SLADX
Selected American Shares
SELECTED AMERICAN SHARES INC

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
45
Top-10 weight
46.11%
Effective holdings ?
30
Crowding ?
952.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 CAPITAL ONE FINANCIAL CORP 664,994 $121.31M 6.22%
2 ALPHABET INC CL A 363,394 $104.50M 5.36%
3 META PLATFORMS INC CL A 173,367 $99.19M 5.09%
4 COTERRA ENERGY INC 2,787,420 $97.95M 5.02%
5 US BANCORP DEL 1,757,190 $91.39M 4.69%
6 VIATRIS INC 6,440,150 $87.01M 4.46%
7 BERKSHIRE HATHAWAY INC CL A 116 $83.30M 4.27%
8 MGM RESORTS INTERNATIONAL 2,003,055 $74.13M 3.80%
9 SAMSUNG ELECTRONICS CO LTD COMMON STOCK KRW100.0 005930 KS 616,510 $72.11M 3.70%
10 AMAZON.COM INC 315,626 $65.74M 3.37%
11 CVS HEALTH CORP 915,270 $65.73M 3.37%
12 TYSON FOODS INC CL A 1,006,280 $64.47M 3.31%
13 DANSKE BANK A/S COMMON STOCK DKK10.0 DANSKE DC 1,222,930 $60.27M 3.09%
14 TEXAS INSTRUMENTS INC 282,959 $54.93M 2.82%
15 JBS NV COMMON STOCK EUR.01 JBS US 2,844,890 $51.09M 2.62%
16 THE CIGNA GROUP 189,200 $50.47M 2.59%
17 WELLS FARGO & CO 625,633 $49.81M 2.55%
18 MARKEL GROUP INC 24,158 $46.24M 2.37%
19 TECK RESOURCES-B 828,320 $42.87M 2.20%
20 LYONDELLBASELL-A 528,300 $42.56M 2.18%
21 TOURMALINE OIL CORP COMMON STOCK TOU 863,540 $41.33M 2.12%
22 APPLIED MATERIALS INC 106,904 $36.54M 1.87%
23 STONEX REPO 31,771,000 $31.77M 1.63%
24 UNITEDHEALTH GRP 111,000 $30.04M 1.54%
25 CHUBB LTD 90,301 $29.43M 1.51%
26 PROSUS NV COMMON STOCK EUR.05 PRX NA 625,752 $28.97M 1.49%
27 SOLVENTUM CORP 432,910 $28.27M 1.45%
28 Didi Global Inc SPONSORED ADS DIDIY 6,648,340 $27.32M 1.40%
29 AIA GROUP LTD COMMON STOCK 1299 HK 2,422,380 $26.92M 1.38%
30 PING AN INSURANCE GROUP CO OF COMMON STOCK CNY1.0 2318 HK 3,464,600 $26.64M 1.37%
31 Chesham Finance LLC 25,000,000 $25.00M 1.28%
32 RESTAURANT BRANDS INTERNATIONAL INC 296,100 $21.88M 1.12%
33 CONOCOPHILLIPS 162,790 $21.49M 1.10%
34 TRIP.COM GROUP LTD ADR 414,010 $20.61M 1.06%
35 PINTEREST INC CL A 1,121,900 $20.58M 1.06%
36 AGCO CORP 176,140 $20.41M 1.05%
37 OWENS CORNING INC 181,640 $19.66M 1.01%
38 QUEST DIAGNOSTICS INC 99,060 $19.41M 1.00%
39 Nomura Repo 14,775,000 $14.78M 0.76%
40 IAC INC 273,790 $10.96M 0.56%
41 BREAN REPO 7,387,000 $7.39M 0.38%
42 NASPERS LTD N SHS COMMON STOCK ZAR.02 NPN SJ 94,410 $4.88M 0.25%
43 ORASCOM CONSTRUCTION PLC COMMON STOCK USD1.0 ORAS 346,251 $3.00M 0.15%
44 ASAC II LP UNIT SEALED 1,174,606 $1.24M 0.06%
45 ANGI INC 143,761 $984.76K 0.05%

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