Compounder

Terry Smith

Net selling

Fundsmith LLP — managed by Terry Smith; US equity positions disclosed quarterly via SEC 13F

Portfolio value$12.83B
Holdings34
Latest period2026-03-31
Top holdingMARRIOTT INTL INC NEW
Holdings
SecurityValueSharesWeight
MARRIOTT INTL INC NEW571903202$1.10B3,370,8728.59%
STRYKER CORPORATION863667101$1.01B3,061,4167.84%
WATERS CORP941848103$956.6M3,212,0757.46%
VISA INC92826C839$938.2M3,104,0907.31%
ALPHABET INC02079K305$850.1M2,956,1986.63%
PHILIP MORRIS INTL INC718172109$845.4M5,113,1636.59%
IDEXX LABS INC45168D104$823.6M1,465,7866.42%
AUTOMATIC DATA PROCESSING IN53015103$783.3M3,855,1056.11%
MICROSOFT CORP594918104$769.9M2,079,7376.00%
META PLATFORMS INC30303M102$756.0M1,321,3755.89%
METTLER TOLEDO INTERNATIONAL592688105$717.0M568,5165.59%
CHURCH & DWIGHT CO INC171340102$619.8M6,641,5084.83%
PROCTER & GAMBLE CO742718109$606.6M4,199,9144.73%
TEXAS INSTRS INC882508104$509.3M2,623,1243.97%
FORTINET INC3.4959e+113$503.1M6,156,6753.92%
ZOETIS INC98978V103$458.4M3,877,5593.57%
OTIS WORLDWIDE CORP68902V107$210.6M2,731,6351.64%
MSCI INC55354G100$34.9M64,7880.27%
ROLLINS INC775711104$33.1M619,9350.26%
MEDPACE HLDGS INC58506Q109$30.1M62,6680.23%
VERISIGN INC9.2343e+106$28.2M113,4670.22%
PAYCOM SOFTWARE INC70432V102$26.7M219,4570.21%
CLOROX CO DEL189054109$26.7M257,2170.21%
VERTIV HOLDINGS CO92537N108$22.9M91,2540.18%
NUTANIX INC67059N108$21.9M577,3920.17%

Showing top 25 of 34 positions

Quarter Changes
New (1)
BADGER METER INC$21.7M
Exited (4)
INTUIT$0
NIKE INC$0
ODDITY TECH LTD$0
GRACO INC$0
Added (0)
Trimmed (33)
MARRIOTT INTL INC NEW-15.3%
STRYKER CORPORATION-17.0%
WATERS CORP-9.7%
VISA INC-12.2%
ALPHABET INC-15.5%
PHILIP MORRIS INTL INC-16.5%
IDEXX LABS INC-21.9%
AUTOMATIC DATA PROCESSING IN-7.7%

Sources·SEC EDGAR 13F as of 2026-05-15