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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

Councilmark Asset Management, LLC

Quarter ended Q2 2024 · Filed August 1, 2024 · Accession 0002022076-24-000003

Total Value
$141.1M
Positions
80
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (80)

#IssuerTicker / CUSIPSharesValue% of Filing
1Apple Inc.AAPL68,469$14.4M10.22%
2Microsoft Corp.MSFT27,813$12.4M8.81%
3Berkshire Hathaway, Inc. - ClaBRK-A18,247$7.4M5.26%
4Alphabet, Inc. - Cl AGOOG31,240$5.7M4.03%
5Home Depot, Inc.HD16,412$5.6M4.00%
6Vanguard Dividend Appreciation92190884430,820$5.6M3.99%
7McKesson Corp.MCK9,586$5.6M3.97%
8Alphabet, Inc. - Cl CGOOG23,640$4.3M3.07%
9Walmart Inc.WMT62,220$4.2M2.99%
10Oracle Corp.ORCL-PD28,580$4.0M2.86%
11Vanguard Total Stock Market ET92290876914,480$3.9M2.74%
12SPDR S&P 500 ETF TrustSPY6,245$3.4M2.41%
13Amgen, Inc.AMGN10,143$3.2M2.25%
14Accenture PLC - Cl AACN9,289$2.8M2.00%
15Johnson & JohnsonJNJ15,740$2.3M1.63%
16ConocoPhillipsCOP19,533$2.2M1.58%
17Philip Morris Int'l Inc.71817210920,698$2.1M1.49%
18Cisco Systems, Inc.CSCO44,075$2.1M1.48%
19Cameco Corp.CCJ40,635$2.0M1.42%
20AbbVie Inc.ABBV11,302$1.9M1.37%
21Progressive Corp.7433151039,137$1.9M1.34%
22The Walt Disney Co.25468710618,711$1.9M1.32%
23The Procter & Gamble Co.74271810910,705$1.8M1.25%
24Alimentation Couche-Tard Inc.01626p14828,800$1.6M1.15%
25BNY Mellon Corp.06405810026,095$1.6M1.11%
26Meta Platforms, Inc. - Cl AMETA2,998$1.5M1.07%
27Exxon Mobil Corp.XOM12,853$1.5M1.05%
28Union Pacific Corp.UNP6,498$1.5M1.04%
29Lincoln Electric Hldgs, Inc.5339001067,606$1.4M1.02%
30Labcorp HoldingsLH7,028$1.4M1.01%
31NVR, Inc.NVR175$1.3M0.94%
32Diageo, plcDGEAF10,037$1.3M0.90%
33iShares S&P 100 Index Fund4642871014,475$1.2M0.84%
34Intel Corp.INTC36,920$1.1M0.81%
35CF Industries Hldgs, Inc.12526910015,036$1.1M0.79%
36Unum GroupUNMA21,800$1.1M0.79%
37Comcast Corp. Cl ACCZ27,325$1.1M0.76%
38J.P. Morgan Chase & Co.VYLD5,242$1.1M0.75%
39The Interpublic Group of Cos.,INTR32,966$958,9810.68%
40Fomento Economico Mexicano, S.3444191068,870$954,8550.68%
41Amazon.com, Inc.AMZN4,870$941,1270.67%
42Verizon Communications, Inc.VZ19,958$823,0680.58%
43Eli Lilly & Co.LLY900$814,8420.58%
44Bank of America Corp.06050510420,333$808,6430.57%
45Select Sector SPDR - Technolog81369y8033,470$785,0180.56%
46Costco Wholesale Corp.COST905$769,2410.55%
47PepsiCo, Inc.PEP4,310$710,8480.50%
48Fair Isaac Corp.FICO455$677,3400.48%
49Coca-Cola Co.KO9,776$622,2420.44%
50Nestle SA6410694066,023$617,0560.44%
51Berkshire Hathaway, Inc. - ClaBRK-A1$612,2410.43%
52FedEx Corp.FDX2,027$607,7760.43%
53Shell PLC - ADRRYDAF7,725$557,5900.40%
54Kimberly-Clark Corp.KMB3,985$550,7270.39%
55McDonald's Corp.MCD1,980$504,5830.36%
56Select Sector SPDR - Consumer81369y4072,700$492,4800.35%
57Invesco QQQ TrustIVZ850$407,2430.29%
58Discover Financial Services2547091083,070$401,5870.28%
59Edgewell Personal Care Co.EPC9,957$400,1720.28%
60Charter Communications, Inc.CHTR1,333$398,5140.28%
61Vanguard Emerging Markets ETF9220428588,840$386,8380.27%
62Trane Technologies PLCTT1,150$378,2690.27%
63iShares MSCI EAFE Index Fund4642874654,680$366,5840.26%
64Altria Group, Inc.MO7,966$362,8510.26%
65Schlumberger Ltd.SLB7,575$357,3880.25%
66Chubb Ltd.CB1,387$353,7960.25%
67Yelp Inc.YELP9,225$340,8640.24%
68Liberty Global plc - Series CLBTYK19,095$340,8460.24%
69Select Sector SPDR - Communica81369y8523,800$325,5080.23%
70Select Sector SPDR - Industria81369y7042,650$322,9550.23%
71Manulife Financial Corp.MNUPF10,886$289,7850.21%
72Schwab U.S. Broad Market ETF8085241024,430$278,5140.20%
73iShares PHLX Semiconductor ETF4642875231,125$277,4590.20%
74Truist Financial Corp.TFC-PR6,650$258,3520.18%
75SPDR Dow Jones Industrial ETFDIA650$254,2340.18%
76Select Sector SPDR - Health Ca81369y2091,700$247,7750.18%
77Occidental Petroleum Corp.6745991053,915$246,7620.17%
78Energizer Holdings, Inc.ENR7,780$229,8210.16%
79Southern Co.SOMN2,883$223,6340.16%
80Chevron Corp.CVX1,315$205,6920.15%