,098
$607,692,000 0.18%
Deere Co
4.83%
1,607
$600,423,000 0.18%
Chevron Corp.
No change
3,813
$596,429,000 0.18%
Phillips 66
No change
4,182
$590,373,000 0.18%
Amn Healthcare Svcs Inc
54.74%
11,095
$568,397,000 0.17%
State Str Corp
No change
7,577
$560,698,000 0.17%
Eli Lilly Co
1.60%
615
$556,809,000 0.17%
Cencora Inc.
6.62%
2,426
$546,578,000 0.17%
Salesforce Inc
2.24%
2,099
$539,653,000 0.16%
Solventum Corp
Opened
9,841
$520,392,000 0.16%
EBay Inc.
No change
9,529
$511,898,000 0.15%
Incyte Corp.
1.28%
8,285
$502,237,000 0.15%
Novo-nordisk A S
No change
3,430
$489,598,000 0.15%
Duke Energy Corp.
No change
4,843
$485,414,000 0.15%
Baxter International Inc.
2.06%
14,089
$471,277,000 0.14%
Netflix Inc.
1.30%
681
$459,593,000 0.14%
Lauder Estee Cos Inc
2.73%
4,137
$440,177,000 0.13%
Boston Beer Co., Inc.
38.39%
1,442
$439,882,000 0.13%
Target Corp
0.60%
2,968
$439,383,000 0.13%
Adam Nat Res Fd Inc
0.41%
18,336
$432,913,000 0.13%
Fortinet Inc
113.10%
7,160
$431,533,000 0.13%
Donaldson Co. Inc.
No change
6,020
$430,791,000 0.13%
Verizon Communications Inc
5.67%
10,392
$428,566,000 0.13%
Check Point Software Tech Lt
6.71%
2,543
$419,544,000 0.13%
Lam Research Corp.
1.26%
391
$416,356,000 0.13%
Wisdomtree Tr
No change
5,540
$416,165,000 0.13%
Chubb Limited
0.31%
1,596
$407,108,000 0.12%
BP plc
13.20%
11,194
$404,103,000 0.12%
Innovative Indl Pptys Inc
0.05%
3,646
$398,253,000 0.12%
Factset Resh Sys Inc
No change
975
$398,063,000 0.12%
Qualcomm, Inc.
14.50%
1,993
$396,966,000 0.12%
Paramount Global
20.98%
36,545
$379,703,000 0.11%
Fidelity Natl Information Sv
1.57%
5,002
$376,951,000 0.11%
United Parcel Service, Inc.
No change
2,750
$376,338,000 0.11%
F5 Inc
11.40%
2,168
$373,330,000 0.11%
Elevance Health Inc
No change
683
$370,090,000 0.11%
Northern Tr Corp
40.56%
4,396
$369,176,000 0.11%
General Electric Co
Closed
2,079
$364,927,000
Western Asset Mtg Defined Op
Closed
30,968
$362,635,000
Astrazeneca plc
2.78%
4,646
$362,295,000 0.11%
Att Inc
No change
18,810
$359,459,000 0.11%
Nsts Bancorp Inc
No change
36,496
$351,456,000 0.11%
Grainger W W Inc
8.29%
387
$349,028,000 0.11%
Discover Finl Svcs
No change
2,657
$347,562,000 0.10%
Newmont Corp
1.18%
8,133
$340,529,000 0.10%
Northrop Grumman Corp.
No change
772
$336,553,000 0.10%
3M Co.
Closed
3,160
$335,181,000
Goldman Sachs Group, Inc.
16.38%
740
$334,717,000 0.10%
Unilever plc
No change
5,941
$326,696,000 0.10%
Paychex Inc.
2.17%
2,687
$318,571,000 0.10%
GE Aerospace
Opened
1,983
$315,238,000 0.10%
Stifel Finl Corp
5.14%
3,690
$310,514,000 0.09%
Palo Alto Networks Inc
No change
914
$309,855,000 0.09%
Church Dwight Co Inc
No change
2,980
$308,966,000 0.09%
Conocophillips
0.04%
2,635
$301,365,000 0.09%
Dell Technologies Inc
11.01%
2,167
$298,851,000 0.09%
Cboe Global Mkts Inc
No change
1,738
$295,564,000 0.09%
Organon Co
No change
14,226
$294,478,000 0.09%
Emerson Elec Co
No change
2,673
$294,458,000 0.09%
3M Co.
Opened
2,860
$292,263,000 0.09%
Illumina Inc
13.04%
2,670
$278,695,000 0.08%
Vulcan Matls Co
0.36%
1,111
$276,283,000 0.08%
Wabtec
7.82%
1,710
$270,266,000 0.08%
United Sts Commodity Index F
No change
4,315
$268,522,000 0.08%
Albemarle Corp.
17.91%
2,772
$264,781,000 0.08%
First Solar Inc
Opened
1,158
$261,083,000 0.08%
AMC Networks Inc
108.19%
26,998
$260,801,000 0.08%
Price T Rowe Group Inc
No change
2,165
$249,646,000 0.08%
Bhp Group Ltd
2.19%
4,245
$242,347,000 0.07%
Mccormick Co Inc
No change
3,416
$242,331,000 0.07%
Paylocity Hldg Corp
No change
1,835
$241,945,000 0.07%
CyberArk Software Ltd
No change
875
$239,243,000 0.07%
Walgreens Boots Alliance Inc
Closed
11,002
$238,633,000
Caterpillar Inc.
No change
714
$237,833,000 0.07%
Spdr Ser Tr
7.11%
2,998
$234,773,000 0.07%
Boeing Co.
7.08%
1,274
$231,881,000 0.07%
Smucker J M Co
0.96%
2,113
$230,402,000 0.07%
Flexshares Tr
No change
3,500
$229,425,000 0.07%
Schwab Strategic Tr
No change
2,945
$229,003,000 0.07%
Tesla Inc
23.04%
1,156
$228,749,000 0.07%
PotlatchDeltic Corp
Closed
4,860
$228,517,000
United Sts Lime Minerals I
Opened
627
$228,341,000 0.07%
Parker-Hannifin Corp.
Closed
409
$227,187,000
Mastercard Incorporated
No change
508
$224,109,000 0.07%
Silvercrest Asset Mgmt Group
1.42%
14,308
$223,062,000 0.07%
Marathon Pete Corp
Closed
1,100
$221,650,000
Jacobs Solutions Inc
Closed
1,440
$221,371,000
Mcdonalds Corp
Closed
756
$213,154,000
UFP Industries Inc
No change
1,893
$212,016,000 0.06%
Fortune Brands Innovations I
Closed
2,429
$205,663,000
CSX Corp.
Closed
5,542
$205,442,000
Neurocrine Biosciences, Inc.
No change
1,492
$205,404,000 0.06%
Diageo plc
14.65%
1,604
$202,232,000 0.06%
Templeton Emerging Mkts Fd
No change
13,550
$167,478,000 0.05%
Warner Bros.Discovery Inc
12.36%
22,156
$164,841,000 0.05%
Japan Smaller Capitalization
33.08%
18,968
$143,777,000 0.04%
Evolv Technologies Hldngs In
No change
45,750
$116,663,000 0.04%
Ambev Sa
No change
26,845
$55,032,000 0.02%
Cybin Inc
No change
10,000
$2,700,000 0.00%
No transactions found
Showing first 500 out of 200 holdings