First seen by DFX
Sep 12, 2026
date not stated
Bristol John W & Co Inc /NY/ files Form 13F (non_adviser_filer, $6,502,978,301 in 103 positions)
Bristol John W & Co Inc /NY/ reported $6,075,480,486 across 109 13(f) positions for the quarter ended 2026-03-31
Bristol John W & Co Inc /NY/ exited Uber Technologies Inc (was $67,547,614, 826,675 shares)
Bristol John W & Co Inc /NY/ exited Wabtec (was $69,858,130, 327,281 shares)
Bristol John W & Co Inc /NY/ opened a $51,574,603 position in Capital One Finl Corp (282,709 shares)
Bristol John W & Co Inc /NY/ reduced Delta Air Lines Inc 2,303,755 -> 1,580,135 shares ($159,880,597 -> $105,047,375)
Bristol John W & Co Inc /NY/ reduced Johnson & Johnson 473,175 -> 351,933 shares ($97,923,567 -> $86,026,503)
Bristol John W & Co Inc /NY/ reduced Ross Stores Inc 568,129 -> 245,133 shares ($102,342,758 -> $53,103,162)
Bristol John W & Co Inc /NY/ opened a $57,091,237 position in Sherwin Williams Co (178,104 shares)
Bristol John W & Co Inc /NY/ increased Workday Inc 560,524 -> 727,404 shares ($120,389,345 -> $94,504,327)
Bristol John W & Co Inc /NY/ opened a $30,193,297 position in Shopify Inc (254,538 shares)
Bristol John W & Co Inc /NY/ opened a $54,563,751 position in Verisk Analytics Inc (287,556 shares)
Bristol John W & Co Inc /NY/ opened a $59,420,644 position in Waters Corp (199,532 shares)
Bristol John W & Co Inc /NY/ reported $6,502,978,301 across 103 13(f) positions for the quarter ended 2025-12-31
Bristol John W & Co Inc /NY/ increased Netflix Inc 209,682 -> 2,058,374 shares ($251,391,943 -> $192,993,146)
Bristol John W & Co Inc /NY/ opened a $132,495,072 position in Infineon Technologies-Adr (3,012,621 shares)
Bristol John W & Co Inc /NY/ opened a $94,687,446 position in Nestle Sa Adr (958,569 shares)
Bristol John W & Co Inc /NY/ increased T-Mobile US Inc 430,561 -> 552,634 shares ($103,067,692 -> $112,206,808)
Bristol John W & Co Inc /NY/ increased Transdigm Group Inc 88,467 -> 110,765 shares ($116,601,275 -> $147,300,836)
Bristol John W & Co Inc /NY/ increased Union Pac Corp 294,615 -> 422,836 shares ($69,638,147 -> $97,810,424)
Bristol John W & Co Inc /NY/ reduced Tesla Inc 297,378 -> 151,025 shares ($132,249,944 -> $67,918,963)
Bristol John W & Co Inc /NY/ reported $6,335,094,667 across 96 13(f) positions for the quarter ended 2025-09-30
Bristol John W & Co Inc /NY/ increased Becton Dickinson & Co 418,975 -> 589,386 shares ($72,168,444 -> $110,315,377)
Bristol John W & Co Inc /NY/ increased Chipotle Mexican Grill Inc 1,983,486 -> 2,745,050 shares ($111,372,739 -> $107,578,509)
Bristol John W & Co Inc /NY/ increased Deere & Co 174,958 -> 240,563 shares ($88,964,393 -> $109,999,838)
Bristol John W & Co Inc /NY/ increased Moodys Corp 173,377 -> 237,297 shares ($86,964,169 -> $113,067,274)
Bristol John W & Co Inc /NY/ increased Starbucks Corp 990,560 -> 1,344,311 shares ($90,765,013 -> $113,728,710)
Bristol John W & Co Inc /NY/ increased Union Pac Corp 5,947 -> 294,615 shares ($1,368,286 -> $69,638,147)
Bristol John W & Co Inc /NY/ reduced Wabtec 683,322 -> 334,315 shares ($143,053,461 -> $67,020,128)
Bristol John W & Co Inc /NY/ exited Analog Devices Inc (was $96,494,974, 405,407 shares)
Bristol John W & Co Inc /NY/ reported $6,174,318,016 across 94 13(f) positions for the quarter ended 2025-06-30
Bristol John W & Co Inc /NY/ reduced T-Mobile US Inc 659,276 -> 438,105 shares ($175,835,502 -> $104,382,897)
Bristol John W & Co Inc /NY/ opened a $89,026,604 position in AON Plc (249,542 shares)
Bristol John W & Co Inc /NY/ opened a $65,441,265 position in Entegris Inc (811,423 shares)
Bristol John W & Co Inc /NY/ exited Charter Communications Inc N (was $71,588,426, 194,254 shares)
Bristol John W & Co Inc /NY/ exited Infineon Technologies-Adr (was $104,429,347, 3,153,060 shares)
Bristol John W & Co Inc /NY/ exited Nestle Sa Adr (was $106,363,765, 1,051,337 shares)
Bristol John W & Co Inc /NY/ increased Schwab Charles Corp 866,853 -> 1,232,929 shares ($67,857,253 -> $112,492,442)
Bristol John W & Co Inc /NY/ increased Thermo Fisher Scientific Inc 282,585 -> 360,444 shares ($140,614,296 -> $146,145,624)
Bristol John W & Co Inc /NY/ increased Deere & Co 113,785 -> 174,958 shares ($53,404,990 -> $88,964,393)