J. W. Coons Advisors 13F annual report

J. W. Coons Advisors is an investment fund managing more than $413 billion ran by Andy Armstrong. There are currently 201 companies in Mr. Armstrong’s portfolio. The largest investments include Zurn Elkay Water Solns Corp and Apple Inc, together worth $87.2 billion.

$413 billion Assets Under Management (AUM)

As of 23rd July 2024, J. W. Coons Advisors’s top holding is 2,080,000 shares of Zurn Elkay Water Solns Corp currently worth over $61.2 billion and making up 14.8% of the portfolio value. In addition, the fund holds 123,687 shares of Apple Inc worth $26.1 billion, whose value grew 19.3% in the past six months. The third-largest holding is Microsoft worth $20.1 billion and the next is Spdr Sp 500 Etf Tr worth $9.66 billion, with 17,747 shares owned.

Currently, J. W. Coons Advisors's portfolio is worth at least $413 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 J. W. Coons Advisors

The J. W. Coons Advisors office and employees reside in Columbus, Ohio. According to the last 13-F report filed with the SEC, Andy Armstrong serves as the CCO at J. W. Coons Advisors.

Recent trades

In the most recent 13F filing, J. W. Coons Advisors revealed that it had opened a new position in 2023 Etf Series Trust Ii and bought 19,055 shares worth $591 million.

The investment fund also strengthened its position in Apple Inc by buying 1,660 additional shares. This makes their stake in Apple Inc total 123,687 shares worth $26.1 billion. Apple Inc dropped approximately 0.1% in the past year.

On the other hand, there are companies that J. W. Coons Advisors is getting rid of from its portfolio. J. W. Coons Advisors closed its position in Intel on 30th July 2024. It sold the previously owned 16,478 shares for $728 million. Andy Armstrong also disclosed a decreased stake in Zurn Elkay Water Solns Corp by 0.2%. This leaves the value of the investment at $61.2 billion and 2,080,000 shares.

One of the average hedge funds

The two most similar investment funds to J. W. Coons Advisors are Northstar Asset Management Co and Tap Consulting. They manage $413 billion and $413 billion respectively.


Andy Armstrong investment strategy

J. W. Coons Advisors’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 15.2% of the total portfolio value. The fund focuses on investments in the United States as 53.2% 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 52% of the total holdings value. On the other hand, small-cap stocks make up only 1.5% of the portfolio. The average market cap of the portfolio companies is close to $145 billion.

The complete list of J. W. Coons Advisors trades based on 13F SEC filings

These positions were updated on July 30th 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
Zurn Elkay Water Solns Corp
24.44%
2,080,000
$61,152,000,000 14.80%
Apple Inc
1.36%
123,687
$26,051,038,000 6.30%
Microsoft Corporation
1.07%
44,998
$20,111,640,000 4.87%
Spdr Sp 500 Etf Tr
0.48%
17,747
$9,658,273,000 2.34%
KLA Corp.
0.12%
10,857
$8,951,706,000 2.17%
Merck Co Inc
1.43%
57,120
$7,071,456,000 1.71%
Alphabet Inc
0.51%
48,137
$8,782,872,000 2.13%
J P Morgan Exchange Traded F
4.99%
125,385
$6,328,181,000 1.53%
Jpmorgan Chase Co.
1.55%
27,895
$5,642,119,000 1.37%
Texas Instrs Inc
0.34%
28,307
$5,506,589,000 1.33%
Unitedhealth Group Inc
1.16%
10,810
$5,505,008,000 1.33%
Accenture Plc Ireland
0.28%
17,563
$5,328,840,000 1.29%
Amazon.com Inc.
No change
26,112
$5,046,144,000 1.22%
Oracle Corp.
0.31%
32,498
$4,588,729,000 1.11%
Berkshire Hathaway Inc.
0.31%
11,436
$5,795,287,000 1.40%
Exxon Mobil Corp.
0.76%
39,255
$4,519,054,000 1.09%
Valero Energy Corp.
5.17%
27,674
$4,338,209,000 1.05%
Travelers Companies Inc.
No change
21,250
$4,320,984,000 1.05%
Costco Whsl Corp New
3.46%
5,051
$4,293,337,000 1.04%
Procter And Gamble Co
No change
25,178
$4,152,356,000 1.00%
Fastenal Co.
0.00%
64,220
$4,035,561,000 0.98%
Pepsico Inc
No change
24,186
$3,988,935,000 0.97%
Eaton Corp Plc
0.56%
12,567
$3,940,383,000 0.95%
Illinois Tool Wks Inc
No change
16,151
$3,827,222,000 0.93%
Johnson Johnson
No change
25,939
$3,791,259,000 0.92%
Analog Devices Inc.
3.80%
15,996
$3,651,289,000 0.88%
Tjx Cos Inc New
4.86%
32,335
$3,560,104,000 0.86%
Blackrock Inc.
3.89%
4,483
$3,529,631,000 0.85%
Walmart Inc
No change
51,293
$3,473,067,000 0.84%
International Business Machs
2.09%
19,321
$3,341,567,000 0.81%
NVIDIA Corp
919.56%
26,060
$3,219,453,000 0.78%
Ssga Active Etf Tr
3.74%
75,435
$3,153,183,000 0.76%
NextEra Energy Inc
No change
42,584
$3,015,374,000 0.73%
Nike, Inc.
0.99%
39,815
$3,000,857,000 0.73%
Sysco Corp.
0.48%
41,520
$2,964,113,000 0.72%
Mcdonalds Corp
0.90%
11,228
$2,861,307,000 0.69%
Corning, Inc.
No change
72,550
$2,818,568,000 0.68%
Cisco Sys Inc
0.08%
59,114
$2,808,529,000 0.68%
Home Depot, Inc.
10.70%
7,995
$2,752,089,000 0.67%
Automatic Data Processing In
4.57%
11,478
$2,739,647,000 0.66%
Enbridge Inc
0.48%
73,278
$2,607,965,000 0.63%
Spdr Ser Tr
1.08%
41,990
$4,194,342,000 1.01%
Carlisle Cos Inc
No change
5,700
$2,309,697,000 0.56%
Vanguard Scottsdale Fds
1.23%
41,515
$3,133,848,000 0.76%
AMGEN Inc.
13.22%
7,194
$2,247,777,000 0.54%
Broadcom Inc
1.18%
1,342
$2,154,669,000 0.52%
CVS Health Corp
1.85%
34,515
$2,038,456,000 0.49%
Visa Inc
20.88%
7,751
$2,034,330,000 0.49%
Mastercard Incorporated
3.13%
4,577
$2,019,197,000 0.49%
Amphenol Corp.
95.30%
29,920
$2,015,711,000 0.49%
Kroger Co.
0.25%
39,939
$1,994,155,000 0.48%
Lowes Cos Inc
6.34%
8,716
$1,921,516,000 0.46%
Eli Lilly Co
4.87%
2,111
$1,911,258,000 0.46%
Paychex Inc.
3.91%
15,729
$1,864,841,000 0.45%
Abbvie Inc
0.05%
10,304
$1,767,343,000 0.43%
Meta Platforms Inc
16.86%
3,466
$1,747,632,000 0.42%
Chubb Limited
No change
6,658
$1,698,323,000 0.41%
Ishares Tr
3.43%
147,517
$14,023,736,000 3.39%
Disney Walt Co
No change
14,811
$1,470,585,000 0.36%
Linde Plc.
0.15%
3,248
$1,425,255,000 0.34%
Emerson Elec Co
3.01%
12,900
$1,421,064,000 0.34%
Extra Space Storage Inc.
31.37%
8,928
$1,387,571,000 0.34%
Watsco, Inc.
2.23%
2,979
$1,380,093,000 0.33%
Vanguard Specialized Funds
14.05%
7,421
$1,354,625,000 0.33%
Phillips 66
1.00%
9,573
$1,351,421,000 0.33%
Marriott Intl Inc New
No change
5,572
$1,347,143,000 0.33%
American Express Co.
3.61%
5,742
$1,329,552,000 0.32%
Thermo Fisher Scientific Inc.
1.89%
2,333
$1,290,151,000 0.31%
Canadian Natl Ry Co
No change
10,283
$1,214,676,000 0.29%
Caterpillar Inc.
No change
3,580
$1,192,498,000 0.29%
Thor Inds Inc
1.85%
12,645
$1,181,682,000 0.29%
Booking Holdings Inc
0.68%
290
$1,148,835,000 0.28%
Stryker Corp.
6.60%
3,326
$1,131,680,000 0.27%
3M Co.
No change
11,071
$1,131,346,000 0.27%
Chevron Corp.
No change
7,097
$1,110,113,000 0.27%
Ametek Inc
No change
6,482
$1,080,615,000 0.26%
Corteva Inc
No change
19,704
$1,062,834,000 0.26%
Proshares Tr
27.76%
11,035
$1,060,795,000 0.26%
Applied Matls Inc
60.32%
4,465
$1,053,704,000 0.25%
Adobe Inc
0.95%
1,869
$1,038,305,000 0.25%
Omnicom Group, Inc.
4.05%
11,567
$1,037,600,000 0.25%
Ishares Gold Tr
No change
23,496
$1,032,180,000 0.25%
Mckesson Corporation
No change
1,765
$1,030,831,000 0.25%
Pfizer Inc.
0.54%
36,721
$1,027,454,000 0.25%
MSA Safety Inc
No change
5,400
$1,013,526,000 0.25%
Ecolab, Inc.
12.69%
4,174
$993,412,000 0.24%
Waste Mgmt Inc Del
No change
4,550
$970,697,000 0.23%
Cintas Corporation
4.24%
1,355
$948,853,000 0.23%
Union Pac Corp
1.65%
3,931
$889,482,000 0.22%
Intercontinental Exchange In
No change
6,395
$875,412,000 0.21%
Hologic, Inc.
No change
11,700
$868,725,000 0.21%
Moodys Corp
10.00%
2,035
$856,593,000 0.21%
Pnc Finl Svcs Group Inc
0.64%
5,470
$850,476,000 0.21%
Elevance Health Inc
No change
1,530
$829,046,000 0.20%
Imperial Oil Ltd.
0.04%
12,105
$826,167,000 0.20%
Vulcan Matls Co
23.20%
3,314
$824,148,000 0.20%
Bristol-Myers Squibb Co.
11.73%
18,820
$781,595,000 0.19%
Nxp Semiconductors N V
12.10%
2,872
$772,827,000 0.19%
Invesco Exchange Traded Fd T
1.48%
4,673
$767,681,000 0.19%
Us Bancorp Del
1.02%
19,320
$767,004,000 0.19%
Dow Inc
0.48%
14,303
$758,775,000 0.18%
Intel Corp.
Closed
16,478
$727,832,000
Coca-Cola Co
No change
11,198
$712,753,000 0.17%
Gilead Sciences, Inc.
3.04%
10,335
$709,085,000 0.17%
Intuitive Surgical Inc
3.97%
1,570
$698,415,000 0.17%
Ameriprise Finl Inc
16.43%
1,630
$696,349,000 0.17%
Comcast Corp New
No change
17,770
$695,867,000 0.17%
Alexandria Real Estate Eq In
14.40%
5,945
$695,387,000 0.17%
Prologis Inc
No change
6,055
$680,038,000 0.16%
Invesco Exch Traded Fd Tr Ii
10.36%
70,990
$1,325,723,000 0.32%
Autodesk Inc.
5.01%
2,690
$665,641,000 0.16%
Sp Global Inc
No change
1,443
$643,578,000 0.16%
Reliance Inc.
No change
2,230
$636,888,000 0.15%
Sealed Air Corp.
Closed
16,900
$628,680,000
Humana Inc.
Closed
1,812
$628,257,000
Factset Resh Sys Inc
6.23%
1,535
$626,705,000 0.15%
Gallagher Arthur J Co
18.51%
2,400
$622,344,000 0.15%
Abbott Labs
No change
5,817
$604,445,000 0.15%
L3Harris Technologies Inc
No change
2,661
$597,608,000 0.14%
2023 Etf Series Trust Ii
Opened
19,055
$591,087,000 0.14%
Expeditors Intl Wash Inc
No change
4,684
$584,517,000 0.14%
Air Prods Chems Inc
28.50%
2,253
$581,394,000 0.14%
Dominos Pizza Inc
No change
1,109
$572,759,000 0.14%
Ishares Silver Tr
No change
21,000
$557,970,000 0.14%
Aflac Inc.
12.98%
6,101
$544,895,000 0.13%
Lancaster Colony Corp.
No change
2,847
$537,998,000 0.13%
General Dynamics Corp.
16.14%
1,845
$535,309,000 0.13%
Snap-on, Inc.
0.24%
2,039
$533,010,000 0.13%
Wabtec
7.86%
3,292
$520,312,000 0.13%
Vanguard Index Fds
1.96%
6,008
$1,380,927,000 0.33%
Digital Rlty Tr Inc
No change
3,408
$518,187,000 0.13%
Target Corp
No change
3,460
$512,219,000 0.12%
Abm Inds Inc
No change
10,000
$505,700,000 0.12%
Colgate-Palmolive Co.
No change
5,126
$497,428,000 0.12%
Ball Corp.
4.69%
8,120
$487,363,000 0.12%
Cigna Group (The)
No change
1,472
$486,600,000 0.12%
Honeywell International Inc
No change
2,257
$481,960,000 0.12%
Vanguard Intl Equity Index F
16.93%
17,713
$893,551,000 0.22%
Progressive Corp.
No change
2,200
$456,962,000 0.11%
Ensign Group Inc
No change
3,686
$455,923,000 0.11%
Northern Tr Corp
No change
5,400
$453,492,000 0.11%
D.R. Horton Inc.
3.23%
3,192
$449,849,000 0.11%
Salesforce Inc
32.86%
1,702
$437,588,000 0.11%
MetLife, Inc.
10.31%
6,087
$427,247,000 0.10%
Vanguard Tax-managed Fds
0.14%
8,542
$422,142,000 0.10%
Teleflex Incorporated
No change
2,000
$420,660,000 0.10%
Intuit Inc
31.13%
636
$417,991,000 0.10%
RTX Corp
No change
4,137
$415,314,000 0.10%
Jabil Inc
Closed
3,000
$401,850,000
Oreilly Automotive Inc
1.34%
379
$400,247,000 0.10%
Baxter International Inc.
No change
11,905
$398,223,000 0.10%
UFP Industries Inc
2.62%
3,535
$395,920,000 0.10%
Conocophillips
No change
3,442
$393,696,000 0.10%
Vanguard Bd Index Fds
No change
8,701
$660,729,000 0.16%
Bank America Corp
21.31%
9,676
$384,815,000 0.09%
Marathon Pete Corp
No change
2,200
$381,656,000 0.09%
Kimberly-Clark Corp.
No change
2,715
$375,213,000 0.09%
Cardinal Health, Inc.
32.59%
3,620
$355,919,000 0.09%
Huntington Bancshares, Inc.
No change
26,852
$353,907,000 0.09%
Allstate Corp (The)
No change
2,205
$352,051,000 0.09%
Netapp Inc
2.53%
2,631
$338,902,000 0.08%
Micron Technology Inc.
No change
2,500
$328,825,000 0.08%
Unum Group
0.03%
6,427
$328,496,000 0.08%
Interpublic Group Cos Inc
0.89%
11,120
$323,493,000 0.08%
Equity Residential
No change
4,574
$317,162,000 0.08%
PayPal Holdings Inc
No change
5,423
$314,697,000 0.08%
Motorola Solutions Inc
Opened
806
$311,159,000 0.08%
M T Bk Corp
Closed
2,135
$310,515,000
Dover Corp.
No change
1,705
$307,668,000 0.07%
Shell Plc
No change
4,165
$300,603,000 0.07%
Advanced Micro Devices Inc.
No change
1,827
$296,358,000 0.07%
Trane Technologies plc
No change
900
$296,037,000 0.07%
Idexx Labs Inc
No change
600
$292,320,000 0.07%
Vanguard Whitehall Fds
6.33%
2,443
$289,740,000 0.07%
NICE Ltd
Closed
1,100
$286,682,000
Garmin Ltd
Opened
1,750
$285,110,000 0.07%
Ishares Tr
Opened
2,845
$283,050,000 0.07%
Aon plc.
Closed
847
$282,661,000
Zoetis Inc
No change
1,603
$277,897,000 0.07%
Bath Body Works Inc
No change
6,963
$271,906,000 0.07%
Medpace Holdings Inc
3.28%
630
$259,466,000 0.06%
Mettler-Toledo International, Inc.
No change
183
$255,759,000 0.06%
Cooper Cos Inc
Closed
2,520
$255,680,000
Hunt J B Trans Svcs Inc
58.55%
1,557
$249,120,000 0.06%
Hershey Company
Opened
1,335
$245,427,000 0.06%
Caci International Inc.
Opened
562
$241,734,000 0.06%
National Storage Affiliates
12.11%
5,840
$240,725,000 0.06%
Wisdomtree Tr
Opened
3,035
$236,882,000 0.06%
Spdr Sp Midcap 400 Etf Tr
No change
437
$233,830,000 0.06%
Raymond James Finl Inc
Opened
1,872
$231,398,000 0.06%
M.D.C. Holdings, Inc.
Closed
3,678
$231,383,000
International Paper Co.
No change
5,300
$228,695,000 0.06%
Flowers Foods, Inc.
Closed
9,515
$225,982,000
Norfolk Southn Corp
No change
1,050
$225,425,000 0.05%
General Mls Inc
Closed
3,185
$222,855,000
NewMarket Corp.
Closed
347
$220,214,000
Verizon Communications Inc
No change
5,322
$219,480,000 0.05%
Smith A O Corp
No change
2,645
$216,283,000 0.05%
Genuine Parts Co.
No change
1,563
$216,195,000 0.05%
Caseys Gen Stores Inc
Opened
565
$215,582,000 0.05%
EBay Inc.
2.48%
3,930
$211,120,000 0.05%
HCA Healthcare Inc
No change
654
$210,118,000 0.05%
CDW Corp
Closed
820
$209,740,000
Discover Finl Svcs
No change
1,598
$209,066,000 0.05%
CSX Corp.
7.47%
6,190
$207,056,000 0.05%
Morgan Stanley
Opened
2,121
$206,140,000 0.05%
Clorox Co.
No change
1,500
$204,705,000 0.05%
Vertex Pharmaceuticals, Inc.
Opened
436
$204,362,000 0.05%
Lpl Finl Hldgs Inc
Closed
770
$203,434,000
Ishares Tr
Closed
386
$202,932,000
Parker-Hannifin Corp.
No change
400
$202,324,000 0.05%
America Movil Sab De Cv
No change
11,874
$201,858,000 0.05%
Ppg Inds Inc
No change
1,600
$201,424,000 0.05%
Qualcomm, Inc.
Opened
1,010
$201,172,000 0.05%
Medtronic Plc
No change
2,545
$200,317,000 0.05%
AT&T Inc.
No change
10,371
$198,190,000 0.05%
No transactions found
Showing first 500 out of 216 holdings