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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT (Amended)

CACTI ASSET MANAGEMENT LLC

Quarter ended Q1 2023 · Filed January 3, 2023 · Accession 0001104659-23-000314

Total Value
$1.08B
Positions
79
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (79)

#IssuerTicker / CUSIPSharesValue% of Filing
1APPLE INC COMAAPL586,442$76.2M7.09%
2JACOBS ENGR GROUP INC DEL469814107624,948$75.0M6.98%
3MERCK & CO INCMRK659,493$73.2M6.81%
4AMERICAN EXPRESS COAXP475,551$70.3M6.53%
5GOLDMAN SACHS GROUP INCGSCE200,729$68.9M6.41%
6UNITED PARCEL SERVICE INCUPS387,216$67.3M6.26%
7BLACKSTONE GROUP L PBX871,254$64.6M6.01%
8CHUBB LTDCB275,545$60.8M5.65%
9BECTON DICKINSON & COBDX194,224$49.4M4.59%
10CVS CAREMARK CORPORATIONCVS499,005$46.5M4.32%
11JOHNSON & JOHNSONJNJ255,968$45.2M4.21%
12DISNEY WALT CO254687106488,857$42.5M3.95%
13VOLKSWAGEN AGD94523145221,253$34.9M3.24%
14BOEING COBA-PA177,435$33.8M3.14%
15AUTOMATIC DATA PROCESSING INAVT141,050$33.7M3.13%
16SEAGATE TECHNOLOGIESSTX610,981$32.1M2.99%
17RAYTHEON TECHNOLOGIES CORPRTX298,810$30.2M2.80%
18CORNING INCGLW879,557$28.1M2.61%
19FOX CORPORATIONFOX836,611$23.8M2.21%
20GENUINE PARTS COGPC73,259$12.7M1.18%
21BANK OF NEW YORK MELLON CORP064058100253,965$11.6M1.08%
22EBAY INC.EBAY255,502$10.6M0.99%
23SPDR S&P 500 ETF TRSPY24,600$9.4M0.87%
24GENERAL MOTORS CO37045V100232,406$7.8M0.73%
25US BANCORP DELUSB-PS134,730$5.9M0.55%
26INVESCO LTD ORD SHSIVZ285,131$5.1M0.48%
27PFIZER INC COMPFE69,850$3.6M0.33%
28OTIS WORLDWIDE CORPOTIS40,050$3.1M0.29%
29MICROSOFT CORPMSFT11,755$2.8M0.26%
30VESTAS WIND SYSTEMS A/SUTD UK925458101288,750$2.8M0.26%
31BRISTOL MYERS SQUIBB COCELG-RI35,950$2.6M0.24%
32INTERNATIONAL BUSINESS MACHSINTR16,600$2.3M0.22%
33COCA COLA COKO36,600$2.3M0.22%
34PROCTER & GAMBLE CO74271810915,345$2.3M0.22%
35KKR & CO INC CL AKKRT49,130$2.3M0.21%
36EXXON MOBIL CORPXOM20,000$2.2M0.21%
37PEAPACK-GLADSTONE FINL CORP70469910755,000$2.0M0.19%
38ISHARES SILVER TR ISHARESSLV88,600$2.0M0.18%
39CARRIER GLOBAL CORPCARR46,767$1.9M0.18%
40MORGAN STANLEY COM NEWMS-PQ22,000$1.9M0.17%
41INTEL CORPINTC65,450$1.7M0.16%
42ORGANON & COOGN61,653$1.7M0.16%
43EMBECTA CORPEMBC65,826$1.7M0.15%
44HALLIBURTON CORPHAL40,000$1.6M0.15%
45ALLIANCEBERNSTEIN HLDG LP01881G10644,850$1.5M0.14%
46JPMORGAN CHASE &COVYLD11,110$1.5M0.14%
47BROWN & BROWN INCBRO21,000$1.2M0.11%
48SEALED AIR CORPSE22,300$1.1M0.10%
49INTERNATIONAL FLAVORS&FRAGRA45950610110,000$1.0M0.10%
50GENERAL ELECTRIC COGE10,437$874,5160.08%
51HP INC.HPQ30,000$806,1000.07%
52NOVO NORDISKNONOF5,500$744,3700.07%
53FRESENIUS MED CARE AKTIENGESELLSCHAFTFMCQF43,500$710,7900.07%
54FASTENAL COFAST14,790$699,8630.07%
55HEWLETT PACKARD ENTERPRISEHPE-PC30,000$478,8000.04%
56KYNDRYL HLDGS INCKD35,160$390,9790.04%
57LILLY ELI & COLLY1,000$365,8400.03%
58BAXTER INTL INC0718131096,500$331,3050.03%
59MOVADO GROUP INCMOVAA10,000$322,5000.03%
60LINDBALD EXPEDITIONS HLDGS INCLIND40,000$308,0000.03%
61CREDIT SUISSE GROUP22540110895,000$288,8000.03%
62CISCO SYS INCCSCO6,000$285,8400.03%
63FORD MTR CO DEL34537086020,000$232,6000.02%
64TECH PRECISION CORP87873910198,750$204,4130.02%
65IDEXX LABS INC45168D104500$203,9800.02%
66AT&T INCT-PC10,000$184,1000.02%
67WATERS CORP.941848103500$171,2900.02%
68TJX COS. INC.8725401092,000$159,2000.01%
69MASTERCARD INC. CL A.MA300$104,3190.01%
70VIATRIS INCVTRS8,664$96,4300.01%
71DENSPLY SIRONA INCXRAY3,000$95,5200.01%
72BLUE RIDGE REAL ESTATE CO.09600530110,000$92,5000.01%
73TEVA PHARMACEUTICAL IND.88162420910,000$91,2000.01%
74MCDERMOTT INTL LTDG5924V106150,000$48,0000.00%
75GALAPAGOS NV SPONS ADRGLPGF1,000$44,3800.00%
76HOME DEPOT INCHD100$31,5860.00%
77WARBER BROS DISCOVERY INCWBD2,419$22,9320.00%
78PRECIGEN INCSPGEN7,500$11,4000.00%
79HISCOX LTD SHSISIN#BMG4593F1041G4593F104282$3,6950.00%