Yacktman Asset Management Stephen Yacktman

Top positions activity

Value History

Quarterly report: Q2 2025

Total portfolio value: $7.4B
TICKER CORP NAME VALUE($) SHARES +/- SHARES OWNERSHIP HISTORY
CNQ
Canadian Natural Resources Ltd. 694.8M 9.33% 22.1M -5.1M ↓18.85%
MSFT
Microsoft Corporation 549.8M 7.38% 1.1M -98.2K ↓8.16%
SCHW
Charles Schwab Corp. 416.5M 5.59% 4.6M -143.7K ↓3.05%
PG
Procter & Gamble Co. 321.6M 4.32% 2.0M -99.0K ↓4.67%
FOX
Fox Corporation - Class B 321.5M 4.31% 6.2M -341.9K ↓5.21%
PEP
PepsiCo Inc 278.3M 3.73% 2.1M -5.7K ↓0.27%
CTSH
Cognizant Technology Solutions Corp. - Class A 266.1M 3.57% 3.4M -85.0K ↓2.43%
NWSA
News Corp - Class A 241.3M 3.24% 8.1M -409.1K ↓4.80%
RS
Reliance Steel & Aluminum Co. 234.9M 3.15% 748.4K -14.8K ↓1.94%
GOOG
Alphabet Inc - Class C 227.2M 3.05% 1.3M -123.4K ↓8.79%
INGR
Ingredion Inc 213.9M 2.87% 1.6M -19.6K ↓1.23%
JNJ
Johnson & Johnson 208.3M 2.79% 1.4M -8.9K ↓0.65%
DIS
Walt Disney Co (The) 176.6M 2.37% 1.4M -52.8K ↓3.58%
BRK.B
Berkshire Hathaway Inc. - Class B 158.8M 2.13% 326.9K -49.9K ↓13.25%
KO
Coca-Cola Co 156.8M 2.1% 2.2M -23.1K ↓1.03%
EBAY
EBay Inc. 151.7M 2.03% 2.0M -119.7K ↓5.55%
EOG
EOG Resources, Inc. 150.7M 2.02% 1.3M -66.0K ↓4.98%
TSN
Tyson Foods, Inc. - Class A 146.1M 1.96% 2.6M -16.1K ↓0.61%
COP
Conoco Phillips 145.9M 1.96% 1.6M -60.2K ↓3.57%
FANG
Diamondback Energy Inc 144.4M 1.93% 1.1M -1.3K ↓0.12%
AWI
Armstrong World Industries Inc. 139.9M 1.87% 861.3K -9.0K ↓1.03%
ANTM
Anthem Inc 132.8M 1.78% 341.3K -1.1K ↓0.33%
LHX
L3Harris Technologies Inc 130.3M 1.75% 519.6K -30.9K ↓5.61%
STT
State Street Corp. 128.5M 1.72% 1.2M -28.9K ↓2.34%
NOC
Northrop Grumman Corp. 111.1M 1.49% 222.1K -12.0K ↓5.14%
LMT
Lockheed Martin Corp. 103.1M 1.38% 222.6K -19.0K ↓7.85%
SYY
Sysco Corp. 99.8M 1.34% 1.3M -33.7K ↓2.49%
FOXA
Fox Corporation - Class A 91.7M 1.23% 1.6M -111.2K ↓6.36%
OLN
Olin Corp. 81.6M 1.09% 4.1M +40.1K ↑1.00%
CL
Colgate-Palmolive Co. 72.9M 0.97% 802.4K =
DAR
Darling Ingredients Inc 59.9M 0.8% 1.6M -4.0K ↓0.25%
BK
Bank Of New York Mellon Corp 49.1M 0.65% 539.1K -34.7K ↓6.05%
CMCSA
Comcast Corp - Class A 44.4M 0.59% 1.2M =
UNH
Unitedhealth Group Inc 40.2M 0.54% 129.0K +129.0K Newly Added