Abrams Capital Management

David Abrams

$5.5B Portfolio Value
11 Stocks
+0.36% YTD Return
Aug 13, 2026 Last Updated
Portfolio Value Over Time

Current Holdings for Abrams Capital Management

Stock Click to search
Shares Value % of Portfolio Change Est. Return
LOAR|Loar Holdings Inc
32.1M $2.6B
47.15%
+31.91%
LAD|Lithia Mtrs Inc
2.5M $723.5M
13.20%
+227.41%
GOOGL|Alphabet Inc
1.4M $489.8M
8.94%
TRIM -26.6% +466.07%
SGI|Somnigroup International Inc
5.8M $454.6M
8.30%
+25.66%
ABG|Asbury Automotive Group Inc
2.2M $433.4M
7.91%
CPNG|Coupang Inc
13.0M $226.1M
4.13%
-41.64%
WTW|Willis Towers Watson PLC Ltd
720.8K $188.4M
3.44%
UHAL-B|U Haul Holding Company
3.3M $187.6M
3.42%
+3.83%
META|Meta Platforms Inc
325.2K $183.2M
3.34%
+313.97%
NUVB|Nuvation Bio Inc
1.3M $7.2M
0.13%
-35.66%
UHAL|U Haul Holding Company
36.4K $2.4M
0.04%

Trading Activity for Abrams Capital Management

Stock Click to search
Action Change Shares After Value Est. Return
2026-Q2
GOOGL|Alphabet Inc
SELL -26.55% 1.4M $490M +511.3%
2026-Q1
GOOGL|Alphabet Inc
SELL -2.65% 1.9M $537M +426.5%
SGI|Somnigroup International Inc
SELL -0.09% 5.8M $429M +80.2%
ET|Energy Transfer L P
SELL EXIT +81.9%
NUVB|Nuvation Bio Inc
SELL -66.67% 1.3M $5M -48.3%
2025-Q4
GOOGL|Alphabet Inc
SELL -9.77% 1.9M $600M +381.5%
SGI|Somnigroup International Inc
SELL -0.70% 5.8M $518M +76.7%
META|Meta Platforms Inc
SELL -17.63% 325.2K $215M +377.5%
ET|Energy Transfer L P
SELL -1.46% 6.1M $101M +63.5%
CRCL|Circle Internet Group Inc
SELL EXIT -41.0%
2025-Q3
LAD|Lithia Mtrs Inc
BUY +1.88% 2.5M $787M +12.3%
ABG|Asbury Automotive Group Inc
BUY +2.23% 2.2M $527M -13.2%
2025-Q2
LOAR|Loar Holdings Inc
SELL -14.37% 32.1M $2.8B +55.1%
CTLP|Cantaloupe Inc
SELL EXIT +26.8%
CRCL|Circle Internet Group Inc
BUY NEW 275.0K $50M -37.2%
2025-Q1
LAD|Lithia Mtrs Inc
BUY +2.24% 2.4M $718M +6.9%
SGI|Somnigroup International Inc
BUY +62.37% 5.8M $350M +4.0%
ET|Energy Transfer L P
SELL -65.20% 6.2M $115M +92.5%
META|Meta Platforms Inc
SELL -29.22% 394.8K $228M +356.8%
2024-Q4
LOAR|Loar Holdings Inc
SELL -2.62% 37.4M $2.8B +46.3%
GOOGL|Alphabet Inc
BUY +2.75% 2.1M $402M +98.8%
META|Meta Platforms Inc
SELL -10.12% 557.8K $327M +323.8%
UHAL-B|U Haul Holding Company
SELL -4.47% 3.3M $208M +13.7%
CWH|Camping World Hldgs Inc
SELL EXIT +35.7%
2024-Q3
UHAL-B|U Haul Holding Company
SELL -3.99% 3.4M $245M +10.4%
CWH|Camping World Hldgs Inc
SELL -39.15% 3.1M $75M +27.6%
UHAL|U Haul Holding Company
SELL -51.47% 36.4K $3M
2024-Q2
LOAR|Loar Holdings Inc
BUY NEW 38.4M $2.1B +31.9%
UHAL|U Haul Holding Company
SELL -72.92% 75.0K $5M
2024-Q1
GOOGL|Alphabet Inc
SELL -10.99% 2.1M $312M +150.0%
META|Meta Platforms Inc
SELL -12.79% 620.5K $301M +241.9%
UHAL-B|U Haul Holding Company
SELL -3.22% 3.5M $236M +10.7%
WTW|Willis Towers Watson PLC Ltd
SELL -10.67% 720.8K $198M
TEVA|Teva Pharmaceutical Inds Ltd
SELL EXIT
UHAL|U Haul Holding Company
SELL -31.94% 277.0K $19M
USCB|Uscb Financial Holdings Inc
SELL EXIT -17.3%
2023-Q4
META|Meta Platforms Inc
SELL -23.36% 711.5K $252M +135.4%
TEVA|Teva Pharmaceutical Inds Ltd
SELL -24.72% 6.0M $63M
USCB|Uscb Financial Holdings Inc
SELL -76.92% 149.8K $2M -17.6%
2023-Q3
LAD|Lithia Mtrs Inc
BUY +1.71% 2.4M $706M +22.2%
META|Meta Platforms Inc
SELL -18.42% 928.5K $279M +117.5%
TDG|Transdigm Group Inc
SELL EXIT +48.0%
HZNP|Horizon Therapeutics Pub L
SELL EXIT
2023-Q2
META|Meta Platforms Inc
SELL -47.11% 1.1M $327M +75.8%
TDG|Transdigm Group Inc
SELL -14.59% 312.7K $280M +32.1%
GOOGL|Alphabet Inc
SELL -0.73% 2.3M $278M +107.4%
CPNG|Coupang Inc
SELL -3.14% 13.0M $227M -42.2%
HZNP|Horizon Therapeutics Pub L
BUY NEW 891.0K $92M
2023-Q1
META|Meta Platforms Inc
SELL -1.14% 2.2M $456M +26.5%
ABG|Asbury Automotive Group Inc
SELL -0.46% 2.1M $443M
TEVA|Teva Pharmaceutical Inds Ltd
SELL -50.00% 8.0M $71M
CTLP|Cantaloupe Inc
BUY +132.36% 7.2M $41M +112.9%
2022-Q4
CHNGUSD|Change Healthcare Inc
SELL EXIT
TDG|Transdigm Group Inc
SELL -32.10% 366.2K $231M +1.8%
GOOGL|Alphabet Inc
SELL -19.62% 2.3M $206M +68.3%
META|Meta Platforms Inc
BUY +80.64% 2.2M $262M +387.8%
ET|Energy Transfer L P
SELL -19.01% 17.8M $212M +17.2%
CPNG|Coupang Inc
BUY +0.34% 13.4M $198M -7.5%
UHAL|U Haul Holding Company
SELL -3.76% 407.0K $24M
WTW|Willis Towers Watson PLC Ltd
SELL -24.51% 806.8K $197M
UHAL-B|U Haul Holding Company
BUY NEW 3.7M $201M +3.8%
TEVA|Teva Pharmaceutical Inds Ltd
SELL -33.33% 15.9M $145M
OI|O-i Glass Inc
SELL EXIT +56.2%
KMI|Kinder Morgan Inc
SELL EXIT +5.5%
USCB|Uscb Financial Holdings Inc
SELL -23.22% 649.1K $8M -2.5%
2022-Q3
CHNGUSD|Change Healthcare Inc
SELL -6.30% 15.9M $437M
GOOGL|Alphabet Inc
SELL -0.62% 2.9M $278M +95.9%
ET|Energy Transfer L P
SELL -0.47% 22.0M $243M +10.9%
CPNG|Coupang Inc
SELL -1.53% 13.4M $223M -37.9%
KMI|Kinder Morgan Inc
SELL -72.93% 3.4M $56M +5.0%
TEVA|Teva Pharmaceutical Inds Ltd
SELL -0.61% 23.9M $193M
USCB|Uscb Financial Holdings Inc
SELL -1.62% 845.4K $11M -5.2%
2022-Q2
No position changes reported in this filing.
2022-Q1
UHAL|Amerco
SELL -5.59% 422.9K $252M
CPNG|Coupang Inc
BUY +40.31% 13.6M $241M -22.8%
CTLP|Cantaloupe Inc
SELL -1.44% 3.1M $21M -6.2%
2021-Q4
UHAL|Amerco
SELL -20.18% 448.0K $325M
CPNG|Coupang Inc
BUY +119.62% 9.7M $285M -42.1%
WTW|Willis Towers Watson PLC Ltd
SELL -2.31% 1.1M $254M
USCB|Uscb Financial Holdings Inc
BUY NEW 859.4K $12M +64.6%
SELL EXIT
2021-Q3
CHNGUSD|Change Healthcare Inc
BUY +21.76% 17.0M $356M
PCG|PG&E Corp
SELL EXIT -47.6%
SGI|Tempur Sealy Intl Inc
BUY NEW 3.6M $167M +44.4%
CPNG|Coupang Inc
BUY NEW 4.4M $123M -51.7%
BUY NEW 859.4K $10M
2021-Q2
CHNGUSD|Change Healthcare Inc
BUY +12.45% 13.9M $321M
PCG|PG&E Corp
SELL -6.89% 21.2M $215M -40.1%
CTLP|Cantaloupe Inc
BUY NEW 2.1M $25M -7.7%
USATEUR|USA Technologies Inc
SELL EXIT
2021-Q1
PCG|PG&E Corp
SELL -1.94% 22.7M $266M -34.0%
CHNGUSD|Change Healthcare Inc
BUY NEW 12.4M $274M
TMDX|Transmedics Group Inc
SELL EXIT +16.1%
NUVB|Nuvation Bio Inc
BUY NEW 3.8M $34M -35.7%
USATEUR|USA Technologies Inc
BUY NEW 2.1M $22M
BMY-R|Bristol-myers Squibb Co
SELL EXIT
35OB|Sculptor Cap Mgmt
SELL EXIT
CCO|Clear Channel Outdoor Hldgs
SELL EXIT -62.8%
2020-Q4
LAD|Lithia Mtrs Inc
BUY +5.62% 2.4M $688M +35.4%
PCG|PG&E Corp
SELL -7.22% 23.2M $289M -35.8%
BEN|Franklin Resources Inc
SELL EXIT
BMY-R|Bristol-myers Squibb Co
BUY +67.57% 24.8M $17M
35OB|Sculptor Cap Mgmt
SELL -67.19% 522.0K $8M
AKBA|Akebia Therapeutics Inc
SELL EXIT -63.7%
2020-Q3
BEN|Franklin Resources Inc
SELL -15.58% 8.2M $167M
CWH|Camping World Hldgs Inc
SELL -16.37% 5.1M $152M +90.8%
ET|Energy Transfer LP
BUY +63.55% 22.1M $120M +230.4%
BMY-R|Bristol-myers Squibb Co
SELL -36.21% 14.8M $33M
35OB|Sculptor Cap Mgmt
SELL -22.72% 1.6M $19M
SELL EXIT
2020-Q2
AGN|Allergan PLC
SELL EXIT
KMI|Kinder Morgan Inc
BUY +27.23% 12.5M $189M +115.7%
SPH|Suburban Propane Partners L
SELL EXIT
SELL -94.52% 406.1K $201000
2020-Q1
ORLY|O Reilly Automotive Inc
SELL EXIT
ABG|Asbury Automotive Group Inc
BUY +11.34% 2.1M $117M +118.5%
META|Facebook Inc
BUY +18.17% 1.2M $201M +172.6%
KMI|Kinder Morgan Inc
BUY +14.96% 9.8M $137M +55.9%
TDG|Transdigm Group Inc
BUY NEW 539.3K $173M +99.3%
GOOGL|Alphabet Inc
BUY +21.01% 146.4K $170M -76.0%
SPH|Suburban Propane Partners L
SELL -10.74% 2.7M $38M
ET|Energy Transfer LP
BUY NEW 13.5M $62M +70.2%
OI|O-i Glass Inc
BUY +42.27% 6.9M $49M -45.8%
2019-Q4
CELG|Celgene Corp
SELL EXIT
LAD|Lithia Mtrs Inc
SELL -3.21% 2.2M $327M +73.3%
BEN|Franklin Res Inc
SELL -0.56% 9.7M $252M
AABAUSD|Altaba Inc
SELL EXIT
AGN|Allergan PLC
BUY NEW 1.2M $237M
ORLY|O Reilly Automotive Inc
SELL -2.70% 519.5K $228M
WTW|Willis Towers Watson Pub Ltd
SELL -1.42% 1.1M $221M
META|Facebook Inc
SELL -0.49% 1.0M $209M +34.2%
GOOGL|Alphabet Inc
SELL -2.50% 121.0K $162M +19.7%
CWH|Camping World Hldgs Inc
BUY +11.91% 6.1M $90M -46.1%
BMY-R|Bristol Myers Squibb Co
BUY NEW 23.2M $70M
OI|O-i Glass Inc
BUY NEW 4.9M $58M -29.3%
35OB|Sculptor Cap Mgmt
SELL -7.42% 2.1M $46M
2019-Q3
AABAUSD|Altaba Inc
BUY NEW 12.7M $246M
TEVA|Teva Pharmaceutical Inds Ltd
BUY +33.25% 24.0M $165M +398.9%
CWH|Camping World Hldgs Inc
BUY +6.85% 5.5M $49M -30.3%
OZM|Och Ziff Cptl Mangemnt Grp I
SELL EXIT
35OB|Sculptor Cap Mgmt
BUY NEW 2.2M $43M
2019-Q2
ORLY|O Reilly Automotive Inc
SELL -28.64% 533.9K $197M
TMDX|Transmedics Group Inc
BUY NEW 3.5M $88M +237.4%
CWH|Camping World Hldgs Inc
BUY +29.49% 5.1M $63M -48.1%
CCO|Clear Channel Outdoor Hldgs
SELL EXIT
BNEDUSD|Barnes & Noble Ed Inc
SELL EXIT
CCO|Clear Channel Outdoor Hldgs
BUY NEW 3.4M $16M -54.7%
2019-Q1
CELG|Celgene Corp
BUY NEW 6.8M $637M
PCG|PG&E Corp
BUY NEW 25.0M $445M +0.5%
BEN|Franklin Res Inc
SELL -2.64% 9.8M $324M
ORLY|O Reilly Automotive Inc
SELL -13.01% 748.1K $290M
TEVA|Teva Pharmaceutical Inds Ltd
SELL -2.57% 18.0M $283M
UHAL|Amerco
SELL -2.57% 561.3K $209M
WU|Western Un Co
SELL EXIT
META|Facebook Inc
BUY +2.51% 1.0M $171M +248.3%
KMI|Kinder Morgan Inc
SELL -2.64% 8.5M $171M +10.3%
CWH|Camping World Hldgs Inc
BUY +2.24% 3.9M $55M -54.3%
OZM|Och Ziff Cap Mgmt Group
BUY NEW 2.2M $36M
BNEDUSD|Barnes & Noble Ed Inc
SELL -27.45% 4.3M $18M
OZM|Och Ziff Cap Mgmt Group
SELL EXIT
ENT|Global Eagle Entmt Inc
SELL EXIT
2018-Q4
TEVA|Teva Pharmaceutical Inds Ltd
SELL -5.12% 18.5M $286M
SHIR|Shire PLC
SELL EXIT
WU|Western Un Co
SELL -50.70% 10.4M $178M
ORLY|O Reilly Automotive Inc
SELL -2.63% 860.0K $296M
ESRX|Express Scripts Hldg Co
SELL EXIT +24.1%
BEN|Franklin Res Inc
BUY +0.93% 10.0M $298M +10.1%
AABAUSD|Altaba Inc
SELL EXIT
LAD|Lithia Mtrs Inc
BUY +15.00% 2.3M $176M +372.9%
WTW|Willis Towers Watson Pub Ltd
SELL -6.21% 1.1M $169M
AET|Aetna Inc
SELL EXIT +14.3%
META|Facebook Inc
BUY NEW 999.6K $131M +295.6%
ABG|Asbury Automotive Group Inc
BUY +20.03% 1.9M $127M +218.8%
BUY NEW 7.4M $99M
CWH|Camping World Hldgs Inc
BUY +65.75% 3.9M $44M -64.6%
AKBA|Akebia Therapeutics Inc
BUY +405.36% 5.7M $31M -89.2%
KERX|Keryx Biopharmaceuticals Inc
SELL EXIT
ENT|Global Eagle Entmt Inc
SELL -6.95% 6.1M $14M
2018-Q3
TEVA|Teva Pharmaceutical Inds Ltd
SELL -1.12% 19.5M $421M
WU|Western Un Co
SELL -0.87% 21.2M $403M
SHIR|Shire PLC
BUY NEW 2.2M $407M
ESRX|Express Scripts Hldg Co
BUY +20.32% 3.2M $303M
BEN|Franklin Res Inc
BUY +25.17% 9.9M $302M +4.7%
AET|Aetna Inc
SELL -47.71% 823.6K $167M +10.6%
AABAUSD|Altaba Inc
SELL -1.37% 3.8M $257M
PCG|PG&E Corp
SELL EXIT
LAD|Lithia Mtrs Inc
BUY +92.25% 2.0M $163M +328.3%
QCP|Quality Care Pptys Inc
SELL EXIT
ABG|Asbury Automotive Group Inc
BUY +46.08% 1.6M $109M +193.4%
SPH|Suburban Propane Partners L
BUY +5.52% 3.0M $70M -25.0%
CWH|Camping World Hldgs Inc
BUY NEW 2.3M $50M -70.0%
KERX|Keryx Biopharmaceuticals Inc
SELL -8.45% 9.1M $31M
GPI|Group 1 Automotive Inc
SELL EXIT
ENT|Global Eagle Entmt Inc
SELL -6.82% 6.5M $18M
AKBA|Akebia Therapeutics Inc
BUY NEW 1.1M $10M -89.6%
2018-Q2
WU|Western Un Co
SELL -1.19% 21.4M $434M
TWXCHF|Time Warner Inc
SELL EXIT
AABAUSD|Altaba Inc
SELL -2.36% 3.8M $280M
AET|Aetna Inc
BUY +14.13% 1.6M $289M
UHAL|Amerco
BUY +17.07% 576.0K $205M -80.3%
ESRX|Express Scripts Hldg Co
BUY NEW 2.7M $205M
KMI|Kinder Morgan Inc
BUY +3.41% 8.8M $155M +100.7%
QCP|Quality Care Pptys Inc
BUY +0.37% 7.0M $151M
GOOGL|Alphabet Inc
BUY NEW 124.1K $140M -68.6%
LAD|Lithia Mtrs Inc
BUY NEW 1.0M $98M +278.1%
SPH|Suburban Propane Partners L
BUY +42.44% 2.8M $67M -24.0%
BNEDUSD|Barnes & Noble Ed Inc
SELL -3.95% 5.9M $33M
KERX|Keryx Biopharmaceuticals Inc
BUY +2.38% 10.0M $37M
GPI|Group 1 Automotive Inc
SELL -8.63% 457.3K $29M
2018-Q1
TWXCHF|Time Warner Inc
BUY +12.26% 3.3M $316M
AET|Aetna Inc
BUY NEW 1.4M $233M
WFC|Wells Fargo Co
SELL EXIT
PCG|PG&E Corp
BUY +20.35% 3.9M $172M -58.5%
UHAL|Amerco
BUY +24.69% 492.0K $170M -80.6%
QCP|Quality Care Pptys Inc
BUY +37.86% 7.0M $136M
KMI|Kinder Morgan Inc
BUY NEW 8.5M $128M +92.4%
CLNC|Colony Northstar Inc
SELL EXIT
BNEDUSD|Barnes & Noble Ed Inc
SELL -6.51% 6.1M $42M
SPH|Suburban Propane Partners L
BUY +31.89% 2.0M $44M -28.7%
GPI|Group 1 Automotive Inc
BUY +99.81% 500.5K $33M +250.6%

Closed Positions for Abrams Capital Management

Stock Click to search
Held Period Cost Basis Sale Proceeds Realized Gain Return CAGR
ET|Energy Transfer L P
2020-Q1 → 2026-Q1 (6.0y) $225.5M $394.3M $+168.7M +74.8% +9.8%
CRCL|Circle Internet Group Inc
2025-Q2 → 2025-Q4 (0.5y) $41.3M $24.4M $-16.9M -41.0% -65.3%
CTLP|Cantaloupe Inc
2021-Q2 → 2025-Q2 (4.0y) $46.9M $59.4M $+12.5M +26.8% +6.1%
CWH|Camping World Hldgs Inc
2018-Q3 → 2024-Q4 (6.2y) $104.0M $147.8M $+43.8M +42.1% +5.8%
USCB|Uscb Financial Holdings Inc
2021-Q4 → 2024-Q1 (2.2y) $11.8M $10.2M $-1.6M -13.9% -6.5%
TDG|Transdigm Group Inc
2020-Q1 → 2023-Q3 (3.5y) $321.1M $422.7M $+101.5M +31.6% +8.2%
KMI|Kinder Morgan Inc
2018-Q1 → 2022-Q4 (4.7y) $216.7M $228.0M $+11.2M +5.2% +1.1%
OI|O-i Glass Inc
2019-Q4 → 2022-Q4 (3.0y) $72.6M $113.4M $+40.8M +56.2% +16.1%
PCG|PG&E Corp
2019-Q1 → 2021-Q3 (2.5y) $444.0M $239.7M $-204.3M -46.0% -21.9%
TMDX|Transmedics Group Inc
2019-Q2 → 2021-Q1 (1.7y) $95.2M $110.5M $+15.3M +16.1% +8.9%
CCO|Clear Channel Outdoor Hldgs
2019-Q2 → 2021-Q1 (1.7y) $17.2M $6.4M $-10.8M -62.8% -43.3%
AKBA|Akebia Therapeutics Inc
2018-Q3 → 2020-Q4 (2.2y) $46.0M $16.7M $-29.3M -63.7% -36.4%
AET|Aetna Inc
2018-Q1 → 2018-Q4 (0.7y) $280.5M $315.7M $+35.2M +12.5% +17.1%
ESRX|Express Scripts Hldg Co
2018-Q2 → 2018-Q4 (0.5y) $247.7M $307.5M $+59.8M +24.1% +54.3%