Monte 13F annual report

Monte is an investment fund managing more than $226 billion ran by Robert Monte. There are currently 81 companies in Mr. Monte’s portfolio. The largest investments include Comcast Corp New Cl A and Wells Fargo Co New Com, together worth $15.4 billion.

Limited to 30 biggest holdings

$226 billion Assets Under Management (AUM)

As of 15th July 2024, Monte’s top holding is 203,855 shares of Comcast Corp New Cl A currently worth over $7.98 billion and making up 3.5% of the portfolio value. In addition, the fund holds 124,707 shares of Wells Fargo Co New Com worth $7.41 billion. The third-largest holding is Rtx Corporation Com worth $6.85 billion and the next is Texas Instrs Inc Com worth $6.39 billion, with 32,831 shares owned.

Currently, Monte's portfolio is worth at least $226 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 Monte

The Monte office and employees reside in Guilford, Connecticut. According to the last 13-F report filed with the SEC, Robert Monte serves as the Managing Member at Monte.

Recent trades

In the most recent 13F filing, Monte revealed that it had opened a new position in Vartis Ag Sponsored Adr and bought 37,999 shares worth $4.05 billion.

The investment fund also strengthened its position in Comcast Corp New Cl A by buying 14,096 additional shares. This makes their stake in Comcast Corp New Cl A total 203,855 shares worth $7.98 billion.

On the other hand, there are companies that Monte is getting rid of from its portfolio. Monte closed its position in Intel Corp Com on 22nd July 2024. It sold the previously owned 118,731 shares for $5.97 billion. Robert Monte also disclosed a decreased stake in Wells Fargo Co New Com by 0.2%. This leaves the value of the investment at $7.41 billion and 124,707 shares.

One of the smallest hedge funds

The two most similar investment funds to Monte are Financial Consulate, Inc and Greenhaven Road Investment Management, L.P.. They manage $226 billion and $227 billion respectively.


Robert Monte investment strategy

Monte’s portfolio is diversified across 9 sectors. Currently, their heaviest sector is Health Care — making up 6.7% of the total portfolio value. The fund focuses on investments in the United States as 25.9% 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 26% of the total holdings value. On the other hand, small-cap stocks make up only approximately 0.1% of the portfolio. The average market cap of the portfolio companies is close to $255 billion.

The complete list of Monte trades based on 13F SEC filings

These positions were updated on July 22nd 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
Comcast Corp New Cl A
7.43%
203,855
$7,982,972,000 3.52%
Wells Fargo Co New Com
15.77%
124,707
$7,406,350,000 3.27%
Rtx Corporation Com
2.04%
68,234
$6,849,973,000 3.02%
Texas Instrs Inc Com
3.32%
32,831
$6,386,591,000 2.82%
Home Depot, Inc.
7.36%
18,358
$6,319,577,000 2.79%
Garmin Ltd Shs
20.20%
38,531
$6,277,516,000 2.77%
Corning, Inc.
0.75%
159,770
$6,207,072,000 2.74%
Target Corp Com
12.84%
41,551
$6,151,227,000 2.72%
Intel Corp Com
Closed
118,731
$5,966,253,000
Hershey Co Com
100.29%
32,118
$5,904,172,000 2.61%
Dell Techlogies Inc Cl C
50.18%
42,674
$5,885,157,000 2.60%
Merck & Co Inc
0.28%
47,266
$5,851,552,000 2.58%
Abbott Labs Com
3.33%
55,245
$5,740,494,000 2.53%
Pfizer Inc.
22.54%
201,861
$5,648,058,000 2.49%
Chevron Corp New Com
2.88%
35,682
$5,581,409,000 2.46%
Campbell Soup Co Com
3.70%
118,762
$5,366,858,000 2.37%
Eog Res Inc Com
54.39%
41,962
$5,281,729,000 2.33%
Johnson & Johnson Com
19.86%
35,957
$5,255,479,000 2.32%
Watsco, Inc.
7.12%
11,264
$5,217,943,000 2.30%
Omnicom Group, Inc.
177.84%
58,046
$5,206,726,000 2.30%
Hartford Finl Svcs Group Inc Com
22.23%
51,346
$5,162,322,000 2.28%
Cisco Sys Inc Com
4.68%
105,430
$5,008,987,000 2.21%
Regions Financial Corp New Com
5.09%
247,907
$4,968,063,000 2.19%
Stanley Black & Decker Inc Com
7.26%
61,665
$4,926,447,000 2.18%
Eaton Corp Plc Shs
25.11%
15,434
$4,839,434,000 2.14%
Air Prods & Chems Inc Com
19.81%
18,306
$4,723,814,000 2.09%
Price T Rowe Group Inc Com
2.30%
40,733
$4,696,868,000 2.07%
M & T Bk Corp Com
2.09%
30,698
$4,646,520,000 2.05%
Vartis Ag Sponsored Adr
Opened
37,999
$4,045,374,000 1.79%
Automatic Data Processing Inc.
3.21%
16,461
$3,928,974,000 1.73%
International Paper Co Com
39.94%
89,569
$3,864,895,000 1.71%
Microsoft Corp Com
9.59%
8,200
$3,664,782,000 1.62%
Kimberly-clark Corp Com
Opened
26,503
$3,662,715,000 1.62%
CME Group Inc
0.59%
17,619
$3,463,907,000 1.53%
Ppg Inds Inc Com
18.98%
26,710
$3,362,516,000 1.48%
Unitedhealth Group Inc
3.07%
4,870
$2,480,013,000 1.09%
Apple Inc
1.12%
11,403
$2,401,637,000 1.06%
Astrazeneca Plc Sponsored Adr
Opened
24,795
$1,933,762,000 0.85%
Jpmorgan Chase & Co. Com
No change
8,198
$1,658,127,000 0.73%
American Express Co Com
1.06%
7,000
$1,620,805,000 0.72%
Amphel Corp New Cl A
80.88%
22,727
$1,531,117,000 0.68%
Nvidia Corporation Com
551.71%
11,594
$1,432,285,000 0.63%
Visa Inc
1.80%
5,412
$1,420,415,000 0.63%
Southern Co Com
0.33%
18,065
$1,401,302,000 0.62%
Alphabet Inc Cap Stk Cl A
32.31%
7,519
$1,369,638,000 0.60%
Kla Corp Com New
8.13%
1,661
$1,369,300,000 0.60%
Chubb Limited Com
2.36%
5,163
$1,316,902,000 0.58%
Deckers Outdoor Corp Com
24.16%
1,350
$1,306,733,000 0.58%
Rockwell Automation Inc
Closed
4,172
$1,295,380,000
Parker-hannifin Corp Com
12.07%
2,521
$1,274,955,000 0.56%
Te Connectivity Ltd Shs
0.89%
8,472
$1,274,424,000 0.56%
Moodys Corp Com
1.21%
2,928
$1,232,358,000 0.54%
Generac Hldgs Inc Com
3.98%
9,259
$1,224,225,000 0.54%
Thermo Fisher Scientific Inc.
4.31%
2,155
$1,191,855,000 0.53%
Trane Techlogies Plc Shs
12.95%
3,562
$1,171,620,000 0.52%
Avery Dennison Corp Com
2.90%
5,323
$1,163,894,000 0.51%
Tjx Cos Inc New Com
2.96%
10,484
$1,154,319,000 0.51%
Ametek Inc
1.17%
6,815
$1,136,140,000 0.50%
Linde Plc Shs
0.34%
2,318
$1,017,334,000 0.45%
Stryker Corporation Com
3.56%
2,968
$1,009,882,000 0.45%
Ulta Beauty Inc
31.31%
2,613
$1,008,278,000 0.45%
TREX Co., Inc.
7.98%
11,944
$885,289,000 0.39%
Invesco S&p 500 Equal Weight Etf
10.09%
5,269
$865,591,000 0.38%
International Business Machs Com
9.65%
4,924
$851,649,000 0.38%
Oreilly Automotive Inc Com
9.92%
787
$831,119,000 0.37%
Lululemon Athletica inc.
Opened
2,587
$772,737,000 0.34%
Consolidated Edison, Inc.
No change
8,269
$739,414,000 0.33%
Brown & Brown, Inc.
Opened
8,055
$720,198,000 0.32%
West Pharmaceutical Svsc Inc Com
9.61%
2,042
$672,698,000 0.30%
Meta Platforms Inc
47.54%
1,257
$633,805,000 0.28%
Exxon Mobil Corp Com
No change
5,494
$632,469,000 0.28%
Ge Aerospace Com New
2.29%
3,714
$590,415,000 0.26%
Ishares Core S&p 500 Etf
17.17%
1,044
$571,308,000 0.25%
Ishares Msci Eafe Etf
No change
6,881
$538,989,000 0.24%
Verizon Communications Inc
Closed
11,375
$428,853,000
Caterpillar Inc.
91.88%
1,276
$425,119,000 0.19%
Alphabet Inc Cap Stk Cl C
7.13%
2,085
$382,431,000 0.17%
Tesla Inc
11.40%
1,700
$336,396,000 0.15%
Amazon.com Inc.
9.24%
1,699
$328,332,000 0.14%
Emerson Elec Co Com
Closed
2,917
$283,926,000
Ishares Russell Midcap Etf
Closed
3,649
$283,637,000
Roper Techlogies Inc Com
10.38%
475
$267,739,000 0.12%
Travelers Companies Inc.
Closed
1,329
$253,161,000
Ishares Russell 2000 Etf
Closed
1,201
$241,053,000
Boeing Co Com
10.46%
1,284
$233,701,000 0.10%
Deere & Co Com
0.52%
575
$214,837,000 0.09%
Disney Walt Co Com
Opened
2,154
$213,871,000 0.09%
Dover Corp Com
32.79%
1,119
$201,924,000 0.09%
No transactions found
Showing first 500 out of 88 holdings