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Bartlett & Co. LLC

13F
Bartlett & Co. LLC
Last update 2024-01-08 1215 Stocks (107 new)
Value $6.11 Bil Turnover 3 %
Countries:
Portfolio Report

Bartlett & Co. LLC Profile

Bartlett & Co. LLC is an investment management firm based out of Cincinnati, Ohio. The company can trace its history back to 1898 when Benhamin D. Bartlett decided to buy a seat on the New York Stock Exchange. The company would then be sold to M. Fechheimer & H.R. Bloch, continuing to grow organically and adding more and more partners until the late 1980s, when the company would restructure itself into a corporation. Bartlett & Co. would then acquire Osborn & Kelly in 2000 and become independent again with the management team buying back the original 1996 affiliation with Legg Mason, Inc. to form the current Bartlett & Co. in 2012. The company conducts its research internally, utilizing a variety of methodologies to make its investments in the value stocks of companies. Bartlett & Co. invests most heavily in the finance sector, which alone makes up almost a quarter of the firm’s total asset allocations, and also invests in the information technology, health care, consumer staples, consumer discretionary, energy, and industrials sectors, among other sectors to a lesser degree, in order of decreasing allocation. The company holds its allocations for just under 10 quarters on average although the firm only holds its top 10 allocations, which makes up just over a quarter of its total allocations, for 5.9 quarters on average. In the most recent quarter, Bartlett & Co. had a turnover rate of approximately 7.3%. The company manages over $3.3 billion in total assets under management spread across over 1,100 total accounts, all of which are discretionary accounts except for 22 that make up $100 million of its managed assets. Bartlett & Co. mainly caters to high net worth individuals, which alone makes up over three quarters of its client base and over half of its total attributed assets, and also provides to a variety of other clientele.
Bartlett & Co. LLC Top Holdings of 2023-12-31 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
AAPL
Apple Inc
1,913,556
370420.000
-0.51%
6.060
-0.03%
0.010
+1.66%
-5.17%
3564352.087
Hardware
MSFT
Microsoft Corp
982,883
368850.000
-0.23%
6.040
-0.01%
0.010
+1.81%
+0.94%
3163653.292
Software
GOOG
Alphabet Inc
1,438,390
203220.000
+0.98%
3.330
+0.03%
0.010
+17.35%
+2.73%
2392963.620
Interactive Media
BRK.B
Berkshire Hathaway Inc
416,781
149020.000
+0.42%
2.440
+0.01%
0.020
-1.32%
+0.73%
985535.902
Insurance
MA
Mastercard Inc
337,961
144080.000
-0.61%
2.360
-0.01%
0.040
+2.47%
-1.30%
476877.470
Credit Services
JPM
JPMorgan Chase & Co
821,117
139830.000
+0.30%
2.290
+0.01%
0.030
+13.87%
+5.64%
708663.414
Banks
PG
Procter & Gamble Co
957,745
139570.000
+8.42%
2.280
+0.18%
0.040
-7.42%
-4.71%
376017.739
Consumer Packaged Goods
LOW
Lowe's Companies Inc
577,975
128830.000
-1.11%
2.110
-0.02%
0.100
-8.52%
+4.02%
145050.119
Retail - Cyclical
ABT
Abbott Laboratories
1,094,444
120820.000
+0.67%
1.980
+0.01%
0.060
-3.50%
-0.99%
193001.584
Medical Devices & Instruments
AMZN
Amazon.com Inc
743,243
114000.000
+2.85%
1.870
+0.05%
0.010
+18.27%
+1.18%
2332334.592
Retail - Cyclical

Bartlett & Co. LLC's Historical Top Holdings Breakdowns

Bartlett & Co. LLC's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
ENB
Enbridge Inc2023-12-31Reduce
-0.85%
31.38 ($33.72) 36.32
$44.42
31.75%
Reduce -86.87%
213,164
-1,410,711
CVX
Chevron Corp2023-12-31Add
+0.44%
141.77 ($151.24) 169.1
$158.16
4.58%
Add 64.59%
454,010
178,170
CVX
Chevron Corp2023-06-30Add
+0.37%
150.62 ($160.37) 172.44
$158.16
-1.37%
Add 199.09%
204,231
135,947
BMY
Bristol-Myers Squibb Co2023-06-30Reduce
-0.36%
63.71 ($67.09) 70.74
$55.84
-16.77%
Reduce -31.42%
590,044
-270,369
AAPL
Apple Inc2023-06-30Add
+0.34%
160.1 ($174.1) 193.97
$237.03
36.14%
Add 5.46%
1,942,834
100,662
CFR
Cullen/Frost Bankers Inc2023-03-31Add
+0.26%
97.86 ($124.52) 137.09
$140.21
12.60%
Add 93.71%
259,033
125,308
BAX
Baxter International Inc2023-03-31Reduce
-0.25%
37.58 ($42.39) 52.57
$30.29
-28.56%
Reduce -78.56%
65,424
-239,680
BMY
Bristol-Myers Squibb Co2023-09-30Reduce
-0.24%
57.89 ($61.27) 64.73
$55.84
-8.86%
Reduce -35.63%
379,813
-210,231
AGG
iShares Core U.S. Aggregate Bond ETF2023-12-31Reduce
-0.23%
91.67 ($95.17) 99.66
$96.57
1.47%
Reduce -31.79%
285,425
-133,026
CFR
Cullen/Frost Bankers Inc2023-06-30Add
+0.22%
93.42 ($104.46) 113.27
$140.21
34.22%
Add 45.05%
375,716
116,683

Bartlett & Co. LLC Total Holding History ($B)

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Bartlett & Co. LLC's Asset Allocation

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Bartlett & Co. LLC Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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Bartlett & Co. LLC's Hypothetical Growth since 2023-12-31

Bartlett & Co. LLC's Yearly Returns

Year Portfolio % % Excess Gain %

Bartlett & Co. LLC's Holdings Heat Map

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Bartlett & Co. LLC's Holdings Bubble Chart

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