Hikari Power Ltd — 13F Holdings & Portfolio

CIK 1606152 · latest 13F-HR filed 2026-04-30

Hikari Power Ltd manages $1.1M in 13F-reported U.S. long-equity assets across 51 reported positions as of its 2026-03-31 13F-HR filing. Its largest disclosed positions are BRK.A (47.49%), LIN (6.79%), JNJ (6.58%). Quarter over quarter (versus its 2025-12-31 filing) the fund opened 2 new positions, exited 14, added to 11, and trimmed 32.

AUM is the long-equity portion reported on Form 13F-HR. Excludes short positions, cash, foreign holdings, and non-13F assets. For informational purposes only — not investment advice.

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AUM

$1.1M

Long-equity book

Holdings

51

Distinct positions

Period

2026-03-31

Filed 2026-04-30

Q/Q Activity

+2 / −14 / ↑11 / ↓32

vs 2025-12-31

Firm Profile & Key People
Name Title / Status Ownership Type

Top Adds (vs prior quarter)

  • EXXON MOBIL CORPORATION$14.8K +41.0%
  • LINDE PUBLIC LIMITED COMPANY$10.9K +16.3%
  • PHILLIPS 66$10.1K +41.2%
  • SHELL PLC$6.7K +26.6%
  • JOHNSON & JOHNSON$5.2K +7.4%
Show all 11

Top Trims

  • BERKSHIRE HATHAWAY INC CLASS A-$45.9K -7.8%
  • WATERS CORPORATION-$15.7K -86.8%
  • ROPER TECHNOLOGIES INC-$11.9K -35.9%
  • ALPHABET INC CLASS C-$9.8K -22.3%
  • WELLS FARGO & CO-$8.8K -94.0%
Show all 32

New Positions

  • VANGUARD ULTRA SHORT TREASURY ETF$10.4K
  • VANGUARD ULTRA SHORT BOND ETF$4.5K
Show all 2

Exited Positions

  • ABBVIE INC$12.2K
  • ISHARES PRIME MONEY MARKET ETF$10.3K
  • MEDTRONIC INC$7.6K
  • THE CIGNA GROUP$6.3K
  • JACK HENRY & ASSOCIATES INC$3.4K
Show all 14
All Holdings

Rows tagged Call or Put are options positions, not stock. Per SEC Form 13F-HR, Value shows the notional value of the underlying (shares covered × underlying price), not the option premium. Shares is the number of underlying shares covered (divide by 100 for contract count).

# Issuer Symbol CUSIP Value Weight Shares Type
1 BERKSHIRE HATHAWAY INC CLASS A BRK.A 084670108 $545.1K 47.49% 759 SH
2 LINDE PUBLIC LIMITED COMPANY LIN G54950103 $77.9K 6.79% 157,080 SH
3 JOHNSON & JOHNSON JNJ 478160104 $75.5K 6.58% 308,760 SH
4 EXXON MOBIL CORPORATION XOM 30231G102 $50.8K 4.42% 299,290 SH
5 VISA INC CLASS A V 92826C839 $46.5K 4.05% 153,930 SH
6 DANAHER CORP DHR 235851102 $35.1K 3.06% 185,170 SH
7 PHILLIPS 66 PSX 718546104 $34.7K 3.02% 190,330 SH
8 ALPHABET INC CLASS C GOOG 02079K107 $34.1K 2.97% 119,000 SH
9 SHELL PLC SHEL 780259305 $31.8K 2.77% 341,900 SH
10 MOODYS CORPORATION MCO 615369105 $23.1K 2.02% 53,040 SH
11 BANK OF NEW YORK MELLON CORP BK 064058100 $23.0K 2.01% 194,130 SH
12 ROPER TECHNOLOGIES INC ROP 776696106 $21.2K 1.85% 60,000 SH
13 INTUITIVE SURGICAL INC ISRG 46120E602 $19.9K 1.73% 43,070 SH
14 ALTRIA GROUP INC MO 02209S103 $12.9K 1.13% 196,060 SH
15 VANGUARD S&P 500 ETF VOO 922908363 $11.5K 1.00% 19,200 SH
16 NUTRIEN LTD NTR 67077M108 $11.3K 0.99% 150,000 SH
17 AMGEN INC AMGN 031162100 $10.9K 0.95% 30,990 SH
18 BHP GROUP LIMITED BHP 088606108 $10.7K 0.93% 147,400 SH
19 VANGUARD ULTRA SHORT TREASURY ETF VGUS 922040852 $10.4K 0.90% 136,950 SH
20 NASDAQ INC NDAQ 631103108 $8.5K 0.74% 100,500 SH
21 MASTERCARD INC MA 57636Q104 $5.0K 0.44% 10,000 SH
22 VERALTO CORPORATION VLTO 92338C103 $4.8K 0.42% 54,556 SH
23 NOVO NORDISK A/S NVO 670100205 $4.8K 0.42% 130,300 SH
24 VANGUARD ULTRA SHORT BOND ETF VUSB 92203C303 $4.5K 0.39% 90,620 SH
25 WABTEC CORPORATION WAB 929740108 $3.8K 0.33% 15,223 SH
26 BECTON DICKINSON & CO BDX 075887109 $3.8K 0.33% 23,970 SH
27 COCA COLA CO KO 191216100 $3.7K 0.32% 48,400 SH
28 BERKSHIRE HATHAWAY INC CLASS B BRK.B 084670702 $3.7K 0.32% 7,670 SH
29 GILEAD SCIENCES INC GILD 375558103 $2.6K 0.23% 18,630 SH
30 PARKER HANNIFIN CORPORATION PH 701094104 $2.5K 0.22% 2,840 SH
31 WATERS CORPORATION WAT 941848103 $2.4K 0.21% 8,024 SH
32 ALPHABET INC CLASS A GOOGL 02079K305 $2.1K 0.19% 7,390 SH
33 BANK OF AMERICA CORPORATION BAC 060505104 $2.0K 0.17% 40,240 SH
34 UNION PACIFIC CORP UNP 907818108 $990 0.09% 4,080 SH
35 AMETEK INC AME 031100100 $845 0.07% 3,940 SH
36 CORVUS PHARMACEUTICALS INC CRVS 221015100 $731 0.06% 49,959 SH
37 WELLS FARGO & CO WFC 949746101 $557 0.05% 7,000 SH
38 FORTIVE CORP FTV 34959J108 $428 0.04% 7,750 SH
39 LOCKHEED MARTIN CORP LMT 539830109 $417 0.04% 690 SH
40 VEEVA SYSTEMS INC-CLASS A VEEV 922475108 $401 0.03% 2,280 SH
41 AGILENT TECHNOLOGIES INC A 00846U101 $384 0.03% 3,370 SH
42 IDEX CORPORATION IEX 45167R104 $315 0.03% 1,660 SH
43 SOLVENTUM CORPORATION SOLV 83444M101 $307 0.03% 4,697 SH
44 METTLER-TOLEDO INTERNATIONAL MTD 592688105 $296 0.03% 235 SH
45 ANAVEX LIFE SCIENCES CORP AVXL 032797300 $263 0.02% 85,585 SH
46 3M CO MMM 88579Y101 $256 0.02% 1,760 SH
47 BROOKFIELD CORPORATION BN 11271J107 $249 0.02% 6,150 SH
48 ECOLAB INC ECL 278865100 $242 0.02% 910 SH
49 VANGUARD HEALTH CARE ETF VHT 92204A504 $229 0.02% 840 SH
50 OCULAR THERAPEUTIX INC OCUL 67576A100 $144 0.01% 17,000 SH
Filing History
Period Filed AUM Holdings Accession
2026-03-31 2026-04-30 $1.1M 51 0001606152-26-000002
2025-12-31 2026-02-04 $1.3M 63 0001606152-26-000001