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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

Cohen Capital Management, Inc.

Quarter ended Q4 2023 · Filed November 7, 2023 · Accession 0001508120-23-000004

Total Value
$488.3M
Positions
134
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (134)

#IssuerTicker / CUSIPSharesValue% of Filing
1THERMO FISHER SCIENTIFIC INC COMTMO56,757$28.7M5.88%
2UNITEDHEALTH GROUP INC COMUNH49,914$25.2M5.15%
3STRYKER CORPORATION COMSYK84,997$23.2M4.76%
4MICROSOFT CORP COMMSFT72,229$22.8M4.67%
5APPLIED MATLS INC COM038222105155,263$21.5M4.40%
6PEPSICO INC COMPEP89,521$15.2M3.11%
7SCHWAB CHARLES CORP COMSCHW-PJ228,820$12.6M2.57%
8JPMORGAN CHASE & CO COMVYLD86,553$12.6M2.57%
9DEERE & CO COMDE33,242$12.5M2.57%
10CISCO SYS INC COMCSCO217,466$11.7M2.39%
11CONSTELLATION BRANDS INC CL ASTZ45,131$11.3M2.32%
12PROCTER AND GAMBLE CO COM74271810970,728$10.3M2.11%
13ENTERPRISE PRODS PARTNERS L P COM293792107368,681$10.1M2.07%
14AMAZON COM INC COMAMZN70,595$9.0M1.84%
15ALPHABET INC CAP STK CL AGOOG68,000$8.9M1.82%
16CSX CORP COMCSX277,276$8.5M1.75%
17ORACLE CORP COMORCL-PD80,283$8.5M1.74%
18VISA INC COM CL AV35,935$8.3M1.69%
19NOVARTIS AG SPONSORED ADRNVSEF80,148$8.2M1.67%
20CVS HEALTH CORP COMCVS116,401$8.1M1.66%
21MARRIOTT INTL INC NEW CL A57190320238,623$7.6M1.55%
22POST HLDGS INC COMPOST81,123$7.0M1.42%
23INTERNATIONAL BUSINESS MACHS COMINTR47,641$6.7M1.37%
24JOHNSON & JOHNSON COMJNJ42,030$6.5M1.34%
25NEXTERA ENERGY INC COMNEE-PW100,294$5.7M1.18%
26BERRY GLOBAL GROUP INC COM08579W10389,923$5.6M1.14%
27SALESFORCE INC COMCRM24,359$4.9M1.01%
28RTX CORPORATION COMRTX65,046$4.7M0.96%
29BAIDU INC SPON ADR REP ABAIDF33,766$4.5M0.93%
303M CO COMMMM46,802$4.4M0.90%
31UNION PAC CORP COMUNP21,502$4.4M0.90%
32BELLRING BRANDS INC COMMON STOCKBRBR105,234$4.3M0.89%
33SIMPLY GOOD FOODS CO COMSMPL114,948$4.0M0.81%
34ZIMMER BIOMET HOLDINGS INC COMZBH34,059$3.8M0.78%
35ENERGY TRANSFER L P COM UT LTD PTNET-PI271,704$3.8M0.78%
36OTIS WORLDWIDE CORP COMOTIS47,394$3.8M0.78%
37COSTCO WHSL CORP NEW COM22160K1056,362$3.6M0.74%
38CARRIER GLOBAL CORPORATION COMCARR63,834$3.5M0.72%
39PPG INDS INC COM69350610727,070$3.5M0.72%
40INVESCO QQQ TRUST SERIES IIVZ9,772$3.5M0.72%
41SPDR S&P 500 ETF TRUSTSPY7,903$3.4M0.69%
42DARDEN RESTAURANTS INC COMDRI22,107$3.2M0.65%
43WP CAREY INC COM92936U10954,535$2.9M0.60%
44MATCH GROUP INC NEW COMMTCH74,847$2.9M0.60%
45LABORATORY CORP AMER HLDGS COM NEW50540R40914,344$2.9M0.59%
46PAPA JOHNS INTL INC COM69881310241,965$2.9M0.59%
47CHEVRON CORP NEW COMCVX16,908$2.9M0.58%
48COUPANG INC CL ACPNG165,945$2.8M0.58%
49FEDEX CORP COMFDX10,232$2.7M0.56%
50DUKE ENERGY CORP NEW COM NEWDUKB30,133$2.7M0.54%
51MASTERCARD INCORPORATED CL AMA6,700$2.7M0.54%
52LAS VEGAS SANDS CORP COMLVS57,426$2.6M0.54%
53ALIBABA GROUP HLDG LTD SPONSORED ADSBBAAY28,408$2.5M0.50%
54MEDTRONIC PLC SHSMDT29,552$2.3M0.47%
55WILLIAMS COS INC COM96945710068,697$2.3M0.47%
56WEYERHAEUSER CO MTN BE COM NEWWY73,840$2.3M0.46%
57EDISON INTERNATIONAL28102010735,583$2.3M0.46%
58PFIZER INC COMPFE67,021$2.2M0.46%
59INTUIT COMINTU4,340$2.2M0.45%
60ISHARES CORE S&P 500 ETF4642872005,016$2.2M0.44%
61KENVUE INC COMKVUE103,091$2.1M0.42%
62META PLATFORMS INC CL AMETA6,808$2.0M0.42%
63ZOETIS INC CL AZTS11,375$2.0M0.41%
64YUM BRANDS INC COMYUM15,000$1.9M0.38%
65ONEOK INC NEW COMOKE29,400$1.9M0.38%
66CONAGRA BRANDS INC COMCAG65,141$1.8M0.37%
67APPLE INC COMAAPL9,837$1.7M0.34%
68INTEL CORP COMINTC46,967$1.7M0.34%
69SHELL PLC SPON ADSRYDAF25,700$1.7M0.34%
70PAYPAL HLDGS INC COMPYPL28,108$1.6M0.34%
71BANK NEW YORK MELLON CORP COM06405810037,736$1.6M0.33%
72ELANCO ANIMAL HEALTH INC COMELAN140,686$1.6M0.32%
73FORTREA HLDGS INC COMMON STOCKFTRE53,679$1.5M0.31%
74ABBVIE INC COMABBV10,028$1.5M0.31%
75ALPHABET INC CAP STK CL CGOOG11,320$1.5M0.31%
76ISHARES RUSSELL 3000 ETF4642876896,087$1.5M0.31%
77PLAINS ALL AMERN PIPELINE L P UNIT LTD PARTN72650310595,397$1.5M0.30%
78GOLDMAN SACHS BDC INC SHSGSBD89,688$1.3M0.27%
79SOUTHERN CO COMSOMN19,000$1.2M0.25%
80TARGET CORP COMTGT10,813$1.2M0.24%
81EXXON MOBIL CORP COMXOM9,850$1.2M0.24%
82YUM CHINA HLDGS INC COMYUMC19,950$1.1M0.23%
83VENTAS INC COMVTR24,923$1.1M0.22%
84THE BEAUTY HEALTH COMPANY COM CL A88331L108167,318$1.0M0.21%
85ABBOTT LABS COMABLZF10,038$972,1800.20%
86PAGSEGURO DIGITAL LTD COM CL APAGS109,865$945,9380.19%
87APPLOVIN CORP COM CL AAPP23,488$938,5800.19%
88MODERNA INC COMMRNA9,000$929,6100.19%
89ADOBE INC COMADBE1,808$921,8990.19%
90EMERSON ELEC CO COMEMR9,288$896,9420.18%
91BURLINGTON STORES INC COMBURL6,387$864,1610.18%
92BRISTOL-MYERS SQUIBB CO COMCELG-RI14,390$835,1960.17%
93ISHARES CORE MSCI EMERGING MARKETS ETF46434G10317,220$819,5000.17%
94LINDE PLC SHSLIN1,850$688,8480.14%
95CHARTER COMMUNICATIONS INC NEW CL A16119P1081,566$688,7580.14%
96GENERAL ELECTRIC CO COM NEW3696043016,131$677,7820.14%
97UNITED PARCEL SERVICE INC CL BUPS4,250$662,4480.14%
98WYNN RESORTS LTD COMWYNN7,087$654,9100.13%
99HONEYWELL INTL INC COM4385161063,350$618,8790.13%
100MERCK & CO INC COMMRK5,967$614,3030.13%
101VANGUARD FTSE EMERGING MARKETS ETF92204285815,354$602,0180.12%
102SEMPRA COMSREA8,800$598,6640.12%
103SCHLUMBERGER LTD COM STKSLB9,940$579,5020.12%
104KLA CORP COM NEWKLAC1,250$573,3250.12%
105CANADIAN PACIFIC KANSAS CITY COMCP7,500$558,0750.11%
106AMGEN INC COMAMGN1,994$535,9070.11%
107BERKSHIRE HATHAWAY INC DEL CL ABRK-A1$531,4770.11%
108COMCAST CORP NEW CL ACCZ11,810$523,6550.11%
109NISOURCE INC COMNI21,200$523,2160.11%
110MDU RES GROUP INC COM55269010926,324$515,4240.11%
111ISHARES RUSSELL MID-CAP GROWTH ETF4642874815,074$463,4800.09%
112BERKSHIRE HATHAWAY INC DEL CL B NEWBRK-A1,294$453,2880.09%
113TJX COS INC NEW COM8725401095,096$452,9320.09%
114LOWES COS INC COM5486611072,000$415,6800.09%
115COOPER COS INC COM NEW2166484021,300$413,4130.08%
116CME GROUP INC COMCME1,800$360,3960.07%
117NUSTAR ENERGY LP UNIT COMNU20,527$357,9910.07%
118FERROGLOBE PLC SHSGSM68,567$356,5480.07%
119ISHARES RUSSELL MID-CAP VALUE ETF4642874733,322$346,6350.07%
120WELLS FARGO CO NEW COM9497461018,274$338,0760.07%
121KNIFE RIVER CORP COMMON STOCKKNF6,580$321,3010.07%
122ISHARES EUROPE ETF4642878616,507$310,5980.06%
123BCE INC COM NEWBCPPF7,403$282,7950.06%
124BP PLC SPONSORED ADRBPPFF6,562$254,0810.05%
125BIO RAD LABS INC CL A090572207660$236,5770.05%
126BOSTON SCIENTIFIC CORP COMBSX4,400$232,3200.05%
127PHILIP MORRIS INTL INC COM7181721092,500$231,4500.05%
128DISNEY WALT CO COM2546871062,830$229,3720.05%
129BAXTER INTL INC COM0718131096,000$226,4400.05%
130BLACKROCK INC COMBLK330$213,3420.04%
131BHP GROUP LTD SPONSORED ADSBHPLF3,552$202,0380.04%
132STATE STR CORP COMSTT-PG3,000$200,8800.04%
133LYFT INC CL A COMLYFT17,829$187,9180.04%
134AT&T INC COMT-PC11,450$171,9790.04%