Baldwin Investment Management 13F annual report

Baldwin Investment Management is an investment fund managing more than $730 billion ran by Christina Mccloy. There are currently 205 companies in Mrs. Mccloy’s portfolio. The largest investments include Berkshire Hathaway and Microsoft, together worth $359 billion.

$730 billion Assets Under Management (AUM)

As of 23rd July 2024, Baldwin Investment Management’s top holding is 558 shares of Berkshire Hathaway currently worth over $342 billion and making up 46.8% of the portfolio value. Relative to the number of outstanding shares of Berkshire Hathaway, Baldwin Investment Management owns more than approximately 0.1% of the company. In addition, the fund holds 39,826 shares of Microsoft worth $17.8 billion, whose value grew 7.0% in the past six months. The third-largest holding is Apple Inc worth $15.6 billion and the next is NVIDIA Corp worth $14.2 billion, with 114,602 shares owned.

Currently, Baldwin Investment Management's portfolio is worth at least $730 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 Baldwin Investment Management

The Baldwin Investment Management office and employees reside in West Conshohocken, Pennsylvania. According to the last 13-F report filed with the SEC, Christina Mccloy serves as the Chief Compliance Officer at Baldwin Investment Management.

Recent trades

In the most recent 13F filing, Baldwin Investment Management revealed that it had opened a new position in Synopsys and bought 2,291 shares worth $1.36 billion. This means they effectively own approximately 0.1% of the company. Synopsys makes up 1.8% of the fund's Technology sector allocation and has decreased its share price by approximately 0.1% in the past year.

The investment fund also strengthened its position in Microsoft by buying 333 additional shares. This makes their stake in Microsoft total 39,826 shares worth $17.8 billion. Microsoft dropped approximately 0.1% in the past year.

On the other hand, there are companies that Baldwin Investment Management is getting rid of from its portfolio. Baldwin Investment Management closed its position in Pioneer Natural Resources Co on 30th July 2024. It sold the previously owned 9,702 shares for $2.55 billion. Christina Mccloy also disclosed a decreased stake in Berkshire Hathaway by approximately 0.1%. This leaves the value of the investment at $342 billion and 558 shares.

One of the average hedge funds

The two most similar investment funds to Baldwin Investment Management are Laird Norton Wetherby Trust and Nilsine Partners. They manage $730 billion and $731 billion respectively.


Christina Mccloy investment strategy

Baldwin Investment Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Finance — making up 50.2% of the total portfolio value. The fund focuses on investments in the United States as 58.0% 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 59% of the total holdings value. On the other hand, small-cap stocks make up only 1.5% of the portfolio. The average market cap of the portfolio companies is close to $147 billion.

The complete list of Baldwin Investment Management trades based on 13F SEC filings

These positions were updated on July 30th 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.
0.53%
558
$341,630,478,000 46.79%
Microsoft Corporation
0.84%
39,826
$17,800,231,000 2.44%
Apple Inc
1.16%
73,919
$15,568,761,000 2.13%
NVIDIA Corp
893.34%
114,602
$14,157,915,000 1.94%
Broadcom Limited
0.62%
8,228
$13,210,097,000 1.81%
Lam Research Corp.
0.18%
10,112
$10,767,815,000 1.47%
J.p. Morgan Chase Co
0.33%
52,782
$10,675,678,000 1.46%
Costco Wholesale Corp
1.99%
10,073
$8,561,727,000 1.17%
Berkshire Hathaway Inc B
4.12%
20,681
$8,413,031,000 1.15%
Eli Lilly Company
0.11%
8,159
$7,387,139,000 1.01%
Amazon.com Inc.
0.14%
36,485
$7,050,726,000 0.97%
Alphabet Inc
0.36%
35,145
$6,401,662,000 0.88%
Linde Plc.
0.94%
13,886
$6,093,356,000 0.83%
Enterprise Products Partners
0.46%
199,081
$5,769,367,000 0.79%
Exxon Mobil Corp.
79.69%
49,858
$5,739,601,000 0.79%
Vertex Pharmaceuticals, Inc.
13.60%
11,756
$5,510,272,000 0.75%
Abbvie Inc
0.48%
31,468
$5,397,444,000 0.74%
Zoetis Inc
14.34%
30,898
$5,356,507,000 0.73%
Visa Inc
1.72%
18,547
$4,867,988,000 0.67%
Thermo Fisher Scientific Inc.
1.29%
7,868
$4,351,090,000 0.60%
Sp Global Inc
0.89%
9,565
$4,266,068,000 0.58%
Intuitive Surgical Inc
7.53%
9,585
$4,263,887,000 0.58%
Home Depot, Inc.
0.34%
11,871
$4,086,473,000 0.56%
Danaher Corp.
4.87%
16,274
$4,065,954,000 0.56%
Blackrock Inc.
2.12%
5,072
$3,993,552,000 0.55%
Sp Dep Receipts
1.38%
7,135
$3,883,010,000 0.53%
Accenture plc
3.32%
12,652
$3,838,743,000 0.53%
RTX Corp
0.03%
36,703
$3,684,643,000 0.50%
Goldman Sachs Group, Inc.
3.42%
7,910
$3,577,851,000 0.49%
Union Pacific Corp.
0.22%
15,789
$3,572,419,000 0.49%
Adobe Inc
13.39%
6,390
$3,549,901,000 0.49%
Abbott Laboratories
0.67%
33,513
$3,482,354,000 0.48%
Caterpillar Inc.
No change
10,053
$3,348,654,000 0.46%
Fiserv, Inc.
0.11%
21,945
$3,270,683,000 0.45%
Novo Nordisk
2.04%
22,180
$3,165,973,000 0.43%
Alphabet Inc
0.15%
16,880
$3,096,130,000 0.42%
Tractor Supply Co.
0.96%
11,364
$3,068,280,000 0.42%
Eaton Corp
0.38%
9,748
$3,056,485,000 0.42%
Johnson Johnson
7.43%
20,258
$2,960,909,000 0.41%
Taiwan Semiconductor Manufacturing Adr
2.08%
16,016
$2,783,741,000 0.38%
Palo Alto Networks Inc
5.56%
7,944
$2,693,095,000 0.37%
Waste Management, Inc.
2.06%
12,391
$2,643,496,000 0.36%
American Tower Reit
1.10%
13,451
$2,614,534,000 0.36%
Constellation Brands Inc
0.58%
10,119
$2,603,520,000 0.36%
Pioneer Natural Resources Co.
Closed
9,702
$2,546,775,000
NextEra Energy Inc
2.04%
35,040
$2,481,182,000 0.34%
Ulta Beauty Inc
23.12%
6,395
$2,467,639,000 0.34%
Morgan Stanley
3.93%
24,380
$2,369,467,000 0.32%
Pepsico Inc.
4.66%
14,309
$2,359,983,000 0.32%
Lowes Companies Inc
No change
10,581
$2,332,655,000 0.32%
Borg Warner Inc
47.10%
71,255
$2,297,261,000 0.31%
Blackstone Inc
0.28%
17,117
$2,119,085,000 0.29%
Bentley Systems Inc
28.53%
42,285
$2,087,199,000 0.29%
Fortive Corp
19.01%
27,729
$2,054,719,000 0.28%
Kimberly-Clark Corp.
13.83%
14,407
$1,991,047,000 0.27%
Ishares Sp Smallcap 600
1.09%
18,140
$1,934,812,000 0.26%
T-Mobile US Inc
2.49%
10,530
$1,855,196,000 0.25%
Nxp Semiconductors N.v.
0.19%
6,887
$1,853,223,000 0.25%
Intercontinental Exchange Inc
No change
13,427
$1,838,022,000 0.25%
Mcdonald's Corp
2.15%
7,136
$1,818,538,000 0.25%
Mettler-Toledo International, Inc.
0.15%
1,291
$1,804,289,000 0.25%
Nike, Inc.
3.15%
23,393
$1,763,165,000 0.24%
Deere Co
1.12%
4,608
$1,721,687,000 0.24%
Capital One Financial Corporation
3.29%
12,145
$1,681,475,000 0.23%
Rydex Sp Equal Weight Etf
1.13%
10,182
$1,672,765,000 0.23%
Cabot Corp.
22.99%
18,184
$1,670,920,000 0.23%
Tjx Inc
5.80%
15,175
$1,670,768,000 0.23%
Icici Bank Ltd Adr
3.76%
57,476
$1,655,884,000 0.23%
First Solar Inc
5.25%
7,110
$1,603,021,000 0.22%
Chevron Corp.
2.30%
10,216
$1,597,987,000 0.22%
Vanguard Total Interntl Stk
0.14%
25,650
$1,546,697,000 0.21%
International Business Machines Corp.
2.40%
8,549
$1,478,550,000 0.20%
Vanguard Total Stock Market Etf
0.44%
5,519
$1,476,299,000 0.20%
L3Harris Technologies Inc
4.67%
6,537
$1,468,079,000 0.20%
Infosys Technologies Ltd
0.18%
78,356
$1,458,989,000 0.20%
Vulcan Materials Co
No change
5,864
$1,458,260,000 0.20%
Darden Restaurants, Inc.
11.19%
9,533
$1,442,534,000 0.20%
Honeywell International Inc
36.94%
6,534
$1,395,238,000 0.19%
Unitedhealth Group Inc
3.78%
2,726
$1,388,243,000 0.19%
Chubb Corp.
0.18%
5,441
$1,387,890,000 0.19%
Mondelez International Inc.
7.26%
21,186
$1,386,389,000 0.19%
Diamondback Energy Inc
3.59%
6,925
$1,386,316,000 0.19%
Autodesk Inc.
30.21%
5,595
$1,384,483,000 0.19%
Synopsys, Inc.
Opened
2,291
$1,363,282,000 0.19%
Schwab Us Dividend Equity Etf
0.67%
17,273
$1,343,163,000 0.18%
Vanguard Mid Cap Value
No change
8,913
$1,340,805,000 0.18%
Ishares Msci India Index
7.82%
23,753
$1,324,942,000 0.18%
Jacobs Solutions Inc
6.66%
9,425
$1,316,767,000 0.18%
Prologis Inc
30.71%
11,699
$1,313,915,000 0.18%
Vanguard Mid Cap Growth
No change
5,684
$1,304,819,000 0.18%
Lockheed Martin Corp.
1.52%
2,719
$1,270,045,000 0.17%
Freeport-McMoRan Inc
1.29%
25,457
$1,237,210,000 0.17%
Nucor Corp.
9.56%
7,595
$1,200,618,000 0.16%
Vanguard Small Cap Value
0.11%
6,505
$1,187,381,000 0.16%
Corteva Agriscience Inc
10.55%
21,187
$1,142,827,000 0.16%
Procter Gamble Co.
0.20%
6,884
$1,135,337,000 0.16%
Ares Capital Corp
0.08%
54,287
$1,131,332,000 0.15%
Trane Technologies plc
4.20%
3,420
$1,124,941,000 0.15%
Yum! Brands Inc
1.17%
8,452
$1,119,552,000 0.15%
Mckesson Corporation
1.45%
1,897
$1,107,924,000 0.15%
Oracle Corp.
3.80%
7,762
$1,095,994,000 0.15%
Marvell Technology Group
6.59%
15,595
$1,090,091,000 0.15%
CME Group Inc
3.66%
5,525
$1,086,215,000 0.15%
Air Products And Chemicals Inc
No change
4,155
$1,072,198,000 0.15%
Starbucks Corp.
35.02%
13,662
$1,063,587,000 0.15%
Coterra Energy Inc
4.33%
39,372
$1,050,044,000 0.14%
Ryanair Holdings Plc
2.74%
8,567
$997,541,000 0.14%
Carrier Global Corporation
No change
15,765
$994,456,000 0.14%
Southern Company
31.61%
12,470
$967,298,000 0.13%
Technology Select Sector Spdr Fund
0.81%
4,265
$964,871,000 0.13%
Vanguard Dividend Appreciation Etf
0.28%
5,284
$964,609,000 0.13%
American Express Co.
No change
4,110
$951,671,000 0.13%
Meta Platforms Inc
10.18%
1,808
$911,854,000 0.12%
Vertiv Holdings Co
6.08%
10,469
$906,304,000 0.12%
Duke Energy Corp.
0.75%
8,848
$886,835,000 0.12%
Merck Co Inc
No change
7,120
$881,456,000 0.12%
Bank Of America Corp.
No change
21,520
$855,850,000 0.12%
Rockwell Automation Inc
20.19%
3,080
$847,862,000 0.12%
Baker Hughes Co
0.09%
23,962
$842,744,000 0.12%
Asml Holdings Nv
3.90%
800
$818,184,000 0.11%
Fedex Corp
7.87%
2,575
$772,088,000 0.11%
Walt Disney Co (The)
0.96%
7,718
$766,275,000 0.10%
Brookfield Renewable Partners LP
11.90%
30,608
$758,160,000 0.10%
Otis Worldwide Corporation
2.08%
7,857
$756,315,000 0.10%
Automatic Data Processing Inc.
17.09%
3,047
$727,288,000 0.10%
Mastercard Incorporated
No change
1,638
$722,620,000 0.10%
Cintas Corporation
No change
1,000
$700,260,000 0.10%
Skechers Usa Inc
2.02%
10,125
$699,840,000 0.10%
Comcast Corp
32.19%
17,695
$692,936,000 0.09%
IQVIA Holdings Inc
No change
3,268
$690,986,000 0.09%
PNC Financial Services Group Inc
No change
4,228
$657,369,000 0.09%
Vail Resorts Inc.
Closed
2,950
$657,349,000
Shell Adr Each Rep 2 Ord Wi
0.11%
9,019
$650,991,000 0.09%
Schwab Us Small Cap Etf
11.49%
13,481
$639,684,000 0.09%
Coca-Cola Co
0.68%
9,585
$610,085,000 0.08%
Shopify Inc
0.15%
9,208
$608,188,000 0.08%
Texas Instruments Inc.
12.02%
3,110
$604,988,000 0.08%
Boston Scientific Corp.
2.66%
7,725
$594,902,000 0.08%
Wal-mart Stores Inc.
0.57%
8,745
$592,124,000 0.08%
Ishares Msci Japan Index Fund
5.02%
8,669
$591,573,000 0.08%
T. Rowe Price Group Inc.
No change
5,102
$588,312,000 0.08%
Cummins Inc.
30.65%
2,110
$584,322,000 0.08%
Eagle Materials Inc.
3.95%
2,630
$571,920,000 0.08%
RPM International, Inc.
0.95%
5,200
$559,936,000 0.08%
Ishares Tips Bond Fund
No change
5,200
$555,256,000 0.08%
Cisco Systems, Inc.
24.37%
11,483
$545,557,000 0.07%
Schwab International Equity Fund
1.77%
13,902
$534,126,000 0.07%
Dell Inc
15.22%
3,748
$516,887,000 0.07%
Bristol-Myers Squibb Co.
32.21%
11,849
$492,089,000 0.07%
Trip.com Group Ltd
0.15%
10,239
$481,233,000 0.07%
Leidos Holdings Inc
No change
3,250
$474,110,000 0.06%
Vanguard Mid-cap Etf
7.34%
1,958
$473,971,000 0.06%
Kkr Co Lp
No change
4,500
$473,580,000 0.06%
Insperity Inc
0.10%
5,135
$468,363,000 0.06%
Ge Healthcare Technologies
4.68%
5,913
$460,768,000 0.06%
Sherwin-Williams Co.
41.14%
1,537
$458,687,000 0.06%
Check Point Software Technologies Ltd.
11.77%
2,773
$457,545,000 0.06%
Itau Unibanco Multiplo Adr
6.09%
73,956
$431,903,000 0.06%
Colgate-Palmolive Co.
5.95%
4,449
$431,731,000 0.06%
Sysco Corp.
1.23%
6,015
$429,411,000 0.06%
Avantis Us Small Cap Value Etf
1.30%
4,708
$422,366,000 0.06%
Wynn Resorts Ltd.
Closed
4,126
$421,801,000
Aon plc.
No change
1,400
$411,012,000 0.06%
Pfizer Inc.
0.70%
14,423
$403,556,000 0.06%
Welltower Inc.
13.60%
3,760
$391,980,000 0.05%
Vanguard Ftse Emerging Mkt Etf
0.03%
8,948
$391,578,000 0.05%
Vanguard Ftse Dev Mkts Etf
1.66%
7,830
$386,940,000 0.05%
Gxo Logistics Inc
27.02%
7,562
$381,881,000 0.05%
Cvs Corp
Closed
4,706
$375,351,000
Astrazeneca plc
2.10%
4,656
$363,121,000 0.05%
Sarepta Therapeutics Inc
No change
2,250
$355,500,000 0.05%
Ishares Nasdaq Biotechnology Index Fund
No change
2,565
$352,072,000 0.05%
Sportradar Group
1.80%
31,351
$350,504,000 0.05%
Spdr Gold Trust
No change
1,550
$333,266,000 0.05%
Ralph Lauren Corp
5.56%
1,900
$332,614,000 0.05%
Kraft Heinz Co
Closed
8,940
$329,886,000
Canadian Pacific Kansas City Ltd
0.33%
4,185
$329,485,000 0.05%
Illinois Tool Works, Inc.
6.90%
1,349
$319,659,000 0.04%
Veralto Ord Wi
3.85%
3,346
$319,444,000 0.04%
Financial Select Sector Spdr Fund
3.55%
7,610
$312,847,000 0.04%
Chesapeake Energy Corp.
No change
3,750
$308,213,000 0.04%
Immunome, Inc.
No change
25,394
$307,267,000 0.04%
Ishares Trust Dow Jones Us Tech Fund
No change
2,030
$305,515,000 0.04%
Parker-Hannifin Corp.
No change
603
$305,003,000 0.04%
Paychex Inc.
33.81%
2,545
$301,735,000 0.04%
Teck Resources Ltd
14.13%
6,260
$299,854,000 0.04%
Baidu Inc Adr
0.18%
3,339
$288,757,000 0.04%
C S X Corp
20.93%
7,973
$266,697,000 0.04%
PPG Industries, Inc.
4.55%
2,100
$264,369,000 0.04%
Allstate Corp (The)
No change
1,652
$263,758,000 0.04%
Dover Corp.
No change
1,450
$261,653,000 0.04%
Hsbc Plc Spon Adr
0.13%
6,006
$261,261,000 0.04%
Paccar Inc.
13.46%
2,528
$260,232,000 0.04%
Xylem Inc
No change
1,909
$258,918,000 0.04%
Hershey Foods Corp
No change
1,401
$257,546,000 0.04%
ON Semiconductor Corp.
51.84%
3,660
$250,893,000 0.03%
Verizon Communications Inc
3.44%
6,070
$250,327,000 0.03%
Philip Morris International Inc
No change
2,450
$248,259,000 0.03%
Immunocore Holdings
Opened
7,305
$247,566,000 0.03%
Industrial Select Sector Spdr Fund
No change
2,020
$246,177,000 0.03%
EOG Resources, Inc.
2.20%
1,775
$223,419,000 0.03%
Edwards Lifesciences Corp
20.36%
2,347
$216,792,000 0.03%
Vanguard Value Etf
No change
1,348
$216,233,000 0.03%
Valero Energy Corp.
Closed
1,260
$215,069,000
Public Service Enterprise Group Inc.
Opened
2,900
$213,730,000 0.03%
Cava Group Inc
Opened
2,290
$212,398,000 0.03%
CDW Corp
Closed
800
$204,624,000
Target Corp
Closed
1,151
$203,969,000
Cambria Shareholder Yield Etf
5.32%
2,969
$202,746,000 0.03%
Analog Devices Inc.
Opened
885
$202,010,000 0.03%
Vanguard Small Cap
Closed
770
$200,775,000
Carnival Corp.
0.26%
10,074
$188,585,000 0.03%
Rivian Automotive, Inc.
6.30%
11,150
$149,633,000 0.02%
Ocugen Inc
No change
22,500
$34,875,000 0.00%
No transactions found
Showing first 500 out of 214 holdings