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Focused investors/Terry Smith

Terry Smith - Fundsmith

As of Q1 2026, this manager reported 34 long-equity positions worth $12.83B in aggregate.

As of Q1 2026, Terry Smith's Fundsmith held 34 long-equity positions with a reported value of $12.83B.

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Updated 2026-05-07 from SEC 13F data.

Live quotes available for 37 of 37 rows. Rows without a quote are marked unavailable.

1WATWATERS CORP7.90%Reduce -10.1%3,557,978$1.35B$379.8352w: $275.05 - $423.56; reported $379.83
2SYKSTRYKER CORPORATION7.57%Reduce -19.7%3,687,511$1.3B$351.4752w: $329.16 - $406.19; reported $351.47
3IDXXIDEXX LABS INC7.42%Reduce -28.1%1,876,035$1.27B$676.5352w: $356.14 - $769.98; reported $676.53
4VVISA INC7.24%Reduce -8.3%3,534,684$1.24B$350.7152w: $299.00 - $375.51; reported $350.71
5MARMARRIOTT INTL INC NEW7.21%Reduce -5.9%3,979,927$1.23B$310.2452w: $205.40 - $316.69; reported $310.24
6GOOGLALPHABET INC6.40%Reduce -44.4%3,498,519$1.1B$313.0052w: $140.53 - $328.83; reported $313.00
7ADPAUTOMATIC DATA PROCESSING IN6.28%Reduce -3.1%4,177,969$1.07B$257.2352w: $247.18 - $329.93; reported $257.23
8MSFTMICROSOFT CORP5.88%Reduce -19.5%2,079,971$1.01B$483.6252w: $344.79 - $555.45; reported $483.62
9PMPHILIP MORRIS INTL INC5.74%Reduce -14.8%6,124,597$982.39M$160.4052w: $116.12 - $186.69; reported $160.40
10METAMETA PLATFORMS INC5.26%Reduce -12.5%1,363,539$900.06M$660.0952w: $479.80 - $796.25; reported $660.09
11MTDMETTLER TOLEDO INTERNATIONAL4.73%Reduce -1.7%580,507$809.34M$1394.1952w: $946.69 - $1525.17; reported $1394.19
12PGPROCTER AND GAMBLE CO3.56%Reduce -7.2%4,248,048$608.79M$143.3152w: $138.14 - $179.99; reported $143.31
13CHDCHURCH AND DWIGHT CO INC3.30%Reduce -1.0%6,728,404$564.18M$83.8552w: $81.33 - $116.46; reported $83.85
14FTNTFORTINET INC3.02%Reduce -22.6%6,516,011$517.44M$79.4152w: $70.12 - $114.82; reported $79.41
15ZTSZOETIS INC2.87%Add +7.9%3,900,803$490.8M$125.8252w: $115.25 - $177.40; reported $125.82
16TXNTEXAS INSTRS INC2.66%Reduce -3.6%2,623,552$455.16M$173.4952w: $139.95 - $221.69; reported $173.49
17INTUINTUIT2.42%Add +3.5%625,619$414.42M$662.4252w: $532.65 - $813.70; reported $662.42
18NKENIKE INC2.15%Reduce -5.9%5,770,181$367.62M$63.7152w: $52.28 - $82.44; reported $63.71
19OTISOTIS WORLDWIDE CORP1.59%Reduce -46.5%3,112,380$271.87M$87.3552w: $84.25 - $106.83; reported $87.35
20MSCIMSCI INC0.56%-166,619$95.59M$573.7352w: $486.74 - $634.99; reported $573.73
21ROLROLLINS INC0.52%-1,478,629$88.75M$60.0252w: $45.34 - $61.84; reported $60.02
22QLYSQUALYS INC0.50%Reduce -25.6%647,806$86.09M$132.9052w: $112.61 - $155.47; reported $132.90
23PAYCPAYCOM SOFTWARE INC0.49%-523,433$83.41M$159.3652w: $156.50 - $267.76; reported $159.36
24ODDODDITY TECH LTD0.49%Add +46.4%2,074,167$83.34M$40.1852w: $35.30 - $79.18; reported $40.18
25CPRXCATALYST PHARMACEUTICALS INC0.46%-3,363,807$78.51M$23.3452w: $19.05 - $26.58; reported $23.34
26NSSCNAPCO SEC TECHNOLOGIES INC0.43%-1,779,857$74.22M$41.7052w: $19.00 - $48.12; reported $41.70
27DOCSDOXIMITY INC0.43%Add +21.7%1,650,002$73.06M$44.2852w: $43.25 - $85.21; reported $44.28
28NTNXNUTANIX INC0.42%New1,377,158$71.19M$51.6952w: $46.12 - $83.36; reported $51.69
29VRTVERTIV HOLDINGS CO0.39%Reduce -30.5%410,944$66.58M$162.0152w: $53.60 - $202.45; reported $162.01
30VRSNVERISIGN INC0.38%-270,634$65.75M$242.9552w: $203.66 - $310.60; reported $242.95
31CLXCLOROX CO DEL0.36%-613,497$61.86M$100.8352w: $96.66 - $164.22; reported $100.83
32MANHMANHATTAN ASSOCIATES INC0.29%-288,332$49.97M$173.3152w: $140.81 - $299.27; reported $173.31
33GGGGRACO INC0.28%Reduce -35.7%579,016$47.46M$81.9752w: $72.06 - $89.67; reported $81.97
34MEDPMEDPACE HLDGS INC0.27%Reduce -35.3%82,567$46.37M$561.6552w: $250.05 - $626.25; reported $561.65
35ADMAADMA BIOLOGICS INC0.22%New2,102,054$38.34M$18.2452w: $13.50 - $25.67; reported $18.24
36SABRSABRE CORP0.17%-21,499,095$29.24M$1.3652w: $1.33 - $4.63; reported $1.36
37HDHOME DEPOT INC0.16%Reduce -5.5%80,206$27.6M$344.1052w: $326.31 - $426.75; reported $344.10