MondegarAI
Hikari Tsushin, Inc.

Q1 2026 · 13F-HR

Hikari Tsushin, Inc.holdings as filed

Filed 2026-05-13 · accession 0001423673-26-000002

$1.45B
Reported value
78
Positions
2026-03-31
Period end
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The Brief · Hikari Tsushin, Inc. · Q1 2026

AI · grounded in 13F

Hikari Tsushin, Inc. reduced its position in the Vanguard Health Care ETF VHT by 34.74%. The fund also trimmed holdings in the Vanguard S&P 500 ETF VOO by 21.37% and Waters Corporation WAT by 20.97%. Conversely, the fund increased its stakes in Zoetis Inc ZTS by 14.54% and Berkshire Hathaway Inc-Cl B BRK/B by 14.00%.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
084670108BRK/ABERKSHIRE HATHAWAY INC-CL A$809.3M55.8%1,127CommonSOLE
02079K305GOOGLALPHABET INC-CL A$159.4M11.0%554,232CommonSOLE
46138G508BKLNINVESCO SENIOR LOAN ETF$50.7M3.49%2,483,848CommonSOLE
92826C839VVISA INC-CLASS A SHARES$31.0M2.14%102,555CommonSOLE
478160104JNJJOHNSON AND JOHNSON$28.6M1.97%117,095CommonSOLE
464288513HYGISHARES IBOXX HIGH YLD CORP$27.3M1.88%343,165CommonSOLE
922908363VOOVANGUARD S AND P 500 ETF$27.1M1.87%45,415CommonSOLE
33738D309FTSLFIRST TRUST SENIOR LOAN ETF$25.5M1.76%570,196CommonSOLE
00287Y109ABBVABBVIE INC$22.8M1.57%104,963CommonSOLE
98978V103ZTSZOETIS INC$22.2M1.53%188,125CommonSOLE
718546104PSXPHILLIPS 66$21.3M1.47%116,848CommonSOLE
539830109LMTLOCKHEED MARTIN CORP$17.6M1.21%29,045CommonSOLE
084670702BRK/BBERKSHIRE HATHAWAY INC-CL B$15.2M1.05%31,780CommonSOLE
88579Y101MMM3M CO$14.8M1.02%102,018CommonSOLE
615369105MCOMOODY'S CORP$13.8M0.95%31,689CommonSOLE
G54950103LINLINDE PLC$12.6M0.87%25,500CommonSOLE
G5960L103MDTMEDTRONIC PLC$12.6M0.87%144,952CommonSOLE
235851102DHRDANAHER CORP$12.3M0.85%64,712CommonSOLE
30231G102XOMEXXON MOBIL CORP$8.8M0.61%51,986CommonSOLE
088606108BHPBHP GROUP LTD-SPON ADR$8.7M0.60%119,021CommonSOLE
760759100RSGREPUBLIC SERVICES INC$7.1M0.49%32,200CommonSOLE
46120E602ISRGINTUITIVE SURGICAL INC$7.0M0.48%15,185CommonSOLE
031100100AMEAMETEK INC$6.5M0.45%30,529CommonSOLE
776696106ROPROPER TECHNOLOGIES INC$5.5M0.38%15,600CommonSOLE
278865100ECLECOLAB INC$5.4M0.37%20,144CommonSOLE
110122108BMYBRISTOL-MYERS SQUIBB CO$4.9M0.34%81,141CommonSOLE
46982L108JJACOBS SOLUTIONS INC$4.9M0.34%38,455CommonSOLE
941848103WATWATERS CORPORATION$4.8M0.33%16,246CommonSOLE
594918104MSFTMICROSOFT CORP$3.6M0.25%9,794CommonSOLE
83444M101SOLVSOLVENTUM CORP$3.5M0.24%53,112CommonSOLE
92204A504VHTVANGUARD HEALTH CARE ETF$3.4M0.23%12,409CommonSOLE
002824100ABTABBOTT LABORATORIES$3.4M0.23%32,870CommonSOLE
742718109PGPROCTER AND GAMBLE CO$3.3M0.23%23,094CommonSOLE
92206C706VGITVANGUARD INTERMEDIATE-TERM T$3.3M0.23%54,954CommonSOLE
464287432TLTISHARES 20 YEAR TREASURY BD$3.0M0.21%34,607CommonSOLE
34959J108FTVFORTIVE CORP$2.7M0.19%49,400CommonSOLE
11271J107BNBROOKFIELD CORP$2.7M0.18%65,646CommonSOLE
922475108VEEVVEEVA SYSTEMS INC-CLASS A$2.4M0.16%13,562CommonSOLE
426281101JKHYJACK HENRY AND ASSOCIATES INC$2.3M0.16%14,382CommonSOLE
053015103ADPAUTOMATIC DATA PROCESSING INC$2.1M0.15%10,400CommonSOLE
92338C103VLTOVERALTO CORP$1.9M0.13%21,546CommonSOLE
125523100CITHE CIGNA CORP$1.7M0.12%6,358CommonSOLE
92343E102VRSNVERISIGN INC$1.5M0.10%5,901CommonSOLE
22160K105COSTCOSTCO WHOLESALE CORP$1.4M0.10%1,400CommonSOLE
928881101VNTVONTIER CORP$1.4M0.10%39,267CommonSOLE
893641100TDGTRANSDIGM GROUP INC$1.2M0.08%1,060CommonSOLE
609207105MDLZMONDELEZ INTERNATIONAL INC-CL A$1.2M0.08%20,898CommonSOLE
023939101AMTMAMENTUM HOLDINGS INC$1.2M0.08%45,403CommonSOLE
896239100TRMBTRIMBLE INC$1.2M0.08%17,728CommonSOLE
58933Y105MRKMERCK AND CO INC$1.1M0.07%8,812CommonSOLE
075887109BDXBECTON DICKINSON AND CO$960,2040.07%6,107CommonSOLE
750940108RALRALLIANT CORP$876,5090.06%21,075CommonSOLE
670100205NVONOVO NORDISK AS$864,0660.06%23,512CommonSOLE
922042858VWOVANGUARD FTSE EMERGING MARKE$851,0170.06%15,745CommonSOLE
949746101WMT2WELLS FARGO AND CO$846,3340.06%10,631CommonSOLE
980228308WDSWOODSIDE ENERGY GROUP-ADR$844,8980.06%35,381CommonSOLE
67077M108NTRNUTRIEN LTD$814,9680.06%10,800CommonSOLE
79466L302CRMSALESFORCE INC$801,0010.06%4,291CommonSOLE
00846U101AAGILENT TECHNOLOGIES INC$729,8140.05%6,403CommonSOLE
003260106PPLTABRDN PHYSICAL PLATINUM SHRS$706,5040.05%3,964CommonSOLE
37954Y871URAGLOBAL X URANIUM ETF$697,6340.05%14,405CommonSOLE
921908844VIGVANGUARD DIVIDEND APPREC ETF$632,7070.04%2,942CommonSOLE
592688105MTDMETTLER-TOLEDO INTERNATIONAL$607,8980.04%482CommonSOLE
46137V159CSDINVESCO S AND P SPIN-OFF ETF$552,3970.04%4,903CommonSOLE
922042866VPLVANGUARD FTSE PACIFIC ETF$481,9070.03%4,931CommonSOLE
52736R102LEVILEVI STRAUSS AND CO- CLASS A$453,0050.03%24,500CommonSOLE
01973R101ALSNALLISON TRANSMISSION HOLDING$292,6500.02%2,500CommonSOLE
464287556IBBISHARES BIOTECHNOLOGY ETF$231,8310.02%1,373CommonSOLE
78463V107GLDSPDR GOLD SHARES$215,1450.01%500CommonSOLE
27579R104EWBCEAST WEST BANCORP INC$213,5200.01%2,000CommonSOLE
46090E103QQQINVESCO QQQ TRUST SERIES 1$174,3080.01%302CommonSOLE
G7709Q104RPRXROYALTY PHARMA PLC$106,4930.01%2,220CommonSOLE
91324P102UNHUNITEDHEALTH GROUP INC$98,7650.01%365CommonSOLE
60855R100MOHMOLINA HEALTHCARE INC$91,5770.01%687CommonSOLE
031162100AMGNAMGEN INC$81,9810.01%233CommonSOLE
896288107TNETTRINET GROUP INC$69,2170.00%1,900CommonSOLE
910571108UGUNITED GUARDIAN INC$63,6500.00%9,500CommonSOLE
68622V106OGNORGANON AND CO$3,5880.00%599CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.