13F Filings for Motley Fool Asset Management LLC (CIK: 1512814)
View the most recent portfolio holdings disclosed by Motley Fool Asset Management LLC in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
AAPL - APPLE INC COM(Class: Ordinary Shares) | 548.30K | $121.79M | - | Increased | 21.13K (4.0%, $10.22M) |
MSFT - MICROSOFT CORP COM(Class: Ordinary Shares) | 272.41K | $102.26M | - | Increased | 13.43K (5.0%, $6.90M) |
AMZN - AMAZON COM INC(Class: Ordinary Shares) | 499.93K | $95.12M | - | Increased | 15.35K (3.0%, $11.20M) |
NVDA - NVIDIA CORP(Class: Ordinary Shares) | 864.51K | $93.70M | - | Increased | 35.02K (4.0%, $17.70M) |
GOOG - ALPHABET INC CL C(Class: Ordinary Shares) | 542.35K | $84.73M | - | Increased | 11.29K (2.0%, $16.40M) |
META - META PLATFORMS INC(Class: Ordinary Shares) | 95.50K | $55.04M | - | Increased | 3.77K (4.0%, $1.34M) |
BRK.B - BERKSHIRE HATHAWAY INC CL B(Class: Ordinary Shares) | 100.39K | $53.47M | - | Increased | 1.17K (1.0%, $8.49M) |
MA - MASTERCARD INC(Class: Ordinary Shares) | 80.58K | $44.17M | - | Decreased | 1.16K (1.0%, $1.13M) |
TSLA - TESLA INC(Class: Ordinary Shares) | 149.73K | $38.80M | - | Increased | 3.01K (2.0%, $20.45M) |
LLY - ELI LILLY CO(Class: Ordinary Shares) | 45.88K | $37.89M | - | Increased | 6.50K (16.0%, $7.49M) |
COST - COSTCO WHSL CORP(Class: Ordinary Shares) | 39.68K | $37.52M | - | Decreased | 673 (1.0%, $554.19K) |
AVGO - BROADCOM INC(Class: Ordinary Shares) | 218.85K | $36.64M | - | Increased | 3.84K (1.0%, $13.21M) |
WMT - WALMART INC COM(Class: Ordinary Shares) | 413.43K | $36.29M | - | Increased | 6.17K (1.0%, $501.28K) |
V - VISA INC COM CL A(Class: Ordinary Shares) | 101.18K | $35.46M | - | Increased | 2.74K (2.0%, $4.35M) |
JPM - JPMORGAN CHASE CO(Class: Ordinary Shares) | 130.06K | $31.90M | - | Decreased | 1.92K (1.0%, $265.86K) |
WSO - WATSCO INC COM(Class: Ordinary Shares) | 45.17K | $22.96M | - | Decreased | 8.03K (15.0%, $2.25M) |
SNEX - STONEX GROUP INC COM(Class: Ordinary Shares) | 296.94K | $22.68M | - | Increased | 160.84K (118.0%, $9.35M) |
CRM - SALESFORCE INC(Class: Ordinary Shares) | 82.38K | $22.11M | - | Decreased | 4.50K (5.0%, $6.94M) |
AXON - AXON ENTERPRISE INC(Class: Ordinary Shares) | 41.83K | $22M | - | Decreased | 6.54K (13.0%, $6.75M) |
NFLX - NETFLIX COM INC(Class: Ordinary Shares) | 23.54K | $21.96M | - | Increased | 330 (1.0%, $1.26M) |
HD - HOME DEPOT INC(Class: Ordinary Shares) | 55.12K | $20.20M | - | Increased | 1.78K (3.0%, $547.07K) |
WCN - WASTE CONNECTIONS INC(Class: Ordinary Shares) | 94.95K | $18.53M | - | Decreased | 11.79K (11.0%, $219.36K) |
AMT - AMERICAN TOWER CORP(Class: Ordinary Shares) | 76.90K | $16.73M | - | Decreased | 1.38K (1.0%, $2.38M) |
DXCM - DEXCOM INC(Class: Ordinary Shares) | 232.09K | $15.85M | - | Decreased | 50.75K (17.0%, $6.15M) |
FAST - FASTENAL CO COM(Class: Ordinary Shares) | 196.33K | $15.23M | - | Decreased | 11.15K (5.0%, $305.38K) |