Gilbert & Cook 13F annual report

Gilbert & Cook is an investment fund managing more than $683 billion ran by Andy Armstrong. There are currently 183 companies in Mr. Armstrong’s portfolio. The largest investments include Ishares Tr and Vanguard Tax-managed Fds, together worth $400 billion.

Limited to 30 biggest holdings

$683 billion Assets Under Management (AUM)

As of 25th July 2024, Gilbert & Cook’s top holding is 2,027,221 shares of Ishares Tr currently worth over $334 billion and making up 48.9% of the portfolio value. In addition, the fund holds 1,347,243 shares of Vanguard Tax-managed Fds worth $66.6 billion. The third-largest holding is Vanguard Bd Index Fds worth $57.5 billion and the next is Ares Capital Corp worth $29.6 billion, with 1,419,627 shares owned.

Currently, Gilbert & Cook's portfolio is worth at least $683 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 Gilbert & Cook

The Gilbert & Cook office and employees reside in West Des Moines, Iowa. According to the last 13-F report filed with the SEC, Andy Armstrong serves as the Compliance Officer at Gilbert & Cook.

Recent trades

In the most recent 13F filing, Gilbert & Cook revealed that it had opened a new position in L3Harris Technologies Inc and bought 2,421 shares worth $544 million. This means they effectively own approximately 0.1% of the company. L3Harris Technologies Inc makes up 1.7% of the fund's Technology sector allocation and has grown its share price by 20.9% in the past year.

The investment fund also strengthened its position in Vanguard Bd Index Fds by buying 10,587 additional shares. This makes their stake in Vanguard Bd Index Fds total 798,633 shares worth $57.5 billion.

On the other hand, there are companies that Gilbert & Cook is getting rid of from its portfolio. Gilbert & Cook closed its position in Schwab Strategic Tr on 1st August 2024. It sold the previously owned 23,841 shares for $1.24 billion. Andy Armstrong also disclosed a decreased stake in Ishares Tr by approximately 0.1%. This leaves the value of the investment at $334 billion and 2,027,221 shares.

One of the average hedge funds

The two most similar investment funds to Gilbert & Cook are Arbor Investment Advisors and Avitas Wealth Management. They manage $683 billion and $683 billion respectively.


Andy Armstrong investment strategy

Gilbert & Cook’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Finance — making up 6.5% of the total portfolio value. The fund focuses on investments in the United States as 58.5% 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 2.7% of the portfolio. The average market cap of the portfolio companies is close to $150 billion.

The complete list of Gilbert & Cook trades based on 13F SEC filings

These positions were updated on August 1st 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
Ishares Tr
9.25%
2,027,221
$333,847,881,000 48.86%
Vanguard Tax-managed Fds
4.76%
1,347,243
$66,580,765,000 9.74%
Vanguard Bd Index Fds
1.34%
798,633
$57,541,543,000 8.42%
Ares Capital Corp
1.06%
1,419,627
$29,585,030,000 4.33%
Vanguard Index Fds
38.51%
140,662
$22,206,221,000 3.25%
NVIDIA Corp
814.74%
72,566
$8,964,810,000 1.31%
United Parcel Service, Inc.
1.18%
60,708
$8,307,844,000 1.22%
Apple Inc
22.79%
37,612
$7,921,820,000 1.16%
Alphabet Inc
11.04%
32,946
$6,043,026,000 0.88%
Amazon.com Inc.
2.71%
28,523
$5,512,066,000 0.81%
Microsoft Corporation
3.48%
12,264
$5,481,475,000 0.80%
Spdr S&p 500 Etf Tr
4.14%
5,861
$3,189,547,000 0.47%
Chipotle Mexican Grill
4,447.24%
46,973
$2,942,858,000 0.43%
Exxon Mobil Corp.
5.97%
24,038
$2,767,298,000 0.40%
Berkshire Hathaway Inc.
No change
6,220
$2,530,296,000 0.37%
Tesla Inc
9.95%
12,756
$2,524,156,000 0.37%
Procter And Gamble Co
13.07%
14,309
$2,359,840,000 0.35%
Fs Credit Opportunities Corp
0.01%
344,626
$2,195,268,000 0.32%
JPMorgan Chase & Co.
7.21%
10,663
$2,156,799,000 0.32%
Regeneron Pharmaceuticals, Inc.
9.42%
1,750
$1,839,303,000 0.27%
Netflix Inc.
9.11%
2,643
$1,783,708,000 0.26%
Walmart Inc
5.85%
25,000
$1,692,757,000 0.25%
Eli Lilly & Co
No change
1,757
$1,590,535,000 0.23%
Salesforce Inc
9.23%
5,927
$1,523,917,000 0.22%
Conocophillips
6.60%
12,553
$1,435,810,000 0.21%
Vanguard Intl Equity Index F
3.68%
39,477
$1,836,178,000 0.27%
Intuitive Surgical Inc
8.79%
3,164
$1,407,505,000 0.21%
Abbvie Inc
7.02%
8,061
$1,382,573,000 0.20%
Transdigm Group Incorporated
17.04%
1,081
$1,381,096,000 0.20%
Home Depot, Inc.
7.08%
3,961
$1,363,535,000 0.20%
Texas Pacific Land Corporati
No change
1,848
$1,356,931,000 0.20%
Chevron Corp.
18.57%
8,430
$1,318,548,000 0.19%
Okta Inc
9.11%
14,030
$1,313,317,000 0.19%
Copart, Inc.
14.47%
23,887
$1,293,720,000 0.19%
Heico Corp.
14.20%
7,214
$1,280,629,000 0.19%
Mastercard Incorporated
9.15%
2,890
$1,274,952,000 0.19%
Gallagher Arthur J & Co
8.41%
4,910
$1,273,212,000 0.19%
Schwab Strategic Tr
Closed
23,841
$1,243,547,000
Brookfield Corp
12.96%
29,891
$1,241,672,000 0.18%
Johnson & Johnson
7.72%
8,286
$1,211,096,000 0.18%
Merck & Co Inc
7.14%
9,772
$1,209,774,000 0.18%
KKR & Co. Inc
13.35%
11,462
$1,206,261,000 0.18%
Constellation Brands Inc
9.14%
4,683
$1,204,928,000 0.18%
Broadcom Inc
8.98%
750
$1,204,148,000 0.18%
Monolithic Pwr Sys Inc
9.67%
1,458
$1,198,009,000 0.18%
Caterpillar Inc.
29.70%
3,570
$1,189,219,000 0.17%
Oreilly Automotive Inc
11.20%
1,086
$1,146,881,000 0.17%
Hilton Worldwide Holdings Inc
13.38%
5,217
$1,138,349,000 0.17%
Prudential Finl Inc
7.80%
9,402
$1,101,820,000 0.16%
Schwab Strategic Tr
1.74%
36,789
$2,389,601,000 0.35%
HubSpot Inc
9.48%
1,804
$1,063,981,000 0.16%
Philip Morris International Inc
6.95%
10,155
$1,029,041,000 0.15%
Cadence Design System Inc
8.92%
3,339
$1,027,577,000 0.15%
Parker-Hannifin Corp.
97.76%
2,031
$1,027,300,000 0.15%
Cisco Sys Inc
7.48%
21,566
$1,024,601,000 0.15%
Alnylam Pharmaceuticals Inc
9.45%
4,061
$986,823,000 0.14%
Blackrock Inc.
8.70%
1,239
$975,489,000 0.14%
Mcdonalds Corp
7.43%
3,810
$970,925,000 0.14%
Qualcomm, Inc.
8.63%
4,756
$947,300,000 0.14%
Verizon Communications Inc
4.23%
22,957
$946,751,000 0.14%
Applied Matls Inc
6.46%
3,969
$936,550,000 0.14%
Pepsico Inc
6.88%
5,602
$923,945,000 0.14%
Roper Technologies Inc
9.34%
1,631
$919,329,000 0.13%
Wells Fargo Co New
No change
15,337
$910,861,000 0.13%
Brown & Brown, Inc.
11.44%
9,958
$890,345,000 0.13%
MetLife, Inc.
8.64%
12,607
$884,885,000 0.13%
Coca-Cola Co
12.04%
13,820
$879,668,000 0.13%
Ishares Inc
No change
14,650
$867,280,000 0.13%
Costar Group, Inc.
12.03%
11,525
$854,464,000 0.13%
Vulcan Matls Co
11.20%
3,408
$847,501,000 0.12%
The Southern Co.
7.29%
10,378
$805,021,000 0.12%
Argenx Se
9.14%
1,829
$786,543,000 0.12%
Blue Owl Cap Corp Iii
241.06%
51,077
$764,623,000 0.11%
Verisk Analytics Inc
14.20%
2,833
$763,635,000 0.11%
Martin Marietta Matls Inc
6.26%
1,302
$705,343,000 0.10%
Markel Group Inc
13.56%
440
$693,290,000 0.10%
AT&T Inc.
2.06%
35,971
$687,406,000 0.10%
Pfizer Inc.
7.35%
24,543
$686,713,000 0.10%
Cactus Inc
7.84%
12,917
$681,243,000 0.10%
General Dynamics Corp.
7.94%
2,306
$669,063,000 0.10%
Fifth Third Bancorp
7.55%
18,152
$662,366,000 0.10%
Block Inc
4.20%
10,053
$648,318,000 0.09%
Dominos Pizza Inc
12.83%
1,250
$645,413,000 0.09%
Abbott Labs
8.08%
6,135
$637,495,000 0.09%
Bank America Corp
7.75%
16,024
$637,264,000 0.09%
International Business Machs
6.54%
3,614
$625,041,000 0.09%
Spdr Index Shs Fds
1.60%
16,533
$622,798,000 0.09%
Dow Inc
8.14%
11,618
$616,335,000 0.09%
Tyler Technologies, Inc.
15.28%
1,225
$615,906,000 0.09%
Keysight Technologies Inc
Closed
3,905
$610,664,000
Brookfield Infrastructure Corporation
3.47%
18,072
$608,304,000 0.09%
VanEck ETF Trust
15.09%
6,973
$603,932,000 0.09%
Comcast Corp New
2.52%
14,985
$586,813,000 0.09%
Kinder Morgan Inc
8.30%
29,486
$585,887,000 0.09%
CSX Corp.
8.30%
17,349
$580,324,000 0.08%
Us Bancorp Del
8.38%
14,338
$569,231,000 0.08%
Gartner, Inc.
9.97%
1,264
$567,612,000 0.08%
Principal Financial Group In
0.10%
7,210
$565,654,000 0.08%
Prologis Inc
8.16%
5,029
$564,844,000 0.08%
Altria Group Inc.
5.73%
12,147
$553,296,000 0.08%
Lockheed Martin Corp.
8.33%
1,167
$545,150,000 0.08%
Vanguard Scottsdale Fds
12.34%
14,509
$778,771,000 0.11%
L3Harris Technologies Inc
Opened
2,421
$543,708,000 0.08%
Spdr Ser Tr
12.86%
17,527
$904,808,000 0.13%
Live Nation Entertainment In
11.54%
5,627
$527,475,000 0.08%
Lennar Corp.
11.63%
3,510
$526,044,000 0.08%
Arch Cap Group Ltd
11.34%
5,122
$516,759,000 0.08%
Lamar Advertising Co
8.50%
4,304
$514,457,000 0.08%
3M Co.
8.20%
5,028
$513,811,000 0.08%
Bank New York Mellon Corp
8.45%
8,534
$511,101,000 0.07%
Fair Isaac Corp.
9.02%
333
$495,724,000 0.07%
Caseys Gen Stores Inc
No change
1,296
$494,369,000 0.07%
Public Svc Enterprise Grp In
8.24%
6,692
$493,200,000 0.07%
Wabtec
53.86%
3,099
$489,797,000 0.07%
Ishares Tr
Closed
14,289
$488,827,000
Ishares Bitcoin Tr
30.73%
14,227
$485,710,000 0.07%
Carmax Inc
11.22%
6,609
$484,704,000 0.07%
Blueprint Medicines Corp
9.32%
4,466
$481,345,000 0.07%
CBRE Group Inc
9.71%
5,391
$480,392,000 0.07%
S&P Global Inc
12.95%
1,015
$452,690,000 0.07%
Medtronic Plc
10.14%
5,740
$451,795,000 0.07%
Apollo Global Mgmt Inc
No change
3,814
$450,319,000 0.07%
Oracle Corp.
7.18%
3,167
$447,180,000 0.07%
Franklin Templeton Etf Tr
Opened
16,965
$446,010,000 0.07%
Shopify Inc
83.20%
6,685
$441,544,000 0.06%
Vanguard World Fd
9.56%
11,612
$1,212,849,000 0.18%
Deere & Co.
36.58%
1,172
$438,029,000 0.06%
Blue Owl Capital Corporation
84.31%
28,327
$435,103,000 0.06%
Progressive Corp.
25.55%
2,054
$426,636,000 0.06%
Spdr Ser Tr
Closed
6,628
$425,201,000
Pnc Finl Svcs Group Inc
8.14%
2,731
$424,616,000 0.06%
Danaher Corp.
7.27%
1,696
$423,746,000 0.06%
Microchip Technology, Inc.
12.12%
4,624
$423,096,000 0.06%
Johnson Ctls Intl Plc
8.18%
6,344
$421,686,000 0.06%
MSCI Inc
30.92%
868
$418,159,000 0.06%
Emerson Elec Co
12.35%
3,791
$417,617,000 0.06%
Automatic Data Processing In
Opened
1,744
$416,275,000 0.06%
DocuSign Inc
9.55%
7,756
$414,946,000 0.06%
Eastman Chem Co
8.72%
4,052
$396,974,000 0.06%
SBA Communications Corp
14.86%
1,999
$392,404,000 0.06%
Marsh & McLennan Cos., Inc.
No change
1,846
$388,989,000 0.06%
Jacobs Solutions Inc
Closed
2,338
$359,421,000
Dexcom Inc
8.98%
3,164
$358,734,000 0.05%
Ascendis Pharma A/S
9.09%
2,619
$357,179,000 0.05%
Costco Whsl Corp New
No change
405
$344,554,000 0.05%
Autodesk Inc.
14.88%
1,373
$339,749,000 0.05%
Boston Beer Co., Inc.
9.10%
1,109
$338,300,000 0.05%
Alliant Energy Corp.
Opened
6,618
$336,856,000 0.05%
Citigroup Inc
8.35%
5,194
$329,611,000 0.05%
American Elec Pwr Co Inc
8.06%
3,718
$326,217,000 0.05%
Paylocity Hldg Corp
9.12%
2,392
$315,385,000 0.05%
Intel Corp.
Closed
7,074
$312,475,000
Liberty Media Corp.
8.96%
4,347
$312,288,000 0.05%
Workiva Inc
Closed
3,679
$311,979,000
Fastenal Co.
20.56%
4,927
$309,613,000 0.05%
Verisign Inc.
19.64%
1,719
$305,638,000 0.04%
Wp Carey Inc
8.49%
5,543
$305,142,000 0.04%
J P Morgan Exchange Traded F
38.93%
5,367
$302,860,000 0.04%
West Bancorporation
No change
16,839
$301,418,000 0.04%
Brookfield Renewable Corporation
9.59%
10,448
$296,514,000 0.04%
Agilent Technologies Inc.
21.30%
2,228
$288,816,000 0.04%
Ford Mtr Co Del
52.36%
22,169
$277,999,000 0.04%
Fidelity National Financial Inc
8.38%
5,597
$276,604,000 0.04%
Crown Castle Inc
8.35%
2,830
$276,491,000 0.04%
Microstrategy Inc.
No change
200
$275,496,000 0.04%
Huntington Bancshares, Inc.
8.69%
20,672
$272,457,000 0.04%
Honeywell International Inc
59.96%
1,269
$270,982,000 0.04%
Hyatt Hotels Corporation
11.74%
1,782
$270,721,000 0.04%
Nike, Inc.
8.18%
3,546
$267,262,000 0.04%
DoorDash Inc
Closed
1,932
$266,075,000
Nucor Corp.
7.47%
1,597
$252,454,000 0.04%
Sherwin-Williams Co.
Closed
724
$251,467,000
Fidelity Covington Trust
13.48%
3,606
$247,372,000 0.04%
Healthpeak Properties Inc.
8.57%
12,453
$244,079,000 0.04%
Invesco Galaxy Bitcoin Etf
No change
3,986
$238,164,000 0.03%
Vail Resorts Inc.
11.44%
1,308
$235,610,000 0.03%
Unitedhealth Group Inc
No change
460
$234,429,000 0.03%
Structure Therapeutics Inc
Opened
5,830
$228,944,000 0.03%
Idexx Labs Inc
11.20%
468
$228,010,000 0.03%
Gilead Sciences, Inc.
8.08%
3,264
$223,943,000 0.03%
Aon plc.
Closed
660
$220,255,000
BILL Holdings Inc
Closed
3,175
$218,186,000
Ark Etf Tr
13.34%
4,946
$217,377,000 0.03%
Gaming & Leisure Pptys Inc
8.53%
4,753
$214,883,000 0.03%
Moodys Corp
Closed
545
$214,201,000
Disney Walt Co
Closed
1,750
$214,153,000
Citizens Finl Group Inc
7.78%
5,938
$213,946,000 0.03%
Ccc Intelligent Solutions Hl
37.12%
19,228
$213,623,000 0.03%
Rocket Lab Usa Inc
9.33%
43,937
$210,898,000 0.03%
Alphabet Inc
Opened
1,152
$209,837,000 0.03%
Vanguard Whitehall Fds
Closed
3,264
$208,406,000
RTX Corp
6.29%
2,072
$207,973,000 0.03%
Brookfield Asset Managmt Ltd
11.21%
5,395
$205,280,000 0.03%
Ishares Inc
Closed
3,030
$203,343,000
Vanguard World Fd
Closed
383
$200,908,000
Eaton Vance Ltd Duration Inc
95.74%
10,017
$97,566,000 0.01%
Dennys Corp
Closed
10,381
$93,014,000
Coya Therapeutics Inc
Opened
10,000
$60,600,000 0.01%
Omeros Corporation
No change
13,750
$55,825,000 0.01%
Gain Therapeutics Inc
Opened
10,000
$12,800,000 0.00%
No transactions found
Showing first 500 out of 200 holdings