James Hambro & Partners as of March 31, 2026
Portfolio Holdings for James Hambro & Partners
James Hambro & Partners holds 57 positions in its portfolio as reported in the March 2026 quarterly 13F filing
| Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
|---|---|---|---|---|---|
| Alphabet Cap Stk Cl C (GOOG) | 8.1 | $207M | 721k | 286.76 | |
| JPMorgan Chase & Co. (JPM) | 7.7 | $196M | 665k | 294.22 | |
| Amphenol Corp Cl A (APH) | 7.0 | $180M | 1.4M | 126.36 | |
| Amazon (AMZN) | 6.4 | $164M | 787k | 208.28 | |
| Microsoft Corporation (MSFT) | 6.2 | $158M | 427k | 370.14 | |
| NVIDIA Corporation (NVDA) | 5.5 | $140M | 804k | 174.32 | |
| Visa Com Cl A (V) | 5.4 | $137M | 454k | 302.19 | |
| Ametek (AME) | 4.9 | $125M | 583k | 214.31 | |
| Thermo Fisher Scientific (TMO) | 4.6 | $118M | 241k | 491.82 | |
| McKesson Corporation (MCK) | 4.4 | $113M | 130k | 865.21 | |
| Intercontinental Exchange (ICE) | 4.2 | $108M | 687k | 157.31 | |
| Intuitive Surgical Com New (ISRG) | 4.2 | $108M | 233k | 461.21 | |
| Progressive Corporation (PGR) | 3.9 | $99M | 498k | 198.24 | |
| Coca-Cola Company (KO) | 3.9 | $99M | 1.3M | 76.06 | |
| Texas Instruments Incorporated (TXN) | 3.8 | $96M | 495k | 194.12 | |
| Brookfield Corp Cl A Ltd Vt Sh (BN) | 3.3 | $84M | 2.1M | 40.48 | |
| S&p Global (SPGI) | 3.0 | $77M | 180k | 425.30 | |
| Sunbelt Rentals Holdings SHS (SUNB) | 2.9 | $73M | 1.2M | 62.76 | |
| TJX Companies (TJX) | 2.7 | $70M | 439k | 159.74 | |
| Emerson Electric (EMR) | 2.5 | $63M | 483k | 131.06 | |
| Becton, Dickinson and (BDX) | 1.2 | $30M | 194k | 157.12 | |
| MercadoLibre (MELI) | 1.1 | $29M | 17k | 1728.89 | |
| Spdr Gold Tr Gold Shs (GLD) | 0.9 | $23M | 53k | 430.25 | |
| Alphabet Cap Stk Cl A (GOOGL) | 0.4 | $10M | 35k | 288.60 | |
| International Business Machines (IBM) | 0.3 | $8.6M | 36k | 242.37 | |
| Taiwan Semiconductor Manufac Sponsored Ads (TSM) | 0.2 | $5.9M | 18k | 337.99 | |
| Ishares Tr Msci Ac Asia Etf (AAXJ) | 0.2 | $5.5M | 57k | 96.30 | |
| Chevron Corporation (CVX) | 0.2 | $5.2M | 25k | 206.88 | |
| Prologis (PLD) | 0.1 | $2.3M | 18k | 132.21 | |
| Mastercard Incorporated Cl A (MA) | 0.1 | $2.3M | 4.6k | 499.73 | |
| Ishares Tr Global Tech Etf (IXN) | 0.1 | $1.3M | 13k | 100.05 | |
| Sei Exchange Traded Funds Dbi Multi-strgy (QALT) | 0.1 | $1.3M | 52k | 25.30 | |
| Ferguson Enterprises Common Stock New (FERG) | 0.0 | $1.3M | 5.5k | 233.29 | |
| Danaher Corporation (DHR) | 0.0 | $1.2M | 6.3k | 189.52 | |
| Wal-Mart Stores (WMT) | 0.0 | $1.2M | 9.4k | 124.28 | |
| Berkshire Hathaway Inc Del Cl B New (BRK.B) | 0.0 | $886k | 1.8k | 479.24 | |
| Ishares Tr Tips Bd Etf (TIP) | 0.0 | $881k | 8.0k | 110.35 | |
| Northrop Grumman Corporation (NOC) | 0.0 | $712k | 1.0k | 682.06 | |
| Marsh & McLennan Companies (MRSH) | 0.0 | $669k | 3.9k | 173.43 | |
| Apple (AAPL) | 0.0 | $619k | 2.4k | 253.72 | |
| Vanguard World Health Car Etf (VHT) | 0.0 | $526k | 1.9k | 272.41 | |
| SYSCO Corporation (SYY) | 0.0 | $499k | 7.0k | 71.33 | |
| Abbvie (ABBV) | 0.0 | $455k | 2.1k | 217.45 | |
| Johnson & Johnson (JNJ) | 0.0 | $418k | 1.7k | 244.40 | |
| Eli Lilly & Co. (LLY) | 0.0 | $410k | 446.00 | 920.11 | |
| Wells Fargo & Company (WFC) | 0.0 | $320k | 4.0k | 79.59 | |
| Iron Mountain (IRM) | 0.0 | $304k | 3.0k | 102.16 | |
| Lockheed Martin Corporation (LMT) | 0.0 | $286k | 474.00 | 604.30 | |
| Xcel Energy (XEL) | 0.0 | $272k | 3.4k | 79.43 | |
| Pepsi (PEP) | 0.0 | $263k | 1.7k | 155.28 | |
| Coherent Corp (COHR) | 0.0 | $262k | 1.1k | 238.12 | |
| Bank of America Corporation (BAC) | 0.0 | $261k | 5.4k | 48.74 | |
| State Str Spdr S&p 500 Etf T Tr Unit (SPY) | 0.0 | $254k | 390.00 | 650.25 | |
| Home Depot (HD) | 0.0 | $247k | 750.00 | 328.75 | |
| Abbott Laboratories (ABT) | 0.0 | $225k | 2.2k | 102.59 | |
| Exxon Mobil Corporation (XOM) | 0.0 | $224k | 1.3k | 169.66 | |
| Lloyds Banking Group Sponsored Adr (LYG) | 0.0 | $68k | 14k | 5.01 |