Granite Fo 13F annual report

Granite Fo is an investment fund managing more than $156 billion ran by Greg Reidy. There are currently 35 companies in Mr. Reidy’s portfolio. The largest investments include Spdr S&p 500 Etf Tr and Vanguard Specialized Funds, together worth $54.4 billion.

$156 billion Assets Under Management (AUM)

As of 29th August 2024, Granite Fo’s top holding is 55,575 shares of Spdr S&p 500 Etf Tr currently worth over $30.2 billion and making up 19.3% of the portfolio value. In addition, the fund holds 132,196 shares of Vanguard Specialized Funds worth $24.1 billion. The third-largest holding is Berkshire Hathaway worth $29.7 billion and the next is Vanguard Whitehall Fds worth $9.51 billion, with 80,219 shares owned.

Currently, Granite Fo's portfolio is worth at least $156 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 Granite Fo

The Granite Fo office and employees reside in Bedford, New Hampshire. According to the last 13-F report filed with the SEC, Greg Reidy serves as the Chief Investment Officer at Granite Fo.

Recent trades

In the most recent 13F filing, Granite Fo revealed that it had increased its stake in Vanguard Whitehall Fds and bought 1,485 additional shares worth around .

On the other hand, there are companies that Granite Fo is getting rid of from its portfolio. Granite Fo closed its position in United Parcel Service on 5th September 2024. It sold the previously owned 1,887 shares for $240 million. Greg Reidy also disclosed a decreased stake in Spdr S&p 500 Etf Tr by approximately 0.1%. This leaves the value of the investment at $30.2 billion and 55,575 shares.

One of the smallest hedge funds

The two most similar investment funds to Granite Fo are General Partner and R.h. Dinel Investment Counsel. They manage $157 billion and $156 billion respectively.


Greg Reidy investment strategy

Granite Fo’s portfolio is diversified across 8 sectors. Currently, their heaviest sector is Finance — making up 23.4% of the total portfolio value. The fund focuses on investments in the United States as 51.4% 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 46% of the total holdings value. On the other hand, small-cap stocks make up only 2.9% of the portfolio. The average market cap of the portfolio companies is close to $463 billion.

The complete list of Granite Fo trades based on 13F SEC filings

These positions were updated on September 5th 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
Spdr S&p 500 Etf Tr
0.02%
55,575
$30,244,814,000 19.33%
Vanguard Specialized Funds
0.09%
132,196
$24,132,350,000 15.42%
Berkshire Hathaway Inc.
No change
20,315
$29,678,339,000 18.97%
Vanguard Whitehall Fds
1.89%
80,219
$9,513,943,000 6.08%
Golub Cap Bdc Inc
12.38%
517,654
$8,132,344,000 5.20%
Spdr S&p Midcap 400 Etf Tr
0.61%
14,641
$7,834,106,000 5.01%
Ares Capital Corp
34.47%
237,965
$4,959,191,000 3.17%
Blue Owl Capital Inc
7.51%
220,731
$3,917,970,000 2.50%
Ishares Tr
0.74%
91,961
$10,878,965,000 6.95%
Amazon.com Inc.
0.21%
18,250
$3,526,813,000 2.25%
Apple Inc
No change
9,219
$1,941,706,000 1.24%
Vanguard Index Fds
No change
23,798
$4,660,575,000 2.98%
Ishares Inc
1.31%
17,084
$1,787,617,000 1.14%
Microsoft Corporation
0.68%
3,820
$1,707,349,000 1.09%
Blue Owl Capital Corporation
No change
79,800
$1,225,728,000 0.78%
Eli Lilly & Co
No change
1,250
$1,131,725,000 0.72%
Select Sector Spdr Tr
2.79%
34,471
$1,844,995,000 1.18%
Ares Management Corp
No change
7,705
$1,026,922,000 0.66%
Alphabet Inc
0.60%
8,170
$1,495,024,000 0.96%
Regeneron Pharmaceuticals, Inc.
0.35%
850
$893,376,000 0.57%
Pfizer Inc.
No change
22,327
$624,709,000 0.40%
Spdr Gold Tr
No change
2,800
$602,028,000 0.38%
Walmart Inc
No change
8,289
$561,248,000 0.36%
Vanguard Intl Equity Index F
No change
7,810
$521,474,000 0.33%
JPMorgan Chase & Co.
No change
2,238
$452,658,000 0.29%
Johnson & Johnson
No change
2,582
$377,385,000 0.24%
Procter And Gamble Co
0.71%
2,248
$370,740,000 0.24%
Spdr Dow Jones Indl Average
No change
855
$334,416,000 0.21%
Spdr Ser Tr
No change
6,956
$550,776,000 0.35%
Exxon Mobil Corp.
No change
2,578
$296,779,000 0.19%
Merck & Co Inc
78.48%
2,356
$291,673,000 0.19%
Marsh & McLennan Cos., Inc.
No change
1,200
$252,864,000 0.16%
Home Depot, Inc.
No change
724
$249,230,000 0.16%
United Parcel Service, Inc.
Closed
1,887
$240,008,000
Caterpillar Inc.
No change
685
$228,174,000 0.15%
KKR & Co. Inc
No change
2,000
$210,480,000 0.13%
Philip Morris International Inc
Closed
1,700
$208,369,000
Vanguard Index Fds
Closed
1,758
$340,402,000
Vanguard Bd Index Fds
Closed
2,630
$205,734,000
Ishares Tr
Closed
6,376
$856,391,000
Boston Scientific Corp.
Closed
2,400
$190,848,000
United Bankshares Inc West V
Closed
4,619
$178,478,000
Ishares Gold Tr
Closed
3,565
$168,910,000
Waste Mgmt Inc Del
Closed
770
$161,169,000
Boeing Co.
Closed
884
$150,907,000
Louisiana Pac Corp
Closed
1,500
$145,080,000
Bristol-Myers Squibb Co.
Closed
2,596
$127,360,000
CVS Health Corp
Closed
2,120
$121,349,000
St. Joe Co.
Closed
2,000
$116,960,000
RPM International, Inc.
Closed
1,023
$116,376,000
Apollo Global Mgmt Inc
Closed
950
$107,721,000
Comcast Corp New
Closed
2,665
$106,413,000
Qualcomm, Inc.
Closed
600
$103,110,000
Intel Corp.
Closed
5,253
$103,012,000
Edison Intl
Closed
1,000
$85,000,000
International Business Machs
Closed
428
$84,941,000
Canadian Pacific Kansas City
Closed
1,000
$82,726,000
Novo-nordisk A S
Closed
590
$79,344,000
Kratos Defense & Sec Solutio
Closed
3,500
$78,820,000
Alibaba Group Hldg Ltd
Closed
976
$77,709,000
Uber Technologies Inc
Closed
1,055
$75,802,000
MetLife, Inc.
Closed
1,000
$75,750,000
Wisdomtree Tr
Closed
700
$73,668,000
Chubb Limited
Closed
260
$72,465,000
GE Aerospace
Closed
421
$72,357,000
Altria Group Inc.
Closed
1,302
$69,292,000
Eversource Energy
Closed
1,000
$67,040,000
Select Sector Spdr Tr
Closed
625
$69,993,000
Rxsight Inc
Closed
1,078
$58,686,000
Chevron Corp.
Closed
400
$58,400,000
Ford Mtr Co Del
Closed
5,000
$55,200,000
Abbott Labs
Closed
425
$47,983,000
NVIDIA Corp
Closed
350
$43,964,000
Emerson Elec Co
Closed
337
$35,018,000
Tko Group Holdings Inc
Closed
293
$34,457,000
Halliburton Co.
Closed
1,000
$31,000,000
Bank America Corp
Closed
772
$30,841,000
American Intl Group Inc
Closed
385
$29,075,000
PG&E Corp.
Closed
1,500
$28,380,000
American Express Co.
Closed
104
$26,737,000
Salesforce Inc
Closed
103
$26,667,000
CRH Plc
Closed
300
$26,316,000
Ishares Silver Tr
Closed
950
$25,356,000
Alti Global Inc
Closed
5,000
$20,600,000
Ge Vernova Inc
Closed
104
$19,136,000
Kimberly-Clark Corp.
Closed
126
$18,126,000
Blackrock Inc.
Closed
20
$17,773,000
Coca-Cola Co
Closed
237
$17,005,000
Vanguard Charlotte Fds
Closed
322
$16,045,000
Honeywell International Inc
Closed
63
$12,915,000
Meta Platforms Inc
Closed
18
$9,302,000
Becton Dickinson & Co.
Closed
34
$8,123,000
Zoetis Inc
Closed
44
$8,048,000
Baxter International Inc.
Closed
211
$7,980,000
Tesla Inc
Closed
37
$7,613,000
Netflix Inc.
Closed
10
$6,838,000
Autodesk Inc.
Closed
25
$6,366,000
Visa Inc
Closed
23
$6,191,000
AT&T Inc.
Closed
312
$6,184,000
Wells Fargo Co New
Closed
108
$6,164,000
Oracle Corp.
Closed
42
$5,791,000
Lockheed Martin Corp.
Closed
10
$5,640,000
Duke Energy Corp.
Closed
50
$5,635,000
Otis Worldwide Corporation
Closed
57
$5,324,000
Parker-Hannifin Corp.
Closed
9
$5,292,000
Abbvie Inc
Closed
27
$5,276,000
Lennar Corp.
Closed
25
$4,532,000
Ameriprise Finl Inc
Closed
9
$3,955,000
Adobe Inc
Closed
7
$3,924,000
Vertex Pharmaceuticals, Inc.
Closed
8
$3,918,000
Vanguard Whitehall Fds
Closed
58
$3,789,000
RTX Corp
Closed
31
$3,746,000
Corteva Inc
Closed
66
$3,696,000
AMGEN Inc.
Closed
10
$3,295,000
Verizon Communications Inc
Closed
77
$3,195,000
Capital One Finl Corp
Closed
22
$3,171,000
Ansys Inc.
Closed
10
$3,156,000
Xylem Inc
Closed
23
$3,124,000
Microchip Technology, Inc.
Closed
39
$3,097,000
Sony Group Corp
Closed
32
$3,096,000
Martin Marietta Matls Inc
Closed
6
$3,085,000
Disney Walt Co
Closed
34
$3,043,000
Alcon Ag
Closed
31
$3,000,000
Ecolab, Inc.
Closed
12
$2,995,000
Atmos Energy Corp.
Closed
23
$2,969,000
Us Bancorp Del
Closed
64
$2,952,000
Danaher Corp.
Closed
11
$2,927,000
TotalEnergies SE
Closed
39
$2,711,000
General Dynamics Corp.
Closed
9
$2,670,000
Monster Beverage Corp.
Closed
56
$2,635,000
American Wtr Wks Co Inc New
Closed
18
$2,552,000
Pnc Finl Svcs Group Inc
Closed
14
$2,545,000
Blackstone Inc
Closed
18
$2,521,000
Lauder Estee Cos Inc
Closed
27
$2,495,000
Lowes Cos Inc
Closed
10
$2,489,000
Shopify Inc
Closed
33
$2,393,000
Xcel Energy Inc.
Closed
39
$2,367,000
Equity Lifestyle Pptys Inc
Closed
32
$2,283,000
Coterra Energy Inc
Closed
92
$2,213,000
Starbucks Corp.
Closed
23
$2,192,000
Teledyne Technologies Inc
Closed
5
$2,127,000
DuPont de Nemours Inc
Closed
25
$2,063,000
Medtronic Plc
Closed
23
$2,032,000
Mitsubishi Ufj Finl Group In
Closed
186
$1,934,000
Intuitive Surgical Inc
Closed
4
$1,929,000
Constellation Brands Inc
Closed
8
$1,923,000
Cullen Frost Bankers Inc.
Closed
17
$1,913,000
Thermo Fisher Scientific Inc.
Closed
3
$1,839,000
Expeditors Intl Wash Inc
Closed
14
$1,716,000
Oshkosh Corp
Closed
16
$1,697,000
Novartis AG
Closed
14
$1,680,000
Factset Resh Sys Inc
Closed
4
$1,653,000
Woori Finl Group Inc
Closed
43
$1,565,000
Commerce Bancshares, Inc.
Closed
24
$1,524,000
Illumina Inc
Closed
11
$1,449,000
J P Morgan Exchange Traded F
Closed
46
$2,733,000
Sei Invts Co
Closed
21
$1,413,000
Nike, Inc.
Closed
17
$1,407,000
Yum Brands Inc.
Closed
10
$1,357,000
Workday Inc
Closed
5
$1,302,000
Ge Healthcare Technologies I
Closed
15
$1,259,000
PayPal Holdings Inc
Closed
16
$1,127,000
Block Inc
Closed
17
$1,100,000
Deere & Co.
Closed
2
$756,000
Warner Bros.Discovery Inc
Closed
75
$598,000
Yum China Holdings Inc
Closed
11
$365,000
Embecta Corp
Closed
6
$92,000
Grail Inc
Closed
1
$15,000
No transactions found
Showing first 500 out of 168 holdings