Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
SCHWERIN BOYLE CAPITAL MANAGEMENT INC 08-12-2019 06-30-2019 54 957,338,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
BERKSHIRE HATH B COM 1 $89,677,000 420,685 9.37 9.43 -6,774 -1.58
WELLS FARGO COM 2 $61,993,000 1,310,073 6.48 5.04 359,694 37.85
AMER EXPRESS COM 3 $55,867,000 452,585 5.84 5.49 -5,150 -1.13
BANK OF AMERICA COM 4 $55,554,000 1,915,660 5.80 5.40 133,306 7.48
ACCENTURE PLC COM 5 $45,446,000 245,960 4.75 4.79 -1,910 -0.77
ALPHABET, INC COM 6 $44,182,000 40,875 4.62 5.33 -465 -1.12
GENERAL MOTORS COM 7 $42,274,000 1,097,162 4.42 4.51 -10,550 -0.95
GARTNER INC COM 8 $38,851,000 241,403 4.06 4.11 -5,224 -2.12
CARMAX INC COM 9 $36,527,000 420,675 3.82 3.24 -1,500 -0.36
MASTERCARD INC COM 10 $35,874,000 135,614 3.75 3.53 -916 -0.67
EXXON MOBIL COM 11 $28,588,000 373,060 2.99 1.78 172,635 86.13
APPLE INC COM 12 $28,376,000 143,370 2.96 3.02 -1,300 -0.90
JP MORGAN CHASE COM 13 $27,028,000 241,755 2.82 2.72 -2,890 -1.18
AGCO CORP COM 14 $24,863,000 320,524 2.60 2.48 -3,750 -1.16
LOEWS CORP COM 15 $23,288,000 425,980 2.43 2.27 -4,775 -1.11
COCA COLA COM Liquidated $0 0 2.84 478,270 +Inf
H&R BLOCK COM Liquidated $0 0 2.63 824,250 +Inf
US BANCORP COM 18 $20,345,000 388,263 2.13 2.09 -7,020 -1.78
INTL BUS MACHINES COM Liquidated $0 0 2.54 178,170 +Inf
PAYPAL HOLDINGS COM 20 $19,599,000 171,234 2.05 1.97 -1,576 -0.91
PHILLIPS 66 COM 21 $14,755,000 157,744 1.54 1.67 -2,225 -1.39
SPX CORP. COM 22 $14,279,000 432,440 1.49 1.68 -7,560 -1.72
ANSYS INC COM 23 $13,518,000 66,000 1.41 1.32 0 0.00
CUMMINS INC COM 24 $13,433,000 78,400 1.40 1.36 0 0.00
EVERTEC, INC COM 25 $13,270,000 405,800 1.39 1.24 0 0.00
INGERSOLL-RAND COM 26 $13,263,000 104,705 1.39 4.33 -260,783 -71.35
ALLEGION PLC COM 27 $13,225,000 119,628 1.38 1.20 -1,199 -0.99
ORACLE CORP COM 28 $13,053,000 229,124 1.36 1.35 0 0.00
CITIGROUP COM 29 $12,365,000 176,564 1.29 1.22 -1,750 -0.98
GENTEX CORP COM 30 $11,788,000 479,000 1.23 1.09 0 0.00
COGNIZANT TECH COM 31 $11,474,000 181,000 1.20 1.47 -3,900 -2.11
GENERAL ELECTRIC COM 32 $11,448,000 1,090,246 1.20 1.21 -14,500 -1.31
SCHLUMBERGER LTD COM 33 $10,691,000 269,025 1.12 269,025 +Inf
THOR INDUSTRIES COM 34 $10,179,000 174,150 1.06 1.19 0 0.00
SERITAGE GROWT-A COM 35 $9,997,000 232,704 1.04 1.14 0 0.00
EBAY INC COM 36 $9,835,000 249,000 1.03 1.02 0 0.00
MICROSOFT COM 37 $9,170,000 68,450 0.96 1.36 -36,475 -34.76
PULTEGROUP, INC. COM 38 $8,221,000 260,000 0.86 0.80 0 0.00
DEERE & COMPANY COM 39 $8,136,000 49,100 0.85 0.88 -1,000 -2.00
MIDLAND STATES COM 40 $6,739,000 252,200 0.70 0.67 0 0.00
MCKESSON CORP COM 41 $6,182,000 46,000 0.65 0.59 0 0.00
AMERISOURCEBERGEN COM 42 $6,160,000 72,250 0.64 0.63 0 0.00
FOOT LOCKER INC. COM 43 $5,869,000 140,000 0.61 0.93 0 0.00
MEDTRONIC PLC COM 44 $5,843,000 60,000 0.61 0.60 0 0.00
JBG SMITH PROPER COM 45 $4,721,000 120,000 0.49 0.54 0 0.00
JEFFERIES FINCL COM Liquidated $0 0 0.59 269,550 +Inf
SIGNET JEWELERS COM Liquidated $0 0 0.44 0.59 0 0.00
UNITED FINL BANC COM Liquidated $0 0 0.44 0.70 -100,000 -26.39
SPARTAN MOTORS COM 49 $3,911,000 356,828 0.41 0.35 0 0.00
GOLDMAN SACHS COM 50 $3,673,000 17,950 0.38 0.38 0 0.00
GP STRATEGIES COM 51 $3,566,000 236,452 0.37 0.32 0 0.00
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