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Built from publicly disclosed institutional and insider activity. Informational purposes only - not investment advice.OpenStocks · v0.1
Logos by elbstream.com
  1. Home/
  2. Super Investors/
  3. Tom Russo (Gardner Russo & Quinn)
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Tom Russo

Gardner Russo & Quinn
Share
  • Asset Manager · CIK 0000860643
  • Comms-Heavy
  • Mid-Size Fund

Tom Russo runs Gardner Russo & Quinn, an asset manager overseeing $9.26B in disclosed equity holdings (SEC CIK 0000860643). The latest portfolio (2025Q4) discloses 87 positions across 10 sectors, with the largest positions in GOOG, BRK.A and MA. On a mark-to-market basis the tracked portfolio has returned 26.8% since 2024Q1. OpenStocks tracks 8 consecutive quarterly snapshots for this manager — every position change, new entry, and exit is logged below.

Track Tom's filingsView holdings↓
Portfolio
$9.26B
Positions
87
Quarter
2025Q4
Filings tracked
8
Since filing+26.8%Full performance →
Quarter
2025Q42025Q32025Q22025Q12024Q42024Q32024Q22024Q1

Holdings

Sorted by value · 2024Q2
1 / 2
75 of 77
1
B
BRK.ABERKSHIRE HATHAWAY INC DEL
13.67%
of portfolio
Number of shares
2,114 sh
Holdings current value
$1.29B
Avg closing price
$634440
+11.3%
Last action
Trimmed 2.4%
2025Q4
Current $706165
2
G
GOOGALPHABET INC
Communication Services·Internet Content & Information
12.03%
of portfolio
Number of shares
6,209,856 sh
Holdings current value
$1.14B
Avg closing price
$152.26
+121.8%
Last action
Trimmed 10.4%
2025Q4
Current $337.75
3
M
MAMASTERCARD INCORPORATED
Financial Services·Credit Services
9.58%
of portfolio
Number of shares
2,056,350 sh
Holdings current value
$907.18M
Avg closing price
$481.57
+4.3%
Last action
Trimmed 1.6%
2025Q4
Current $502.38
4
6
641069406Nestle S A Rep RG SH ADR
7.86%
of portfolio
Number of shares
7,260,624 sh
Holdings current value
$743.85M
Avg closing price
$106.20
Last action
Trimmed 2.2%
2025Q4
Current —
5
H
H25662182Compagnie Financiere Richemont
7.70%
of portfolio
Number of shares
4,669,634 sh
Holdings current value
$728.82M
Avg closing price
$152.68
Last action
Trimmed 2.1%
2025Q4
Current —
6
N
N39338194Heineken Holding NV
6.66%
of portfolio
Number of shares
7,982,338 sh
Holdings current value
$630.08M
Avg closing price
$79.07
Last action
Trimmed 1.1%
2025Q4
Current —
7
B
BRK.BBERKSHIRE HATHAWAY INC DEL
5.97%
of portfolio
Number of shares
1,390,310 sh
Holdings current value
$565.58M
Avg closing price
$421.00
+11.8%
Last action
Trimmed 2.5%
2025Q4
Current $470.55
8
P
PMPHILIP MORRIS INTL INC
Consumer Defensive·Tobacco
5.85%
of portfolio
Number of shares
5,466,358 sh
Holdings current value
$553.91M
Avg closing price
$92.14
+83.6%
Last action
Added 0.7%
2025Q4
Current $169.19
9
N
NFLXNETFLIX INC
Communication Services·Entertainment
5.58%
of portfolio
Number of shares
782,062 sh
Holdings current value
$527.80M
Avg closing price
$146.55
-36.7%
Last action
Added
2025Q4
Current $92.82
10
F
F72027109Pernod Ricard
4.74%
of portfolio
Number of shares
3,305,294 sh
Holdings current value
$448.83M
Avg closing price
$159.72
Last action
Trimmed 4.3%
2025Q4
Current —
11
M
MLMMARTIN MARIETTA MATLS INC
Basic Materials·Building Materials
4.37%
of portfolio
Number of shares
764,059 sh
Holdings current value
$413.97M
Avg closing price
$613.11
+0.9%
Last action
Added 5.4%
2025Q4
Current $618.89
12
G
G05320109Ashtead Group PLC
3.57%
of portfolio
Number of shares
5,058,162 sh
Holdings current value
$337.73M
Avg closing price
$68.44
Last action
Added 11.8%
2025Q4
Current —
13
J
JPMJPMORGAN CHASE & CO
Financial Services·Banks - Diversified
3.19%
of portfolio
Number of shares
1,492,835 sh
Holdings current value
$301.94M
Avg closing price
$200.30
+55.6%
Last action
Trimmed 1.1%
2025Q4
Current $311.69
14
U
UBERUBER TECHNOLOGIES INC
Technology·Software - Application
2.80%
of portfolio
Number of shares
3,644,712 sh
Holdings current value
$264.90M
Avg closing price
$77.16
-3.2%
Last action
Added 13.5%
2025Q4
Current $74.70
15
C
CMCSACOMCAST CORP NEW
Communication Services·Telecom Services
1.27%
of portfolio
Number of shares
3,064,822 sh
Holdings current value
$120.02M
Avg closing price
$43.35
-27.0%
Last action
Trimmed 4.5%
2025Q4
Current $31.64
16
B
BF/ABROWN FORMAN CORP
1.01%
of portfolio
Number of shares
2,170,683 sh
Holdings current value
$95.79M
Avg closing price
$52.95
Last action
Trimmed 2.3%
2025Q4
Current —
17
D
DASHDOORDASH INC
Consumer Cyclical·Internet Retail
0.82%
of portfolio
Number of shares
716,388 sh
Holdings current value
$77.93M
Avg closing price
$143.26
+23.5%
Last action
Added 0.6%
2025Q4
Current $177.00
18
V
VVISA INC
Financial Services·Credit Services
0.78%
of portfolio
Number of shares
282,714 sh
Holdings current value
$74.20M
Avg closing price
$279.08
+10.7%
Last action
Trimmed 4.5%
2025Q4
Current $308.88
19
B
BF/BBROWN FORMAN CORP
0.41%
of portfolio
Number of shares
891,786 sh
Holdings current value
$38.52M
Avg closing price
$51.62
Last action
Trimmed 6.1%
2025Q4
Current —
20
W
WFCWELLS FARGO CO NEW
Financial Services·Banks - Diversified
0.30%
of portfolio
Number of shares
478,642 sh
Holdings current value
$28.43M
Avg closing price
$57.96
+38.9%
Last action
Trimmed 0.5%
2025Q4
Current $80.51
21
B
B639CJ108Anheuser-Busch InBev SA
0.27%
of portfolio
Number of shares
441,625 sh
Holdings current value
$25.62M
Avg closing price
$60.98
Last action
Trimmed 3.6%
2025Q4
Current —
22
X
XOMEXXON MOBIL CORP
Energy·Oil & Gas Integrated
0.22%
of portfolio
Number of shares
180,530 sh
Holdings current value
$20.78M
Avg closing price
$116.22
+29.5%
Last action
Added 0.7%
2025Q4
Current $150.53
23
M
MKLMARKEL CORP
Financial Services·Insurance - Property & Casualty
0.16%
of portfolio
Number of shares
9,619 sh
Holdings current value
$15.16M
Avg closing price
$1521
+26.8%
Last action
Trimmed 12.5%
2025Q4
Current $1930
24
M
MOALTRIA GROUP INC
Consumer Defensive·Tobacco
0.14%
of portfolio
Number of shares
286,290 sh
Holdings current value
$13.04M
Avg closing price
$43.69
+53.7%
Last action
Trimmed 0.3%
2025Q4
Current $67.15
25
C
CRCRANE COMPANY
Industrials·Specialty Industrial Machinery
0.10%
of portfolio
Number of shares
64,906 sh
Holdings current value
$9.41M
Avg closing price
$135.13
+33.5%
Last action
Trimmed 3.1%
2025Q4
Current $180.42
26
V
VMCVULCAN MATLS CO
Basic Materials·Building Materials
0.09%
of portfolio
Number of shares
33,622 sh
Holdings current value
$8.36M
Avg closing price
$272.92
+7.3%
Last action
Trimmed 5.6%
2025Q4
Current $292.71
27
N
N24565108Davide Campari-Milano NV
0.07%
of portfolio
Number of shares
677,127 sh
Holdings current value
$6.40M
Avg closing price
$9.52
Last action
Added 4.9%
2025Q4
Current —
28
U
UNPUNION PAC CORP
Industrials·Railroads
0.06%
of portfolio
Number of shares
24,294 sh
Holdings current value
$5.50M
Avg closing price
$244.89
+10.8%
Last action
Added 0.6%
2025Q4
Current $271.26
29
P
PGPROCTER AND GAMBLE CO
Consumer Defensive·Household & Personal Products
0.06%
of portfolio
Number of shares
32,006 sh
Holdings current value
$5.28M
Avg closing price
$160.62
-9.3%
Last action
Added 3.3%
2025Q4
Current $145.71
30
C
COSTCOSTCO WHSL CORP NEW
Consumer Defensive·Discount Stores
0.05%
of portfolio
Number of shares
5,477 sh
Holdings current value
$4.66M
Avg closing price
$732.63
+38.5%
Last action
Trimmed 0.2%
2025Q3
Current $1014
31
D
DOVDOVER CORP
Industrials·Specialty Industrial Machinery
0.04%
of portfolio
Number of shares
23,426 sh
Holdings current value
$4.23M
Avg closing price
$177.19
+28.8%
Last action
Trimmed 0.1%
2025Q4
Current $228.15
32
H
H57312649NESTLE S A
0.04%
of portfolio
Number of shares
40,136 sh
Holdings current value
$4.10M
Avg closing price
$105.92
Last action
Trimmed 0.1%
2025Q4
Current —
33
A
AXPAMERICAN EXPRESS CO
Financial Services·Credit Services
0.04%
of portfolio
Number of shares
16,075 sh
Holdings current value
$3.72M
Avg closing price
$227.69
+39.9%
Last action
Trimmed 8.4%
2025Q4
Current $318.55
34
G
GOOGLALPHABET INC
Communication Services·Internet Content & Information
0.04%
of portfolio
Number of shares
20,356 sh
Holdings current value
$3.71M
Avg closing price
$151.23
+124.1%
Last action
Trimmed 2.7%
2025Q4
Current $338.89
35
M
MKCMCCORMICK & CO INC
Consumer Defensive·Packaged Foods
0.03%
of portfolio
Number of shares
43,320 sh
Holdings current value
$3.07M
Avg closing price
$76.81
-32.4%
Last action
Trimmed 2.1%
2025Q4
Current $51.89
36
K
K36628137Carlsberg B A/S
0.03%
of portfolio
Number of shares
24,390 sh
Holdings current value
$2.93M
Avg closing price
$134.34
Last action
Added 82.6%
2025Q4
Current —
37
F
F58149133Loreal SA
0.03%
of portfolio
Number of shares
5,841 sh
Holdings current value
$2.57M
Avg closing price
$473.74
Last action
Trimmed 5.6%
2025Q4
Current —
38
N
N39427211Heineken NV
0.03%
of portfolio
Number of shares
25,441 sh
Holdings current value
$2.46M
Avg closing price
$96.49
Last action
Trimmed 28.8%
2024Q4
Current —
39
M
MSFTMICROSOFT CORP
Technology·Software - Infrastructure
0.02%
of portfolio
Number of shares
5,205 sh
Holdings current value
$2.33M
Avg closing price
$424.12
-2.0%
Last action
Added 4.0%
2025Q4
Current $415.75
40
S
SWZTOTAL RETURN SECURITIES FUNDCEF
0.02%
of portfolio
Number of shares
279,368 sh
Holdings current value
$2.25M
Avg closing price
$7.43
-18.9%
Last action
Trimmed 50.8%
2025Q4
Current $6.03
41
H
H49983176Lindt & Spruengli AG - Reg
0.02%
of portfolio
Number of shares
19 sh
Holdings current value
$2.19M
Avg closing price
$120795
Last action
Trimmed 5.0%
2025Q2
Current —
42
A
ABBVABBVIE INC
Healthcare·Drug Manufacturers - General
0.02%
of portfolio
Number of shares
12,510 sh
Holdings current value
$2.15M
Avg closing price
$182.10
+10.4%
Last action
Trimmed 0.8%
2024Q4
Current $200.95
43
P
PEPPEPSICO INC
Consumer Defensive·Beverages - Non-Alcoholic
0.02%
of portfolio
Number of shares
12,366 sh
Holdings current value
$2.04M
Avg closing price
$175.01
-11.0%
Last action
Trimmed 8.6%
2025Q4
Current $155.70
44
F
FULTFULTON FINL CORP PA
Financial Services·Banks - Regional
0.02%
of portfolio
Number of shares
114,305 sh
Holdings current value
$1.94M
Avg closing price
$15.89
+39.0%
Last action
Trimmed 8.4%
2025Q4
Current $22.08
45
H
HRLHORMEL FOODS CORP
Consumer Defensive·Packaged Foods
0.02%
of portfolio
Number of shares
57,691 sh
Holdings current value
$1.76M
Avg closing price
$34.89
-37.6%
Last action
Trimmed 21.4%
2025Q3
Current $21.76
46
A
AAPLAPPLE INC
Technology·Consumer Electronics
0.02%
of portfolio
Number of shares
6,799 sh
Holdings current value
$1.43M
Avg closing price
$171.48
+59.5%
Last action
Trimmed 0.4%
2025Q4
Current $273.43
47
D
DDDUPONT DE NEMOURS INC
Basic Materials·Specialty Chemicals
0.01%
of portfolio
Number of shares
15,555 sh
Holdings current value
$1.25M
Avg closing price
$76.69
-39.5%
Last action
Exited
2024Q3
Current $46.37
48
A
ABTABBOTT LABS
Healthcare·Medical Devices
0.01%
of portfolio
Number of shares
11,510 sh
Holdings current value
$1.20M
Avg closing price
$113.66
-18.6%
Last action
Trimmed 0.9%
2024Q2
Current $92.48
49
P
PNCPNC FINL SVCS GROUP INC
Financial Services·Banks - Regional
0.01%
of portfolio
Number of shares
7,023 sh
Holdings current value
$1.09M
Avg closing price
$161.60
+39.3%
Last action
Trimmed 2.8%
2025Q3
Current $225.09
50
2
204319107COMPAGNIE FINANCIERE RICHE ADR
0.01%
of portfolio
Number of shares
66,140 sh
Holdings current value
$1.03M
Avg closing price
$15.27
Last action
Exited
2025Q1
Current —
51
D
DOWDOW INC
Basic Materials·Chemicals
0.01%
of portfolio
Number of shares
18,097 sh
Holdings current value
$960.1K
Avg closing price
$57.87
-33.4%
Last action
Exited
2024Q3
Current $38.53
52
K
KOCOCA COLA CO
Consumer Defensive·Beverages - Non-Alcoholic
0.01%
of portfolio
Number of shares
14,580 sh
Holdings current value
$928.0K
Avg closing price
$61.18
+24.7%
Last action
Trimmed 3.1%
2025Q1
Current $76.28
53
H
HKHHYHeineken Holding NV ADRADR
0.01%
of portfolio
Number of shares
20,306 sh
Holdings current value
$801.4K
Avg closing price
$40.17
Last action
Exited
2025Q2
Current —
54
6
69007J106OUTFRONT MEDIA INC
0.01%
of portfolio
Number of shares
52,944 sh
Holdings current value
$757.1K
Avg closing price
$16.79
Last action
Exited
2024Q4
Current —
55
C
CVXCHEVRON CORP NEW
Energy·Oil & Gas Integrated
0.01%
of portfolio
Number of shares
4,651 sh
Holdings current value
$727.6K
Avg closing price
$157.68
+19.0%
Last action
Trimmed 25.0%
2025Q2
Current $187.60
56
L
LAMRLAMAR ADVERTISING CO NEWREIT
Real Estate·REIT - Specialty
0.01%
of portfolio
Number of shares
5,975 sh
Holdings current value
$714.2K
Avg closing price
$119.41
+11.6%
Last action
Trimmed 0.0%
2024Q3
Current $133.23
57
W
WMTWALMART INC
Consumer Defensive·Discount Stores
0.01%
of portfolio
Number of shares
10,365 sh
Holdings current value
$701.8K
Avg closing price
$60.17
+119.4%
Last action
Trimmed 0.7%
2025Q2
Current $132.03
58
P
PRNDYPernod-Ricard SA Unsponsored AADR
0.01%
of portfolio
Number of shares
23,057 sh
Holdings current value
$626.2K
Avg closing price
$31.86
Last action
Exited
2024Q4
Current —
59
F
FMXFOMENTO ECONOMICO MEXICANO SADR
Consumer Defensive·Beverages - Brewers
0.01%
of portfolio
Number of shares
4,975 sh
Holdings current value
$535.6K
Avg closing price
$130.27
-12.8%
Last action
Exited
2025Q4
Current $113.62
60
O
ORCLORACLE CORP
Technology·Software - Infrastructure
0.01%
of portfolio
Number of shares
3,475 sh
Holdings current value
$490.7K
Avg closing price
$125.61
+40.3%
Last action
—
Current $176.28
61
T
TFCTRUIST FINL CORP
Financial Services·Banks - Regional
0.00%
of portfolio
Number of shares
11,470 sh
Holdings current value
$445.6K
Avg closing price
$39.08
+31.5%
Last action
Exited
2025Q4
Current $51.40
62
M
MRKMERCK & CO INC
Healthcare·Drug Manufacturers - General
0.00%
of portfolio
Number of shares
3,446 sh
Holdings current value
$426.6K
Avg closing price
$131.95
-13.1%
Last action
Exited
2025Q2
Current $114.62
63
D
DISDISNEY WALT CO
Communication Services·Entertainment
0.00%
of portfolio
Number of shares
4,086 sh
Holdings current value
$405.7K
Avg closing price
$122.35
-15.3%
Last action
Trimmed 7.0%
2025Q3
Current $103.65
64
A
ASHTYAshtead Group PLC ADRADR
0.00%
of portfolio
Number of shares
1,253 sh
Holdings current value
$334.6K
Avg closing price
$284.99
Last action
Exited
2024Q4
Current —
65
C
CTVACORTEVA INC
Basic Materials·Agricultural Inputs
0.00%
of portfolio
Number of shares
6,052 sh
Holdings current value
$326.4K
Avg closing price
$57.66
+38.1%
Last action
Exited
2024Q4
Current $79.63
66
M
MCDMCDONALDS CORP
Consumer Cyclical·Restaurants
0.00%
of portfolio
Number of shares
1,197 sh
Holdings current value
$305.0K
Avg closing price
$287.18
+5.3%
Last action
Added 20.1%
2025Q4
Current $302.53
67
Y
Y5342M100LT Group Inc
0.00%
of portfolio
Number of shares
1,775,000 sh
Holdings current value
$295.3K
Avg closing price
$0.18
Last action
—
Current —
68
M
MDLZMONDELEZ INTL INC
Consumer Defensive·Confectioners
0.00%
of portfolio
Number of shares
4,400 sh
Holdings current value
$287.9K
Avg closing price
$70.00
-17.6%
Last action
Exited
2025Q1
Current $57.71
69
G
G42089113Diageo PLC
0.00%
of portfolio
Number of shares
8,452 sh
Holdings current value
$266.0K
Avg closing price
$22.53
Last action
New holding
2025Q4
Current —
70
4
423012301HEINEKEN NV SPONSORED ADR L1
0.00%
of portfolio
Number of shares
5,255 sh
Holdings current value
$254.3K
Avg closing price
$48.25
Last action
Exited
2024Q4
Current —
71
G
G74079107RECKITT BENCKISER GROUP PLC
0.00%
of portfolio
Number of shares
4,630 sh
Holdings current value
$250.6K
Avg closing price
$57.00
Last action
Exited
2024Q4
Current —
72
B
BPBP PLCADR
Energy·Oil & Gas Integrated
0.00%
of portfolio
Number of shares
6,542 sh
Holdings current value
$236.2K
Avg closing price
$37.61
+23.2%
Last action
Exited
2025Q2
Current $46.35
73
Y
Y7121Z146PT HM SAMPOERNA TBK
0.00%
of portfolio
Number of shares
5,000,000 sh
Holdings current value
$216.8K
Avg closing price
$0.05
Last action
—
Current —
74
U
UNMUNUM GROUP
Financial Services·Insurance - Life
0.00%
of portfolio
Number of shares
4,050 sh
Holdings current value
$207.0K
Avg closing price
$53.66
+44.9%
Last action
Trimmed 5.8%
2024Q3
Current $77.76
75
C
CSLCARLISLE COS INC
Industrials·Building Products & Equipment
0.00%
of portfolio
Number of shares
500 sh
Holdings current value
$202.6K
Avg closing price
$405.21
-10.2%
Last action
Exited
2024Q4
Current $363.70

Portfolio heatmap

Box size = % of portfolio · color = return since filing
BRK.A
13.67% · +15.3%
GOOG
12.03% · +84.1%
MA
9.58% · +13.9%
Nestle S A Rep RG SH ADR
7.86%
Compagnie Financiere Richemont
7.70%
Heineken Holding NV
6.66%
BRK.B
5.97% · +15.7%
PM
5.85% · +67.0%
NFLX
5.58% · -86.2%
Pernod Ricard
4.74%
MLM
4.37% · +14.2%
Ashtead Group PLC
3.57%
JPM
3.19% · +54.1%
UBER
2.80% · +2.8%
CMCSA
1.27% · -19.2%
BF/A
1.01%
DASH
0.82% · +62.7%
V
0.78% · +17.7%
BF/B
0.41%
WFC
0.30% · +35.6%
Anheuser-Busch InBev SA
0.27%
XOM
0.22% · +30.8%
MKL
0.16% · +22.5%
MO
0.14% · +47.4%

Sector exposure

Share of dollar value across the latest reported portfolio. Unclassified positions excluded.
  • Communication Services5 pos$1.79B39.5%
  • Financial Services10 pos$1.33B29.5%
  • Consumer Defensive11 pos$586.2M12.9%
  • Basic Materials5 pos$424.9M9.4%
  • Technology4 pos$269.1M5.9%
  • Consumer Cyclical2 pos$78.2M1.7%
  • Energy3 pos$21.7M0.5%
  • Industrials4 pos$19.3M0.4%
  • Healthcare3 pos$3.8M0.1%
  • Real Estate1 pos$714K0.0%
(52.2% unclassified, excluded from %)