MCDONALD CAPITAL INVESTORS INC/CA

MCDONALD CAPITAL INVESTORS INC/CA latest Q1_2021 13F filings reported $1,253,941,000 in market value on this 2021-04-23 report date . The portfolio quarterly return is 4.28%. This fund has 23 securities concentrations of 100% weights.

MCDONALD CAPITAL INVESTORS INC/CA largest holding is Progressive Corp. (The) with weight of 14.16% and $177,503,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-04-232021-03-31Q1_202113F-HR23$1,253,941,0004.28%
2021-02-052020-12-31Q4_202013F-HR20$1,202,459,0007.18%
2020-11-092020-09-30Q3_202013F-HR21$1,121,952,0005.33%
2020-07-302020-06-30Q2_202013F-HR19$1,065,203,0003.63%
2020-04-302020-03-31Q1_202013F-HR21$1,027,920,000-12.49%
2020-02-072019-12-31Q4_201913F-HR19$1,174,579,000-0.66%
2019-11-122019-09-30Q3_201913F-HR19$1,182,429,000-3.78%
2019-08-062019-06-30Q2_201913F-HR19$1,228,853,0002.05%
2019-05-012019-03-31Q1_201913F-HR20$1,204,191,00012.73%
2019-02-012018-12-31Q4_201813F-HR21$1,068,186,000-11.48%
2018-10-312018-09-30Q3_201813F-HR21$1,206,782,000-2.18%
2018-07-302018-06-30Q2_201813F-HR23$1,233,725,000-0.16%
2018-05-022018-03-31Q1_201813F-HR21$1,235,700,000-1.46%
2018-02-062017-12-31Q4_201713F-HR21$1,254,056,0007.00%
2017-10-312017-09-30Q3_201713F-HR21$1,172,060,0002.16%
2017-08-102017-06-30Q2_201713F-HR23$1,147,288,0001.44%
2017-05-022017-03-31Q1_201713F-HR23$1,130,953,0003.69%
2017-01-252016-12-31Q4_201613F-HR20$1,090,694,0003.60%
2016-10-282016-09-30Q3_201613F-HR22$1,052,744,0007.17%
2016-08-022016-06-30Q2_201613F-HR20$982,312,0001.51%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
PROGRESSIVE CORPPGRDECR$177,503-0.03%14.16%$95.610.00%1,856,529
PAYCHEXPAYXINCR$139,6590.04%11.14%$98.02-0.01%1,424,797
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$114,6080.09%9.14%$255.47-0.01%448,618
COMCAST CORP NEWCMCSAINCR$94,1820.02%7.51%$54.11-0.01%1,740,567
ECOLAB INCECLDECR$87,779-0.02%7.00%$214.07-0.01%410,048
FASTENAL COFASTINCR$85,9990.02%6.86%$50.28-0.01%1,710,393
BROOKFIELD ASSET MGMT INCBAMINCR$85,2930.07%6.80%$44.50-0.01%1,916,693
NIKE INCNKEDECR$85,236-0.07%6.80%$132.89-0.01%641,404
REGENERON PHARMACEUTICALSREGNDECR$84,127-0.02%6.71%$473.140.00%177,806
EXPEDITORS INTL WASH INCEXPDINCR$82,6450.12%6.59%$107.69-0.01%767,430
WELLS FARGO CO NEWWFCINCR$53,5820.28%4.27%$39.07-0.01%1,371,444
UNION PAC CORPUNPINCR$51,0020.05%4.07%$220.41-0.01%231,395
MARTIN MARIETTA MATLS INCMLMINCR$43,6490.17%3.48%$335.82-0.01%129,976
ALPHABET INC USD 0.001 CLS AGOOGLINCR$35,1080.17%2.80%$2062.51-0.01%17,022
J P MORGAN CHASE & CO COMJPMINCR$27,0000.19%2.15%$152.23-0.01%177,365
VARIAN MEDICAL SYSTEMS, INC.VARBUY$1,3950.00%0.11%$176.580.00%7,900
CARDTRONICS PLCCATMBUY$1,0900.00%0.09%$38.790.00%28,100
SCHLUMBERGER LTDSLBINCR$9790.25%0.08%$27.190.00%36,000
PROSHARES TRTBFINCR$8750.15%0.07%$18.120.00%48,300
PROTECTIVE INS CORPPTVCBBUY$9250.00%0.07%$22.870.00%40,450
FIVE PRIME THERAPEUTICS INCFPRXBUY$5090.00%0.04%$37.700.00%13,500
US BANCORP DEL COMPANYUSBINCR$5340.19%0.04%$55.340.00%9,649
GLU MOBILE INCGLUUBUY$2620.00%0.02%$12.480.00%21,000
BROOKFIELD PROPERTY REIT I-ABPYUSOLD$00.00%-100.00%$0.000.00%0
NATIONAL GEN HLDGS CORPSOLD$00.00%-100.00%$0.000.00%0