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Q2 2026 13F filing
Updated 45 days ago23 disclosed positions worth $3B
Portfolio value
$3B
Total holdings
23
New positions
2
Closed positions
1
Increased
0
Decreased
21
Turnover
13.0%
Filed
2026-07-28
Full holdings
Every line item disclosed in Q2 2026
| # | Stock | Value | Shares | % Portfolio | Change |
|---|---|---|---|---|---|
| 1 | G GS-PD The Goldman Sachs Group, Inc. | $246.8M | 244.0K | 8.33% | Trimmed(-10.0%) |
| 2 | M MS-PP Morgan Stanley | $230.8M | 1.10M | 7.79% | Trimmed(-10.1%) |
| 3 | J JNJ Johnson & Johnson | $215.3M | 847.8K | 7.27% | Trimmed(-9.4%) |
| 4 | U UNH UnitedHealth Group Inc. | $184.3M | 443.5K | 6.22% | Trimmed(-9.4%) |
| 5 | E ELV Elevance Health, Inc. | $178.5M | 461.6K | 6.03% | Trimmed(-9.4%) |
| 6 | C CI The Cigna Group | $172.5M | 625.9K | 5.82% | Trimmed(-10.4%) |
| 7 | M MSFT Microsoft Corp. | $161.8M | 433.7K | 5.46% | Trimmed(-9.5%) |
| 8 | D DIS The Walt Disney Company | $160.2M | 1.66M | 5.41% | Trimmed(-9.6%) |
| 9 | A AXP American Express Co. | $154.1M | 455.6K | 5.20% | Trimmed(-9.3%) |
| 10 | F FDX FedEx Corporation | $133.1M | 425.0K | 4.49% | Trimmed(-9.4%) |
| 11 | P PEP PepsiCo, Inc. | $131.7M | 972.6K | 4.45% | Trimmed(-9.3%) |
| 12 | T TJX The TJX Companies, Inc. | $125M | 825.3K | 4.22% | Trimmed(-9.6%) |
| 13 | M MCD McDonald's Corporation | $99.4M | 367.8K | 3.36% | Trimmed(-9.7%) |
| 14 | G GPN Global Payments Inc. | $94.4M | 1.30M | 3.19% | Trimmed(-9.3%) |
| 15 | L LOW Lowe's Companies, Inc. | $86.2M | 390.9K | 2.91% | Trimmed(-10.0%) |
| 16 | L LHX L3Harris Technologies, Inc. | $82.6M | 284.1K | 2.79% | Trimmed(-9.6%) |
| 17 | O ORCL-PD Oracle Corporation | $81.7M | 557.8K | 2.76% | Trimmed(-9.6%) |
| 18 | N NOC Northrop Grumman Corporation | $81.6M | 160.3K | 2.76% | Trimmed(-9.6%) |
| 19 | L LMT Lockheed Martin Corp. | $75.3M | 147.9K | 2.54% | Trimmed(-9.3%) |
| 20 | C CNC Centene Corporation | $71.7M | 1.12M | 2.42% | Trimmed(-9.4%) |
| 21 | M MRSH Marsh & McLennan Companies, In | $67.4M | 404.3K | 2.27% | — |
| 22 | H HD The Home Depot, Inc. | $66.5M | 188.5K | 2.24% | Trimmed(-9.2%) |
| 23 | A ACN Accenture Plc Class A | $61.3M | 492.4K | 2.07% | — |