AKO Capital

Nicolai Tangen

$7.0B Portfolio Value
23 Stocks
-13.97% YTD Return
Nov 13, 2025 Last Updated
Portfolio Value Over Time

Current Holdings for AKO Capital

Stock Click to search
Shares Value % of Portfolio Change Est. Return
FLUT|FLUTTER ENTMT PLC
3.1M $796.7M
11.33%
ADD +4.9% -30.89%
ALCON AG
8.0M $593.8M
8.44%
ADD +3.4%
MSFT|MICROSOFT CORP
1.1M $553.7M
7.87%
TRIM -16.0% +55.71%
V|VISA INC
1.6M $541.0M
7.69%
TRIM -3.6%
INTU|INTUIT
674.4K $460.6M
6.55%
TRIM -0.2% +9.57%
GE|GE AEROSPACE
1.3M $397.3M
5.65%
TRIM -36.0% +191.78%
AMZN|AMAZON COM INC
1.8M $397.0M
5.64%
ADD +23.8% +21.92%
DUT|MOODYS CORP
767.1K $365.5M
5.20%
TRIM -7.3%
MRSH|MARSH & MCLENNAN COS INC
1.8M $362.7M
5.16%
ADD +1.0% -8.96%
ICE|INTERCONTINENTAL EXCHANGE IN
2.1M $351.1M
4.99%
TRIM -4.9% +52.46%
BKNG|BOOKING HOLDINGS INC
64.6K $348.9M
4.96%
TRIM -6.5% +146.69%
RACE|FERRARI N V
633.0K $306.2M
4.35%
TRIM -2.0%
ADI|ANALOG DEVICES INC
1.2M $300.5M
4.27%
TRIM -3.5% +51.89%
CPRT|COPART INC
5.5M $248.6M
3.53%
ADD +3.5% -10.45%
WAT|WATERS CORP
806.9K $241.9M
3.44%
ADD +2.5% +39.19%
EFX|EQUIFAX INC
938.3K $240.7M
3.42%
ADD +2.9% -5.83%
FICO|FAIR ISAAC CORP
123.6K $185.0M
2.63%
TRIM -19.3%
ZTS|ZOETIS INC
683.7K $100.0M
1.42%
TRIM -54.8% -20.37%
CRM|SALESFORCE INC
326.1K $77.3M
1.10%
TRIM -30.5% -25.90%
CP|CANADIAN PACIFIC KANSAS CITY
799.6K $59.6M
0.85%
ADD NEW -4.62%
CDNS|CADENCE DESIGN SYSTEM INC
168.8K $59.3M
0.84%
ADD +28.0% +32.10%
LIN|LINDE PLC
79.1K $37.6M
0.53%
TRIM -3.5% +20.27%
BAH|BOOZ ALLEN HAMILTON HLDG COR
86.9K $8.7M
0.12%
TRIM -3.5% -38.79%

Trading Activity for AKO Capital

Stock Click to search
Action Change Shares After Value Est. Return
2025-Q3
FLUT|FLUTTER ENTMT PLC
BUY +4.94% 3.1M $797M
ALCON AG
BUY +3.38% 8.0M $594M
MSFT|MICROSOFT CORP
SELL -16.00% 1.1M $554M +75.8%
V|VISA INC
SELL -3.56% 1.6M $541M
INTU|INTUIT
SELL -0.20% 674.4K $461M +42.4%
GE|GE AEROSPACE
SELL -35.97% 1.3M $397M +169.1%
DUT|MOODYS CORP
SELL -7.30% 767.1K $366M
ICE|INTERCONTINENTAL EXCHANGE IN
SELL -4.91% 2.1M $351M +58.0%
BKNG|BOOKING HOLDINGS INC
SELL -6.50% 64.6K $349M +167.4%
AMZN|AMAZON COM INC
BUY +23.78% 1.8M $397M
MRSH|MARSH & MCLENNAN COS INC
BUY +0.98% 1.8M $363M
RACE|FERRARI N V
SELL -2.03% 633.0K $306M
ADI|ANALOG DEVICES INC
SELL -3.54% 1.2M $301M +20.4%
FICO|FAIR ISAAC CORP
SELL -19.33% 123.6K $185M
WAT|WATERS CORP
BUY +2.49% 806.9K $242M
CPRT|COPART INC
BUY +3.49% 5.5M $249M
EFX|EQUIFAX INC
BUY +2.91% 938.3K $241M
ZTS|ZOETIS INC
SELL -54.75% 683.7K $100M -2.9%
CRM|SALESFORCE INC
SELL -30.50% 326.1K $77M -18.7%
CP|CANADIAN PACIFIC KANSAS CITY
BUY NEW 799.6K $60M
CDNS|CADENCE DESIGN SYSTEM INC
BUY +28.04% 168.8K $59M
ILMN|ILLUMINA INC
SELL EXIT -20.4%
LIN|LINDE PLC
SELL -3.50% 79.1K $38M +29.3%
TMO|THERMO FISHER SCIENTIFIC INC
SELL EXIT -3.7%
BAH|BOOZ ALLEN HAMILTON HLDG COR
SELL -3.52% 86.9K $9M -31.8%
CNR|CANADIAN NATL RY CO
SELL EXIT -13.9%
2025-Q2
FLUT|FLUTTER ENTMT PLC
BUY +14.77% 3.0M $848M
ALCON AG
BUY +8.40% 7.7M $681M
MSFT|MICROSOFT CORP
BUY +1.75% 1.3M $633M
V|VISA INC
SELL -7.47% 1.6M $583M
INTU|INTUIT
BUY +21.59% 675.8K $532M
GE|GE AEROSPACE
SELL -16.35% 2.1M $531M +120.8%
MRSH|MARSH & MCLENNAN COS INC
SELL -16.00% 1.8M $390M +14.4%
DUT|MOODYS CORP
BUY +0.10% 827.6K $415M
ICE|INTERCONTINENTAL EXCHANGE IN
SELL -3.98% 2.2M $402M +53.2%
BKNG|BOOKING HOLDINGS INC
SELL -4.09% 69.1K $400M +150.8%
ACCENTURE PLC IRELAND
SELL EXIT
WAT|WATERS CORP
SELL -11.26% 787.3K $275M +20.5%
AMZN|AMAZON COM INC
BUY +1.58% 1.5M $320M
RACE|FERRARI N V
BUY +10.42% 646.1K $317M
ADI|ANALOG DEVICES INC
BUY +1.94% 1.3M $302M
CPRT|COPART INC
BUY +5.11% 5.3M $262M
FICO|FAIR ISAAC CORP
BUY +1.73% 153.3K $280M
ZTS|ZOETIS INC
SELL -0.86% 1.5M $236M +1.2%
EFX|EQUIFAX INC
BUY +19.52% 911.8K $236M
TMO|THERMO FISHER SCIENTIFIC INC
SELL -92.06% 26.4K $11M -16.1%
CRM|SALESFORCE INC
BUY +30.38% 469.3K $128M
ILMN|ILLUMINA INC
SELL -39.99% 534.0K $51M -35.5%
CDNS|CADENCE DESIGN SYSTEM INC
SELL -4.08% 131.8K $41M +25.5%
LIN|LINDE PLC
SELL -3.57% 82.0K $38M +24.6%
BAH|BOOZ ALLEN HAMILTON HLDG COR
SELL -3.68% 90.0K $9M -30.8%
2025-Q1
ALCON AG
BUY +21.09% 7.1M $673M
V|VISA INC
BUY +1.07% 1.8M $622M
FLUT|FLUTTER ENTMT PLC
BUY NEW 2.6M $572M
MRSH|MARSH & MCLENNAN COS INC
BUY +2.86% 2.1M $518M
GE|GE AEROSPACE
SELL -8.42% 2.5M $494M +98.6%
MSFT|MICROSOFT CORP
BUY +9.45% 1.3M $470M
ACCENTURE PLC IRELAND
SELL -5.55% 1.2M $387M
ICE|INTERCONTINENTAL EXCHANGE IN
SELL -12.40% 2.3M $394M +46.0%
DUT|MOODYS CORP
BUY +26.53% 826.7K $385M
INTU|INTUIT
SELL -6.50% 555.8K $341M +27.0%
BKNG|BOOKING HOLDINGS INC
SELL -0.58% 72.1K $332M +128.8%
WAT|WATERS CORP
BUY +8.81% 887.2K $327M
AMZN|AMAZON COM INC
BUY +2.10% 1.4M $274M
FICO|FAIR ISAAC CORP
BUY +1.38% 150.7K $278M
CPRT|COPART INC
BUY +15.71% 5.1M $288M
RACE|FERRARI N V
SELL -5.58% 585.1K $249M
ZTS|ZOETIS INC
BUY +1.20% 1.5M $251M
ADI|ANALOG DEVICES INC
BUY +6.56% 1.2M $251M
PG|PROCTER AND GAMBLE CO
SELL EXIT +37.9%
EFX|EQUIFAX INC
BUY +5.05% 762.9K $186M
TMO|THERMO FISHER SCIENTIFIC INC
BUY +6.07% 332.8K $166M
WMG|WARNER MUSIC GROUP CORP
SELL EXIT -2.5%
MSCI|MSCI INC
SELL EXIT +5.8%
CRM|SALESFORCE INC
BUY NEW 359.9K $97M
ILMN|ILLUMINA INC
BUY +79.64% 889.7K $71M
CDNS|CADENCE DESIGN SYSTEM INC
SELL -38.64% 137.4K $35M +22.5%
LIN|LINDE PLC
SELL -33.63% 85.0K $40M +25.0%
BAH|BOOZ ALLEN HAMILTON HLDG COR
BUY +1.06% 93.5K $10M
CNR|CANADIAN NATL RY CO
BUY +73.52% 19.1K $2M
2024-Q4
ALCON AG
SELL -4.57% 5.9M $499M
V|VISA INC
SELL -1.88% 1.8M $555M
MSFT|MICROSOFT CORP
SELL -9.68% 1.1M $482M +51.5%
GE|GE AEROSPACE
BUY +1.69% 2.7M $449M
ICE|INTERCONTINENTAL EXCHANGE IN
SELL -12.55% 2.6M $388M +38.1%
ACCENTURE PLC IRELAND
BUY +11.59% 1.3M $461M
MRSH|MARSH & MCLENNAN COS INC
BUY +4.54% 2.1M $438M
FICO|FAIR ISAAC CORP
SELL -33.12% 148.6K $296M
INTU|INTUIT
BUY +8.31% 594.5K $374M
BKNG|BOOKING HOLDINGS INC
SELL -4.11% 72.5K $360M +138.4%
DUT|MOODYS CORP
SELL -4.40% 653.4K $309M
AMZN|AMAZON COM INC
SELL -5.37% 1.4M $309M +10.7%
RACE|FERRARI N V
SELL -4.61% 619.7K $264M
WAT|WATERS CORP
BUY +3.19% 815.4K $302M
ZTS|ZOETIS INC
BUY +0.92% 1.5M $245M
TMO|THERMO FISHER SCIENTIFIC INC
SELL -25.90% 313.8K $163M +9.8%
ADI|ANALOG DEVICES INC
BUY +3.82% 1.2M $248M
CPRT|COPART INC
BUY +21.12% 4.4M $252M
WMG|WARNER MUSIC GROUP CORP
SELL -36.99% 4.3M $134M -3.9%
PG|PROCTER AND GAMBLE CO
BUY +10.81% 1.2M $197M
EFX|EQUIFAX INC
BUY +32.09% 726.2K $185M
LIN|LINDE PLC
SELL -63.78% 128.1K $54M +24.9%
MSCI|MSCI INC
BUY +1.36% 208.9K $125M
CDNS|CADENCE DESIGN SYSTEM INC
BUY +12.77% 223.9K $67M
ILMN|ILLUMINA INC
BUY NEW 495.3K $66M
BAH|BOOZ ALLEN HAMILTON HLDG COR
BUY NEW 92.5K $12M
CNR|CANADIAN NATL RY CO
BUY +10.91% 11.0K $1M
2024-Q3
ALCON INC
SELL -3.35% 6.2M $616M
MSFT|MICROSOFT CORP
BUY +4.47% 1.3M $544M
GE|GENERAL ELECTRIC CO
SELL -7.05% 2.6M $499M +67.7%
V|VISA INC
BUY +34.65% 1.8M $492M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +11.56% 3.0M $479M
FICO|FAIR ISAAC CORP
SELL -30.07% 222.2K $432M
MRSH|MARSH & MCLENNAN COS INC
BUY +32.70% 2.0M $440M
ACCENTURE PLC IRELAND
SELL -3.66% 1.2M $415M
INTU|INTUIT
SELL -7.68% 548.9K $341M +37.8%
BKNG|BOOKING HLDGS INC
SELL -12.33% 75.6K $318M +85.4%
DUT|MOODYS CORP
SELL -8.48% 683.5K $324M
RACE|FERRARI N V
SELL -3.77% 649.7K $304M
ZTS|ZOETIS INC
SELL -0.20% 1.5M $292M +17.2%
TMO|THERMO FISHER SCIENTIFIC INC
SELL -19.22% 423.5K $262M +22.9%
WAT|WATERS CORP
SELL -10.07% 790.2K $284M +19.4%
AMZN|AMAZON COM INC
BUY +58.83% 1.5M $277M
ADI|ANALOG DEVICES INC
BUY +21.03% 1.1M $259M
WMG|WARNER MUSIC GROUP CORP
SELL -8.06% 6.9M $215M -11.4%
MSCI|MSCI INC
SELL -55.36% 206.1K $120M +0.8%
CPRT|COPART INC
BUY +53.02% 3.6M $190M
PG|PROCTER AND GAMBLE CO
SELL -0.27% 1.1M $183M +41.1%
EFX|EQUIFAX INC
SELL -21.00% 549.8K $162M +31.0%
LIN|LINDE PLC
SELL -0.26% 353.6K $169M +24.1%
EL|LAUDER ESTEE COS INC
SELL EXIT
CDNS|CADENCE DESIGN SYSTEM INC
SELL -34.55% 198.6K $54M +16.1%
CNR|CANADIAN NATL RY CO
BUY +2.62% 9.9K $1M
2024-Q2
ALCON INC
SELL -1.92% 6.4M $568M
MSFT|MICROSOFT CORP
BUY +8.31% 1.2M $541M
FICO|FAIR ISAAC CORP
BUY +27.42% 317.7K $473M
GE|GENERAL ELECTRIC CO
BUY +15.63% 2.8M $453M
EL|LAUDER ESTEE COS INC
SELL -47.97% 1.4M $150M
INTU|INTUIT
BUY +13.80% 594.5K $391M
ACCENTURE PLC IRELAND
BUY +143.38% 1.2M $370M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +0.30% 2.7M $366M
V|VISA INC
BUY +4.76% 1.3M $349M
BKNG|BOOKING HLDGS INC
BUY +0.59% 86.2K $342M
DUT|MOODYS CORP
BUY +4.77% 746.8K $314M
MRSH|MARSH & MCLENNAN COS
BUY +16.62% 1.5M $313M
RACE|FERRARI N V
SELL -2.01% 675.1K $275M
ZTS|ZOETIS INC
SELL -13.83% 1.5M $259M +7.9%
TMO|THERMO FISHER SCIENTIFIC INC
BUY +13.92% 524.2K $290M
WAT|WARTERS CORP
BUY +4.76% 878.7K $255M
MSCI|MSCI INC
BUY +4.74% 461.7K $222M
WMG|WARNER MUSIC GROUP CORP
BUY +14.35% 7.5M $229M
ADI|ANALOG DEVICES INC
BUY +27.99% 928.9K $212M
AMZN|AMAZON COM INC
BUY NEW 937.0K $181M
EFX|EQUIFAX INC
BUY +4.84% 696.0K $169M
PG|PROCTER AND GAMBLE CO
BUY +4.73% 1.1M $175M
CPRT|COPART INC
SELL -15.42% 2.4M $128M +29.9%
LIN|LINDE PLC
BUY +2.84% 354.5K $156M
NKE|NIKE INC
SELL EXIT -12.8%
CDNS|CADENCE DESIGN SYSTEM INC
SELL -2.30% 303.4K $93M +25.8%
OTIS|OTIS WORLDWIDE CORP
SELL EXIT +78.2%
MAR|MARRIOTT INTL INC NEW
SELL EXIT +91.0%
CNR|CANADIAN NATL RY CO
BUY NEW 9.7K $1M
2024-Q1
ALCON INC
SELL -1.53% 6.5M $540M
MSFT|MICROSOFT CORP
BUY +0.24% 1.1M $470M
GE|GENERAL ELECTRIC CO
BUY +0.10% 2.5M $432M
V|VISA INC
SELL -23.01% 1.3M $354M
EL|LAUDER ESTEE COS INC
BUY +44.83% 2.7M $418M
ACCENTURE PLC IRELAND
SELL -57.82% 501.2K $174M
BKNG|BOOKING HLDGS INC
SELL -26.16% 85.7K $311M +68.1%
ICE|INTERCONTINENTAL EXCHANGE INC
SELL -16.78% 2.7M $366M +21.5%
AKX|ANSYS INC
SELL EXIT
INTU|INTUIT
BUY +4.60% 522.4K $340M
FICO|FAIR ISAAC CORP
SELL -10.79% 249.4K $312M
RACE|FERRARI N V
SELL -1.24% 689.0K $300M
ZTS|ZOETIS INC
BUY +41.42% 1.7M $294M
WAT|WARTERS CORP
BUY +8.66% 838.8K $289M
DUT|MOODYS CORP
SELL +0.00% 712.8K $280M
TMO|THERMO FISHER SCIENTIFIC INC
BUY +180.71% 460.2K $267M
MRSH|MARSH & MCLENNAN COS
BUY +7.94% 1.3M $263M
MSCI|MSCI INC
BUY +384.31% 440.8K $247M
LIN|LINDE PLC
SELL -36.51% 344.8K $160M +14.9%
WMG|WARNER MUSIC GROUP CORP
BUY +75.02% 6.5M $216M
NKE|NIKE INC
SELL -19.72% 1.5M $141M -4.8%
EFX|EQUIFAX INC
SELL -0.42% 663.8K $178M +14.1%
PG|PROCTER AND GAMBLE CO
BUY +28.88% 1.0M $164M
CDNS|CADENCE DESIGN SYSTEM INC
SELL -48.46% 310.5K $97M +27.5%
CPRT|COPART INC
BUY +32.32% 2.8M $162M
URI|UNITED RENTALS INC
SELL EXIT +58.2%
ADI|ANALOG DEVICES INC
BUY NEW 725.8K $144M
OTIS|OTIS WORLDWIDE CORP
SELL -48.22% 761.9K $76M +68.5%
MAR|MARRIOTT INTL INC NEW
BUY +0.65% 261.0K $66M
ALLE|ALLEGION PLC
SELL EXIT
2023-Q4
ALCON INC
BUY +1.11% 6.6M $515M
ACCENTURE PLC IRELAND
SELL -17.97% 1.2M $417M
V|VISA INC
SELL -13.05% 1.6M $429M
MSFT|MICROSOFT CORP
BUY +13.53% 1.1M $419M
BKNG|BOOKING HLDGS INC
SELL -11.51% 116.1K $412M +49.5%
ICE|INTERCONTINENTAL EXCHANGE INC
SELL -12.69% 3.2M $411M +0.2%
AKX|ANSYS INC
BUY +9.53% 971.5K $353M
FICO|FAIR ISAAC CORP
SELL -20.37% 279.5K $325M
GE|GENERAL ELECTRIC CO
BUY +26.42% 2.5M $314M
INTU|INTUIT
SELL -13.77% 499.4K $312M +27.8%
DUT|MOODYS CORP
SELL -2.55% 712.8K $278M
EL|LAUDER ESTEE COS INC
BUY +304.84% 1.9M $274M
WAT|WATERS CORP
BUY +63.62% 771.9K $254M
ZTS|ZOETIS INC
BUY +26.27% 1.2M $242M
CPRT|COPART INC
SELL -61.86% 2.1M $104M +16.5%
RACE|FERRARI N V
SELL -13.65% 697.6K $236M
MRSH|MARSH & MCLENNAN COS
BUY +34.65% 1.2M $224M
LIN|LINDE PLC
SELL -9.38% 543.0K $223M +9.4%
NKE|NIKE INC
BUY NEW 1.9M $203M
OTIS|OTIS WORLDWIDE CORP
SELL -33.34% 1.5M $132M +54.2%
TMO|THERMO FISHER SCIENTIFIC INC
SELL -51.56% 163.9K $87M +3.3%
EFX|EQUIFAX INC
BUY +30.78% 666.6K $165M
CDNS|CADENCE DESIGN SYSTEM INC
SELL -2.57% 602.5K $164M +11.1%
URI|UNITED RENTALS INC
SELL -2.55% 253.1K $145M +11.9%
PG|PROCTER AND GAMBLE CO
SELL -14.75% 786.0K $115M +27.3%
WMG|WARNER MUSIC GROUP CORP
BUY +83.15% 3.7M $133M
ALLE|ALLEGION PLC
SELL -81.08% 234.0K $30M
MAR|MARRIOTT INTL INC NEW
SELL -2.49% 259.3K $58M +61.2%
MSCI|MSCI INC
BUY NEW 91.0K $51M
2023-Q3
BKNG|BOOKING HLDGS INC
SELL -37.74% 131.2K $404M +47.1%
ACCENTURE PLC IRELAND
SELL -20.18% 1.4M $445M
ALCON INC
BUY +0.09% 6.5M $505M
LIN|LINDE PLC
SELL -51.90% 599.2K $223M +4.5%
ICE|INTERCONTINENTAL EXCHANGE INC
SELL -12.04% 3.7M $403M +3.1%
V|VISA INC
SELL -1.88% 1.9M $436M
MSFT|MICROSOFT CORP
SELL -8.74% 982.6K $310M +29.5%
FICO|FAIR ISAAC CORP
SELL -1.89% 351.0K $305M
RACE|FERRARI N V
SELL -12.95% 807.9K $239M
INTU|INTUIT
BUY +22.84% 579.2K $296M
AKX|ANSYS INC
BUY +6.56% 887.0K $264M
ALLE|ALLEGION PLC
SELL -44.05% 1.2M $129M
DUT|MOODYS CORP
SELL -1.89% 731.4K $231M
CPRT|COPART INC
BUY +121.35% 5.6M $239M
OTIS|OTIS WORLDWIDE CORP
SELL -14.60% 2.2M $177M +58.2%
GE|GENERAL ELECTRIC CO
BUY NEW 1.9M $215M
EFX|EQUIFAX INC
SELL -34.82% 509.7K $93M -10.9%
TMO|THERMO FISHER SCIENTIFIC INC
SELL -2.07% 338.4K $171M +12.3%
ZTS|ZOETIS INC
BUY +122.66% 971.7K $169M
MRSH|MARSH & MCLENNAN COS
BUY +22.56% 877.3K $167M
CDNS|CADENCE DESIGN SYSTEM INC
BUY NEW 618.4K $145M
PG|PROCTER AND GAMBLE CO
SELL -1.87% 921.9K $134M +31.6%
WAT|WATERS CORP
BUY NEW 471.8K $129M
URI|UNITED RENTALS INC
SELL -1.88% 259.7K $115M +9.6%
EL|LAUDER ESTEE COS INC
SELL -21.67% 462.2K $67M
MAR|MARRIOTT INTL INC NEW
SELL -41.49% 266.0K $52M +60.2%
DG|DOLLAR GEN CORP NEW
SELL EXIT -25.4%
WMG|WARNER MUSIC GROUP CORP
BUY NEW 2.0M $64M
2023-Q2
BKNG|BOOKING HLDGS INC
SELL -39.02% 210.7K $569M +26.7%
ACCENTURE PLC IRELAND
SELL -3.00% 1.8M $560M
ALCON INC
SELL -1.29% 6.5M $538M
LIN|LINDE PLC
BUY NEW 1.2M $475M
ICE|INTERCONTINENTAL EXCHANGE INC
SELL -0.20% 4.2M $471M -2.9%
V|VISA INC
SELL -5.04% 1.9M $459M
MSFT|MICROSOFT CORP
SELL -18.16% 1.1M $367M +22.9%
TMO|THERMO FISHER SCIENTIFIC INC
SELL -43.74% 345.6K $180M +11.6%
LIN|LINDE PLC
SELL EXIT +90.5%
RACE|FERRARI N V
SELL -1.47% 928.1K $303M
FICO|FAIR ISAAC CORP
SELL -4.32% 357.8K $290M
AKX|ANSYS INC
BUY +10.81% 832.4K $275M
ALLE|ALLEGION PLC
SELL -4.29% 2.2M $265M
DUT|MOODYS CORP
BUY +82.62% 745.5K $259M
OTIS|OTIS WORLDWIDE CORP
SELL -4.30% 2.6M $230M +56.0%
CPRT|COPART INC
BUY +54.98% 2.5M $229M
INTU|INTUIT
BUY +17.00% 471.5K $216M
DG|DOLLAR GEN CORP NEW
SELL -55.99% 450.7K $77M -2.1%
EFX|EQUIFAX INC
SELL -4.25% 782.0K $184M -7.9%
EL|LAUDER ESTEE COS INC
SELL -3.12% 590.0K $116M
PG|PROCTER AND GAMBLE CO
SELL -4.29% 939.5K $143M +29.7%
MRSH|MARDSH & MCLENNAN COS
BUY NEW 715.8K $135M
URI|UNITED RENTALS INC
BUY +32.06% 264.7K $118M
MAR|MARRIOTT INTL INC NEW
SELL -28.34% 454.5K $83M +39.8%
ADBE|ADOBE INC
SELL EXIT -9.7%
ZTS|ZOETIS INC
SELL -4.31% 436.4K $75M +21.0%
2023-Q1
BKNG|BOOKING HLDGS INC
SELL -7.21% 345.5K $916M +17.2%
ACCENTURE PLC IRELAND
SELL -2.52% 1.9M $535M
ALCON INC
BUY +17.26% 6.6M $467M
V|VISA INC
SELL -8.27% 2.0M $459M
ICE|INTERCONTINENTAL EXCHANGE INC
SELL -4.40% 4.2M $435M -6.5%
MSFT|MICROSOFT CORP
BUY +58.60% 1.3M $379M
TMO|THERMO FISHER SCIENTIFIC INC
SELL -5.11% 614.3K $354M +18.0%
LIN|LINDE PLC
BUY +10.28% 945.2K $336M
GOOG|ALPHABET INC
SELL EXIT
ALLE|ALLEGION PLC
SELL -10.82% 2.3M $246M
FICO|FAIR ISAAC CORP
SELL -4.42% 374.0K $263M
RACE|FERRARI N V
SELL -1.06% 941.9K $255M
AKX|ANSYS INC
BUY +13.40% 751.2K $250M
EFX|EQUIFAX INC
SELL -32.15% 816.7K $166M -8.2%
DG|DOLLAR GEN CORP NEW
BUY +9.54% 1.0M $216M
OTIS|OTIS WORLDWIDE CORP
SELL -4.43% 2.7M $228M +52.8%
ADBE|ADOBE INC
SELL -67.11% 216.7K $84M -15.2%
EL|LAUDER ESTEE COS INC
SELL -30.36% 609.0K $150M
INTU|INTUIT
BUY +23.84% 403.0K $180M
PG|PROCTER AND GAMBLE CO
SELL -4.37% 981.7K $146M +21.8%
DUT|MOODYS CORP
BUY +99.71% 408.2K $125M
CPRT|COPART INC
BUY NEW 1.6M $122M
MAR|MARRIOTT INTL INC NEW
SELL -4.40% 634.3K $105M +35.6%
URI|UNITED RENTALS INC
BUY NEW 200.4K $79M
ZTS|ZOETIS INC
BUY +25.69% 456.0K $76M
2022-Q4
BKNG|BOOKING HLDGS INC
BUY +1.47% 372.3K $750M
ACCENTURE PLC IRELAND
SELL -1.24% 1.9M $512M
TMO|THERMO FISHER SCIENTIFIC INC
SELL -29.94% 647.3K $356M +13.1%
V|VISA INC
SELL -9.20% 2.2M $461M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +0.28% 4.4M $448M
ALCON INC
SELL -2.07% 5.6M $386M
EFX|EQUIFAX INC
SELL -40.98% 1.2M $234M -14.9%
GOOG|ALPHABET INC
BUY +10.09% 3.5M $312M
DG|DOLLAR GEN CORP NEW
SELL -20.98% 934.9K $230M +13.7%
LIN|LINDE PLC
SELL -3.19% 857.1K $280M +73.2%
ALLE|ALLEGION PLC
SELL -3.82% 2.6M $273M
EL|LAUDER ESTEE COS INC
SELL -24.32% 874.5K $217M
FICO|FAIR ISAAC CORP
SELL -1.00% 391.3K $234M
ADBE|ADOBE INC
SELL -16.59% 658.8K $222M -21.9%
OTIS|OTIS WORLDWIDE CORP
SELL -3.60% 2.8M $221M +42.7%
RACE|FERRARI N V
SELL -2.24% 952.0K $204M
MSFT|MICROSOFT CORP
BUY +67.64% 829.5K $199M
ZTS|ZOETIS INC
SELL -70.51% 362.8K $53M +5.1%
AKX|ANSYS INC
BUY +7.51% 662.4K $160M
PG|PROCTER AND GAMBLE CO
SELL -3.39% 1.0M $156M +21.2%
INTU|INTUIT
BUY +75.03% 325.4K $127M
NKE|NIKE INC
SELL EXIT -9.8%
MAR|MARRIOTT INTL INC NEW
SELL -3.37% 663.5K $99M +24.2%
DUT|MOODYS CORP
SELL -3.47% 204.4K $57M
2022-Q3
TMO|THERMO FISHER SCIENTIFIC INC
SELL -23.79% 924.0K $469M +17.8%
ACCENTURE PLC IRELAND
SELL -15.16% 1.9M $500M
BKNG|BOOKING HLDGS INC
BUY +6.26% 366.9K $603M
V|VISA INC
BUY +0.86% 2.4M $434M
EFX|EQUIFAX INC
SELL -8.23% 2.0M $350M -13.4%
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +5.77% 4.4M $393M
ALCON INC
BUY +22.62% 5.8M $337M
EL|LAUDER ESTEE COS INC
SELL -11.06% 1.2M $249M
DG|DOLLAR GEN CORP NEW
SELL -8.91% 1.2M $284M +13.7%
LIN|LINDE PLC
SELL -17.28% 885.4K $239M +51.0%
GOOG|ALPHABET INC
BUY NEW 3.2M $307M
DGED|DIAGEO PLC
SELL EXIT
ADBE|ADOBE INC
BUY +3.29% 789.8K $217M
ZTS|ZOETIS INC
SELL -15.81% 1.2M $182M +20.6%
OTIS|OTIS WORLDWIDE CORP
SELL -16.19% 2.9M $187M +34.2%
ALLE|ALLEGION PLC
BUY +9.04% 2.7M $241M
FICO|FAIR ISAAC CORP
SELL -19.50% 395.2K $163M
NKE|NIKE INC
SELL -25.80% 1.4M $118M -6.1%
RACE|FERRARI N V
BUY +1.98% 973.9K $182M
PG|PROCTER AND GAMBLE CO
SELL -11.72% 1.1M $134M +23.8%
AKX|ANSYS INC
BUY +0.56% 616.1K $137M
CHTR|CHARTER COMMUNICATIONS INC N
SELL EXIT -37.5%
MSFT|MICROSOFT CORP
BUY NEW 494.8K $115M
MAR|MARRIOTT INTL INC NEW
BUY +0.57% 686.7K $96M
EBA|EBAY INC
SELL EXIT
DUT|MOODYS CORP
SELL -29.03% 211.8K $51M
INTU|INTUIT
BUY NEW 185.9K $72M
2022-Q2
BKNG|BOOKING HLDGS INC
SELL -10.88% 345.3K $604M +3.5%
ACCENTURE PLC IRELAND
BUY +0.34% 2.3M $636M
TMO|THERMO FISHER SCIENTIFIC INC
BUY +0.49% 1.2M $659M
LIN|LINDE PLC
SELL -46.26% 1.1M $308M +66.0%
GOOG|ALPHABET INC
SELL -74.59% 44.9K $98M
EFX|EQUIFAX INC
BUY +8.02% 2.2M $406M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +12.22% 4.1M $387M
V|VISA INC
BUY +84.42% 2.4M $477M
ALCON INC
SELL -12.30% 4.7M $328M
NKE|NIKE INC
SELL -30.30% 1.9M $196M +3.0%
EL|LAUDER ESTEE COS INC
BUY +0.45% 1.3M $331M
DGED|DIAGEO PLC
BUY +1.41% 1.7M $297M
ADBE|ADOBE INC
BUY +3.94% 764.6K $280M
ZTS|ZOETIS INC
SELL -15.96% 1.5M $251M +21.4%
DG|DOLLAR GEN CORP NEW
BUY +50.95% 1.3M $319M
PG|PROCTER AND GAMBLE CO
SELL -38.69% 1.2M $173M +31.2%
OTIS|OTIS WORLDWIDE CORP
SELL -10.05% 3.5M $247M +37.2%
EBA|EBAY INC
SELL -55.44% 2.1M $89M
ALLE|ALLEGION PLC
BUY +37.74% 2.5M $242M
DUT|MOODYS CORP
SELL -55.16% 298.4K $81M
RACE|FERRARI N V
BUY +0.32% 954.9K $175M
FICO|FAIR ISAAC CORP
BUY +26.46% 490.9K $197M
CHTR|CHARTER COMMUNICATIONS INC N
SELL -16.13% 255.2K $120M -31.7%
AKX|ANSYS INC
BUY +21.12% 612.7K $147M
MAR|MARRIOTT INTL INC NEW
BUY +1.53% 682.8K $93M
2022-Q1
BKNG|BOOKING HLDGS INC
SELL -25.99% 387.4K $910M +13.4%
ACCENTURE PLC IRELAND
SELL -7.72% 2.3M $770M
LIN|LINDE PLC
SELL -30.52% 2.0M $639M +63.5%
TMO|THERMO FISHER SCIENTIFIC INC
SELL -1.90% 1.2M $713M +21.3%
ICE|INTERCONTINENTAL EXCHANGE INC
SELL -4.17% 3.7M $485M +13.2%
GOOG|ALPHABET INC
BUY +9.83% 176.6K $493M
EFX|EQUIFAX INC
BUY +25.27% 2.1M $488M
EL|LAUDER ESTEE COS INC
BUY +1.20% 1.3M $352M
ALCON INC
BUY +0.50% 5.3M $426M
ZTS|ZOETIS INC
SELL -2.98% 1.7M $328M +38.8%
PG|PROCTER AND GAMBLE CO
SELL -21.61% 2.0M $300M +35.8%
NKE|NIKE INC
BUY +15.34% 2.7M $369M
DGED|DIAGEO PLC
SELL -3.26% 1.7M $342M
ADBE|ADOBE INC
BUY +96.43% 735.7K $335M
EBA|EBAY INC
SELL -2.64% 4.8M $275M
OTIS|OTIS WORLDWIDE CORP
BUY +4.44% 3.9M $299M
V|VISA INC
BUY +126.40% 1.3M $291M
DUT|MOODYS CORP
SELL -7.08% 665.5K $225M
RACE|FERRARI N V
BUY +0.50% 951.9K $209M
ALLE|ALLEGION PLC
BUY +55.03% 1.8M $197M
DG|DOLLAR GEN CORP NEW
BUY NEW 860.4K $192M
FICO|FAIR ISAAC CORP
BUY +52.68% 388.2K $181M
CHTR|CHARTER COMMUNICATIONS INC N
BUY +80.35% 304.3K $166M
AKX|ANSYS INC
BUY +47.58% 505.8K $161M
MAR|MARRIOTT INTL INC NEW
BUY +1.16% 672.5K $118M
2021-Q4
BKNG|BOOKING HLDGS INC
BUY +36.53% 523.5K $1.3B
LIN|LINDE PLC
SELL -24.63% 2.9M $996M +73.6%
ACCENTURE PLC IRELAND
BUY +10.13% 2.5M $1.0B
TMO|THERMO FISHER SCIENTIFIC INC
BUY +7.65% 1.2M $821M
GOOG|ALPHABET INC
SELL -25.67% 160.8K $465M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +35.05% 3.8M $524M
EBA|EBAY INC
SELL -32.95% 4.9M $328M
EFX|EQUIFAX INC
BUY +6.46% 1.6M $481M
EL|LAUDER ESTEE COS INC
BUY +6.24% 1.3M $473M
ALCON INC
SELL -4.05% 5.3M $467M
ZTS|ZOETIS INC
SELL -16.90% 1.8M $437M +55.4%
PG|PROCTER AND GAMBLE CO
BUY +28.61% 2.5M $410M
NKE|NIKE INC
SELL -10.61% 2.4M $397M +44.9%
OTIS|OTIS WORLDWIDE CORP
SELL -22.34% 3.7M $324M +56.5%
DGED|DIAGEO PLC
BUY +21.40% 1.7M $383M
DUT|MOODYS CORP
SELL -24.68% 716.2K $280M
V|VISA INC
SELL -54.86% 580.2K $126M
ALLE|ALLEGION PLC
SELL -41.91% 1.2M $153M
RACE|FERRARI N V
SELL -4.02% 947.1K $245M
ADBE|ADOBE INC
BUY +4.09% 374.5K $212M
CHTR|CHARTER COMMUNICATIONS INC N
SELL -32.45% 168.7K $110M -10.2%
AKX|ANSYS INC
BUY +15.58% 342.7K $137M
MAR|MARRIOTT INTL INC NEW
SELL -16.80% 664.8K $110M +26.0%
FICO|FAIR ISAAC CORP
BUY +4.10% 254.3K $110M
PINS|PINTEREST INC
SELL EXIT -34.1%
2021-Q3
LIN|LINDE PLC
SELL -9.05% 3.8M $1.1B +61.8%
BKNG|BOOKING HLDGS INC
BUY +57.37% 383.4K $910M
ACCENTURE PLC IRELAND
BUY NEW 2.2M $719M
TMO|THERMO FISHER SCIENTIFIC INC
BUY +16.05% 1.1M $653M
GOOG|ALPHABET INC
BUY +2.33% 216.3K $577M
EBA|EBAY INC
BUY +2.27% 7.4M $513M
NKE|NIKE INC
SELL -16.63% 2.7M $387M +42.0%
V|VISA INC
SELL -35.27% 1.3M $286M
ZTS|ZOETIS INC
SELL -11.34% 2.2M $419M +43.6%
ALCON INC
SELL -7.29% 5.5M $449M
EL|LAUDER ESTEE COS INC
SELL -13.54% 1.2M $361M
OTIS|OTIS WORLDWIDE CORP
SELL -3.33% 4.8M $395M +67.2%
EFX|EQUIFAX INC
BUY +13.20% 1.5M $391M
DUT|MOODYS CORP
SELL -0.31% 950.9K $338M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +47.09% 2.8M $325M
ADBE|ADOBE INC
SELL -23.85% 359.8K $207M +61.8%
DGED|DIAGEO PLC
BUY +11.68% 1.4M $276M
PG|PROCTER AND GAMBLE CO
BUY +2.19% 1.9M $272M
ALLE|ALLEGION PLC
BUY +2.19% 2.0M $263M
RACE|FERRARI N V
SELL -7.54% 986.8K $207M
CHTR|CHARTER COMMUNICATIONS INC N
BUY NEW 249.7K $182M
FICO|FAIR ISAAC CORP
SELL -5.11% 244.3K $97M
PINS|PINTEREST INC
BUY +2.73% 1.6M $81M
MAR|MARRIOTT INTL INC NEW
SELL -6.06% 799.0K $118M +11.9%
LYFT|LYFT INC
SELL EXIT -6.4%
ABEV|AMBEV SA
SELL EXIT
AKX|ANSYS INC
BUY +2.36% 296.5K $101M
CLB|CORE LABORATORIES N V
SELL EXIT +31.3%
2021-Q2
LIN|LINDE PLC
SELL -0.93% 4.2M $1.2B +53.5%
BKNG|BOOKING HLDGS INC
SELL -11.11% 243.6K $533M +23.5%
EBA|EBAY INC
SELL -22.92% 7.2M $505M
GOOG|ALPHABET INC
BUY +0.70% 211.4K $530M
TMO|THERMO FISHER SCIENTIFIC INC
BUY +33.78% 984.4K $497M
NKE|NIKE INC
BUY +33.36% 3.2M $493M
V|VISA INC
BUY +0.70% 2.0M $464M
ZTS|ZOETIS INC
BUY +52.87% 2.4M $453M
EL|LAUDER ESTEE COS INC
SELL -1.73% 1.4M $443M
ALCON INC
SELL -4.53% 6.0M $419M
OTIS|OTIS WORLDWIDE CORP
SELL -10.36% 5.0M $406M +46.1%
DUT|MOODYS CORP
BUY +26.05% 953.9K $346M
EFX|EQUIFAX INC
BUY +197.17% 1.4M $326M
ALLE|ALLEGION PLC
SELL -24.37% 1.9M $271M
ADBE|ADOBE INC
SELL -26.23% 472.5K $277M +30.9%
PG|PROCTER AND GAMBLE CO
BUY +0.70% 1.9M $257M
DGED|DIAGEO PLC
BUY +71.23% 1.3M $246M
RACE|FERRARI N V
SELL -4.49% 1.1M $220M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +0.63% 1.9M $229M
LYFT|LYFT INC
SELL -23.06% 2.0M $118M +2.6%
MAR|MARRIOTT INTL INC NEW
SELL -9.44% 850.6K $116M +15.7%
FICO|FAIR ISAAC CORP
SELL -8.44% 257.4K $129M
UAA|UNDER ARMOUR INC
SELL EXIT +112.3%
VRSK|VERISK ANALYTICS INC
SELL EXIT +31.0%
AKX|ANSYS INC
SELL -21.08% 289.7K $101M
PINS|PINTEREST INC
BUY NEW 1.6M $123M
ABEV|AMBEV SA
BUY +0.70% 33.1M $114M
CLB|CORE LABORATORIES N V
BUY +34.19% 1.4M $53M
2021-Q1
LIN|LINDE PLC
BUY +14.44% 4.2M $1.2B
BKNG|BOOKING HLDGS INC
SELL -0.10% 274.1K $639M +18.3%
EBA|EBAY INC
SELL -15.08% 9.3M $571M
V|VISA INC
SELL -15.67% 2.0M $418M
ALCON INC
BUY +41.47% 6.3M $440M
GOOG|ALPHABET INC
SELL -2.14% 209.9K $434M
EL|LAUDER ESTEE COS INC
SELL -10.08% 1.4M $412M
OTIS|OTIS WORLDWIDE CORP
BUY +18.80% 5.5M $379M
NKE|NIKE INC
SELL -5.70% 2.4M $318M +21.1%
TMO|THERMO FISHER SCIENTIFIC INC
BUY +39.03% 735.9K $336M
RACE|FERRARI N V
SELL -23.20% 1.1M $234M
ALLE|ALLEGION PLC
BUY +20.69% 2.6M $324M
PG|PROCTER AND GAMBLE CO
SELL -14.23% 1.9M $256M +18.6%
ADBE|ADOBE INC
BUY +38.95% 640.5K $304M
ZTS|ZOETIS INC
BUY +0.08% 1.6M $251M
MAR|MARRIOTT INTL INC NEW
SELL -51.75% 939.3K $139M +5.2%
DUT|MOODYS CORP
BUY +28.82% 756.7K $226M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +9.93% 1.9M $214M
VRSK|VERISK ANALYTICS INC
SELL -27.52% 724.5K $128M +39.9%
FICO|FAIR ISAAC CORP
SELL -24.25% 281.1K $137M
CHKP|CHECK POINT SOFTWARE TECH LT
SELL EXIT +4.4%
AKX|ANSYS INC
SELL -17.39% 367.1K $125M
LYFT|LYFT INC
BUY NEW 2.5M $160M
UAA|UNDER ARMOUR INC
SELL -20.13% 6.1M $136M +109.3%
DGED|DIAGEO PLC
BUY NEW 748.8K $123M
ABEV|AMBEV SA
SELL -0.16% 32.8M $90M
EFX|EQUIFAX INC
BUY NEW 458.6K $83M
RMD|RESMED INC
SELL EXIT -4.3%
CLB|CORE LABORATORIES N V
SELL -35.05% 1.0M $29M +80.0%
2020-Q4
LIN|LINDE PLC
SELL -0.60% 3.7M $965M +38.5%
BKNG|BOOKING HLDGS INC
BUY +155.30% 274.4K $611M
EBA|EBAY INC
BUY +21.46% 11.0M $552M
V|VISA INC
BUY +11.62% 2.3M $512M
EL|LAUDER ESTEE COS INC
SELL -2.96% 1.6M $419M
GOOG|ALPHABET INC
BUY +13.62% 214.5K $376M
NKE|NIKE INC
BUY +7.53% 2.5M $359M
RACE|FERRARI N V
SELL -19.46% 1.5M $335M
OTIS|OTIS WORLDWIDE CORP
BUY +2.60% 4.7M $315M
PG|PROCTER AND GAMBLE CO
BUY +2.59% 2.2M $307M
ALCON INC
BUY +37.85% 4.4M $294M
ZTS|ZOETIS INC
BUY +2.59% 1.6M $263M
MAR|MARRIOTT INTL INC NEW
SELL -9.14% 1.9M $257M -4.1%
ALLE|ALLEGION PLC
BUY +5.86% 2.1M $248M
TMO|THERMO FISHER SCIENTIFIC INC
BUY +21.57% 529.3K $247M
ADBE|ADOBE INC
BUY +2.58% 461.0K $231M
CHKP|CHECK POINT SOFTWARE TECH LT
SELL -25.76% 1.4M $188M +6.6%
VRSK|VERISK ANALYTICS INC
BUY +2.57% 999.6K $208M
AKX|ANSYS INC
SELL -28.39% 444.4K $162M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY +18.33% 1.7M $201M
FICO|FAIR ISAAC CORP
BUY +2.60% 371.1K $190M
DUT|MOODYS CORP
BUY +2.59% 587.4K $170M
UAA|UNDER ARMOUR INC
SELL -24.18% 7.7M $132M +47.2%
ABEV|AMBEV SA
SELL -33.56% 32.9M $101M
RMD|RESMED INC
BUY NEW 356.3K $76M
CLB|CORE LABORATORIES N V
BUY +6.48% 1.6M $42M
2020-Q3
LIN|LINDE PLC
SELL -10.46% 3.7M $879M +35.7%
EBA|EBAY INC
BUY +6.97% 9.0M $471M
V|VISA INC
BUY +1.90% 2.1M $419M
EL|LAUDER ESTEE COS INC
BUY +1.57% 1.6M $354M
RACE|FERRARI N V
SELL -4.47% 1.8M $332M
OTIS|OTIS WORLDWIDE CORP
SELL -15.19% 4.5M $283M +19.7%
PG|PROCTER AND GAMBLE CO
BUY +14.04% 2.2M $299M
NKE|NIKE INC
BUY +32.57% 2.4M $296M
GOOG|ALPHABET INC
BUY +1.95% 188.8K $277M
ZTS|ZOETIS INC
BUY +7.10% 1.5M $256M
CHKP|CHECK POINT SOFTWARE TECH LT
BUY +10.33% 1.9M $229M
GRFS|GRIFOLS S A
SELL EXIT
ADBE|ADOBE INC
SELL -1.25% 449.4K $220M +30.9%
AKX|ANSYS INC
SELL -10.73% 620.5K $203M
ALLE|ALLEGION PLC
BUY +29.72% 2.0M $199M
MAR|MARRIOTT INTL INC NEW
BUY +6.93% 2.1M $198M
TMO|THERMO FISHER SCIENTIFIC INC
BUY NEW 435.4K $192M
BKNG|BOOKING HLDGS INC
BUY +2.27% 107.5K $184M
ALCON INC
BUY +0.71% 3.2M $183M
VRSK|VERISK ANALYTICS INC
BUY +3.12% 974.6K $181M
DUT|MOODYS CORP
BUY +7.00% 572.6K $166M
FICO|FAIR ISAAC CORP
SELL -2.01% 361.7K $154M
ICE|INTERCONTINENTAL EXCHANGE INC
BUY NEW 1.5M $147M
ABEV|AMBEV SA
SELL -4.50% 49.5M $112M
UAA|UNDER ARMOUR INC
BUY NEW 10.1M $114M
CME|CME GROUP INV
SELL EXIT
CLB|CORE LABORATORIES N V
BUY +10.64% 1.5M $22M
2020-Q2
LIN|LINDE PLC
BUY +9.85% 4.1M $877M
EBA|EBAY INC
BUY +49.71% 8.5M $444M
V|VISA INC
BUY +14.64% 2.1M $397M
RACE|FERRARI N V
SELL -25.91% 1.9M $323M
OTIS|OTIS WORLDWIDE CORP
BUY NEW 5.4M $304M
EL|LAUDER ESTEE COS INC
BUY +37.52% 1.6M $301M
UTXZ|UNITED TECHNOLOGIES CORP
SELL EXIT
GRFS|GRIFOLS S A
SELL -7.31% 12.3M $224M
GOOG|ALPHABET INC
BUY +17.30% 185.2K $262M
PG|PROCTER AND GAMBLE CO
SELL -9.32% 1.9M $225M +11.5%
AKX|ANSYS INC
SELL -14.25% 695.1K $203M
ZTS|ZOETIS INC
BUY +5.67% 1.4M $198M
ADBE|ADOBE INC
BUY +40.23% 455.1K $198M
CHKP|CHECK POINT SOFTWARE TECH LT
BUY +10.77% 1.7M $185M
ALCON INC
BUY +12.94% 3.2M $183M
NKE|NIKE INC
BUY +19.61% 1.8M $175M
MAR|MARRIOTT INTL INC NEW
BUY +37.33% 2.0M $172M
ALLE|ALLEGION PLC
SELL -16.16% 1.6M $159M
BKNG|BOOKING HLDGS INC
BUY +112.54% 105.1K $167M
VRSK|VERISK ANALYTICS INC
BUY +4.54% 945.1K $161M
FICO|FAIR ISAAC CORP
BUY +3.19% 369.1K $154M
DUT|MOODYS CORP
SELL -0.35% 535.1K $147M
EW|EDWARDS LIFESCIENCES CORP
SELL EXIT +20.4%
ABEV|AMBEV SA
BUY +10.10% 51.8M $137M
AXP|AMERICAN EXPRESS CO
SELL EXIT -17.0%
CME|CME GROUP INV
SELL -14.46% 638.2K $104M
CLB|CORE LABORATORIES N V
BUY NEW 1.3M $27M
2020-Q1
LIN|LINDE PLC
BUY +44.07% 3.8M $663M
RACE|FERRARI N V
BUY +4.15% 2.6M $395M
V|VISA INC
BUY +31.29% 1.8M $289M
GRFS|GRIFOLS S A
BUY +6.73% 13.2M $267M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +61.32% 3.0M $281M
NKE|NIKE INC
SELL -41.49% 1.5M $123M -13.3%
ALLE|ALLEGION PLC
SELL -5.51% 1.9M $171M
GOOG|ALPHABET INC
SELL -13.33% 157.9K $184M
PG|PROCTER AND GAMBLE CO
BUY +29.21% 2.1M $229M
AKX|ANSYS INC
SELL -5.27% 810.7K $188M
EL|LAUDER ESTEE COS INC
BUY +23.71% 1.2M $185M
EW|EDWARDS LIFESCIENCES CORP
SELL -9.04% 753.6K $142M +26.6%
ABEV|AMBEV SA
BUY +20.40% 47.1M $108M
EBA|EBAY INC
BUY NEW 5.6M $170M
ZTS|ZOETIS INC
BUY +13.38% 1.4M $161M
ALCON INC
BUY +0.55% 2.8M $144M
AXP|AMERICAN EXPRESS CO
BUY +20.49% 1.5M $131M
CHKP|CHECK POINT SOFTWARE TECH LT
BUY +99.37% 1.6M $157M
FICO|FAIR ISAAC CORP
SELL -12.64% 357.7K $110M
CME|CME GROUP INV
BUY +1.39% 746.1K $129M
VRSK|VERISK ANALYTICS INC
SELL -7.20% 904.1K $126M +24.3%
DUT|MOODYS CORP
BUY +12.27% 537.0K $114M
MAR|MARRIOTT INTL INC NEW
BUY NEW 1.5M $109M
ADBE|ADOBE INC
BUY NEW 324.5K $103M
BKNG|BOOKING HLDGS INC
BUY NEW 49.4K $67M
2019-Q4
LIN|LINDE PLC
SELL -1.76% 2.6M $560M +20.6%
RACE|FERRARI N V
SELL -4.20% 2.5M $407M
GRFS|GRIFOLS S A
BUY +2.03% 12.4M $289M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +20.14% 1.8M $277M
NKE|NIKE INC
BUY +4.47% 2.5M $258M
V|VISA INC
BUY +11.16% 1.4M $257M
ALLE|ALLEGION PLC
BUY +4.41% 2.0M $244M
GOOG|ALPHABET INC
BUY +23.10% 182.2K $244M
AKX|ANSYS INC
BUY +10.09% 855.7K $220M
PG|PROCTER AND GAMBLE CO
BUY +4.42% 1.6M $201M
EL|LAUDER ESTEE COS INC
SELL -3.79% 939.1K $194M
EW|EDWARDS LIFESCIENCES CORP
BUY +28.74% 828.4K $193M
ABEV|AMBEV SA
BUY +12.62% 39.1M $182M
AXP|AMERICAN EXPRESS CO
SELL -13.24% 1.3M $158M +13.4%
ZTS|ZOETIS INC
BUY +58.28% 1.2M $160M
ALCON INC
BUY +33.07% 2.8M $159M
MAR|MARRIOTT INTL INC NEW
SELL EXIT
FICO|FAIR ISAAC CORP
SELL -3.30% 409.5K $153M
CME|CME GROUP INV
BUY +4.05% 735.8K $148M
VRSK|VERISK ANALYTICS INC
BUY +4.42% 974.2K $145M
DUT|MOODYS CORP
BUY +4.43% 478.3K $114M
CHKP|CHECK POINT SOFTWARE TECH LT
BUY NEW 781.5K $87M
2019-Q3
LIN|LINDE PLC
BUY +35.80% 2.7M $517M
RACE|FERRARI N V
SELL -14.49% 2.6M $395M
GRFS|GRIFOLS S A
SELL -3.21% 12.2M $244M
NKE|NIKE INC
BUY +22.25% 2.4M $229M
V|VISA INC
SELL -2.89% 1.2M $211M
EL|LAUDER ESTEE COS INC
SELL -16.68% 976.1K $194M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +23.44% 1.5M $210M
ALLE|ALLEGION PLC
BUY +6.30% 1.9M $195M
PG|PROCTER AND GAMBLE CO
BUY +16.75% 1.5M $192M
AXP|AMERICAN EXPRESS CO
SELL -2.18% 1.5M $173M +16.6%
AKX|ANSYS INC
SELL -13.54% 777.3K $172M
CME|CME GROUP INV
SELL -24.39% 707.2K $149M
GOOG|ALPHABET INC
BUY +19.37% 148.0K $180M
MAR|MARRIOTT INTL INC NEW
BUY +1.42% 1.3M $156M
ABEV|AMBEV SA
BUY +7.26% 34.7M $160M
FICO|FAIR ISAAC CORP
SELL -16.09% 423.5K $129M
ALCON INC
SELL -13.28% 2.1M $123M
VRSK|VERISK ANALYTICS INC
SELL -2.70% 933.0K $148M +20.9%
EW|EDWARDS LIFESCIENCES CORP
BUY +12.84% 643.5K $142M
ZTS|ZOETIS INC
BUY +151.70% 762.9K $95M
DUT|MOODYS CORP
BUY +2.15% 458.0K $94M
2019-Q2
RACE|FERRARI N V
SELL -6.13% 3.0M $485M
LIN|LINDE PLC
SELL -3.08% 2.0M $394M +14.8%
GRFS|GRIFOLS S A
BUY +5.50% 12.6M $265M
V|VISA INC
BUY +4.60% 1.3M $220M
EL|LAUDER ESTEE COS INC
SELL -2.36% 1.2M $215M
ALLE|ALLEGION PLC
BUY +0.74% 1.8M $195M
AXP|AMERICAN EXPRESS CO
BUY +4.36% 1.5M $184M
AKX|ANSYS INC
SELL -4.48% 899.0K $184M
CME|CME GROUP INV
BUY +54.60% 935.3K $182M
UTXZ|UNITED TECHNOLOGIES CORP
SELL -10.42% 1.2M $162M
MAR|MARRIOTT INTL INC NEW
BUY +1.83% 1.2M $173M
NKE|NIKE INC
BUY +1.80% 2.0M $167M
FICO|FAIR ISAAC CORP
SELL -14.68% 504.7K $158M
ABEV|AMBEV SA
BUY +22.22% 32.4M $151M
ALCON INC
BUY NEW 2.4M $151M
PG|PROCTER AND GAMBLE CO
BUY +9.28% 1.3M $145M
GOOG|ALPHABET INC
BUY +1.30% 124.0K $134M
VRSK|VERISK ANALYTICS INC
BUY +36.10% 958.8K $140M
EW|EDWARDS LIFESCIENCES CORP
BUY +24.41% 570.3K $105M
DUT|MOODYS CORP
SELL -13.80% 448.4K $88M
ZTS|ZOETIS INC
BUY NEW 303.1K $34M
2019-Q1
RACE|FERRARI N V
BUY +4.34% 3.2M $427M
LIN|LINDE PLC
BUY +6.35% 2.0M $355M
GRFS|GRIFOLS S A
SELL -3.05% 11.9M $239M
EL|LAUDER ESTEE COS INC
BUY +14.19% 1.2M $199M
V|VISA INC
BUY +34.33% 1.2M $189M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +53.17% 1.4M $179M
AKX|ANSYS INC
BUY +49.16% 941.1K $172M
NKE|NIKE INC
BUY +31.51% 2.0M $165M
FICO|FAIR ISAAC CORP
BUY +11.87% 591.5K $161M
ALLE|ALLEGION PUB LTD CO
BUY +20.55% 1.8M $159M
AXP|AMERICAN EXPRESS CO
BUY +41.96% 1.4M $156M
MAR|MARRIOTT INTL INC NEW
BUY +42.30% 1.2M $152M
GOOG|ALPHABET INC
BUY +39.07% 122.4K $144M
PG|PROCTER AND GAMBLE CO
BUY +51.19% 1.2M $126M
ABEV|AMBEV SA
BUY +57.30% 26.5M $114M
CME|CME GROUP INV
BUY +21.91% 605.0K $100M
DUT|MOODYS CORP
BUY +25.76% 520.2K $94M
VRSK|VERISK ANALYTICS INC
BUY NEW 704.5K $94M
EW|EDWARDS LIFESCIENCES CORP
BUY +64.77% 458.4K $88M
CTSH|COGNIZANT TECHNOLOGY SOLUTIO
SELL EXIT
2018-Q4
RACE|FERRARI N V
SELL -8.91% 3.1M $304M
LIN|LINDE PLC
BUY NEW 1.9M $300M
GRFS|GRIFOLS S A
BUY +24.74% 12.3M $226M
EL|LAUDER ESTEE COS INC
BUY +37.99% 1.1M $137M
V|VISA INC
BUY +31.58% 900.6K $119M
ALLE|ALLEGION PUB LTD CO
BUY +31.62% 1.5M $116M
NKE|NIKE INC
BUY +37.61% 1.5M $110M
FICO|FAIR ISAAC CORP
BUY +38.95% 528.8K $99M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +31.41% 908.8K $97M
AXP|AMERICAN EXPRESS CO
BUY +44.29% 1.0M $96M
CME|CME GROUP INV
BUY +9.48% 496.2K $93M
MAR|MARRIOTT INTL INC NEW
BUY +22.63% 852.9K $93M
GOOG|ALPHABET INC
BUY +44.89% 88.0K $91M
AKX|ANSYS INC
BUY +85.76% 631.0K $90M
PXGBX|PRAXAIR INC
SELL EXIT
PG|PROCTER AND GAMBLE CO
BUY NEW 798.9K $73M
ABEV|AMBEV SA
BUY +86.46% 16.8M $66M
CL|COLGATE PALMOLIVE CO
SELL EXIT
DUT|MOODYS CORP
BUY +34.82% 413.6K $58M
EW|EDWARDS LIFESCIENCES CORP
BUY +27.72% 278.2K $43M
CTSH|COGNIZANT TECHNOLOGY SOLUTIO
SELL -77.48% 121.2K $8M
2018-Q3
RACE|FERRARI N V
SELL -8.30% 3.4M $461M
GRFS|GRIFOLS S A
SELL -8.48% 9.8M $210M
EL|LAUDER ESTEE COS INC
BUY +6.13% 761.4K $111M
V|VISA INC
SELL -7.55% 684.4K $103M
ALLE|ALLEGION PUB LTD CO
BUY +14.17% 1.1M $100M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +22.35% 691.5K $97M
MAR|MARRIOTT INTL INC NEW
BUY +26.15% 695.5K $92M
NKE|NIKE INC
BUY +19.62% 1.1M $92M
PXGBX|PRAXAIR INC
BUY +8.37% 553.1K $89M
FICO|FAIR ISAAC CORP
SELL -5.80% 380.5K $87M
CME|CME GROUP INV
BUY +16.83% 453.3K $77M
AXP|AMERICAN EXPRESS CO
BUY NEW 698.2K $74M
CTSH|COGNIZANT TECHNOLOGY SOLUTIO
SELL -42.72% 538.3K $42M
GOOG|ALPHABET INC
SELL -0.10% 60.7K $72M
AKX|ANSYS INC
BUY +9.35% 339.7K $63M
CL|COLGATE PALMOLIVE CO
BUY +16.59% 879.4K $59M
DUT|MOODYS CORP
BUY +14.49% 306.8K $51M
USB|US BANCORP DEL
SELL EXIT
ABEV|AMBEV SA
BUY +22.72% 9.0M $41M
EW|EDWARDS LIFESCIENCES CORP
SELL -10.49% 217.8K $38M +5.0%
2018-Q2
RACE|FERRARI N V
SELL -7.68% 3.7M $496M
GRFS|GRIFOLS S A
SELL -7.64% 10.8M $231M
EL|LAUDER ESTEE COS INC
BUY +14.23% 717.5K $102M
V|VISA INC
BUY +9.10% 740.3K $98M
PXGBX|PRAXAIR INC
BUY +9.10% 510.4K $81M
FICO|FAIR ISAAC CORP
BUY +14.79% 404.0K $78M
ALLE|ALLEGION PUB LTD CO
BUY +12.53% 968.7K $75M
CTSH|COGNIZANT TECHNOLOGY SOLUTIO
BUY +9.10% 939.6K $74M
NKE|NIKE INC
BUY +70.66% 904.4K $72M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +14.96% 565.2K $71M
MAR|MARRIOTT INTL INC NEW
BUY +9.10% 551.3K $70M
GOOG|ALPHABET INC
BUY +15.56% 60.8K $68M
CME|CME GROUP INV
BUY +9.10% 388.0K $64M
USB|US BANCORP DEL
SELL -7.30% 1.0M $50M
AKX|ANSYS INC
BUY +9.07% 310.6K $54M
CL|COLGATE PALMOLIVE CO
BUY +9.10% 754.3K $49M
ABEV|AMBEV SA
BUY +9.10% 7.4M $34M
DUT|MOODYS CORP
SELL -8.95% 268.0K $46M
EW|EDWARDS LIFESCIENCES CORP
BUY NEW 243.3K $35M
2018-Q1
RACE|FERRARI N V
SELL -6.68% 4.0M $476M
GRFS|GRIFOLS S A
BUY +2.62% 11.6M $247M
EL|LAUDER ESTEE COS INC
SELL -3.74% 628.1K $94M
V|VISA INC
BUY +10.07% 678.5K $81M
ALLE|ALLEGION PUB LTD CO
BUY +15.35% 860.8K $73M
CTSH|COGNIZANT TECHNOLOGY SOLUTIO
BUY +12.85% 861.3K $69M
MAR|MARRIOTT INTL INC NEW
BUY +10.10% 505.3K $69M
PXGBX|PRAXAIR INC
BUY +10.25% 467.8K $68M
UTXZ|UNITED TECHNOLOGIES CORP
BUY +50.30% 491.7K $62M
FICO|FAIR ISAAC CORP
SELL -0.43% 351.9K $60M
GOOG|ALPHABET INC
SELL -7.47% 52.6K $54M
CME|CME GROUP INV
BUY +22.18% 355.6K $58M
USB|US BANCORP DEL
BUY +10.25% 1.1M $55M
CL|COLGATE PALMOLIVE CO
BUY +13.82% 691.3K $50M
ABEV|AMBEV SA
BUY +25.34% 6.7M $49M
DUT|MOODYS CORP
SELL -5.81% 294.3K $47M
AKX|ANSYS INC
SELL -3.10% 284.8K $45M
NKE|NIKE INC
BUY +10.25% 530.0K $35M
ECL|ECOLAB INC
SELL EXIT

Closed Positions for AKO Capital

Stock Click to search
Held Period Cost Basis Sale Proceeds Realized Gain Return CAGR
TMO|THERMO FISHER SCIENTIFIC INC
2020-Q3 → 2025-Q3 (5.0y) $796.4M $832.3M $+35.9M +4.5% +0.9%
ILMN|ILLUMINA INC
2024-Q4 → 2025-Q3 (0.7y) $111.0M $81.6M $-29.4M -26.5% -33.7%
CNR|CANADIAN NATL RY CO
2024-Q2 → 2025-Q3 (1.2y) $1.7M $1.4M $-230.0K -13.9% -11.3%
PG|PROCTER AND GAMBLE CO
2018-Q4 → 2025-Q1 (6.2y) $413.7M $522.5M $+108.8M +26.3% +3.8%
MSCI|MSCI INC
2023-Q4 → 2025-Q1 (1.2y) $254.2M $262.0M $+7.7M +3.0% +2.4%
WMG|WARNER MUSIC GROUP CORP
2023-Q3 → 2025-Q1 (1.5y) $248.7M $239.5M $-9.3M -3.7% -2.5%
OTIS|OTIS WORLDWIDE CORP
2020-Q2 → 2024-Q2 (4.0y) $353.0M $530.4M $+177.4M +50.3% +10.8%
MAR|MARRIOTT INTL INC NEW
2020-Q1 → 2024-Q2 (4.2y) $270.5M $337.3M $+66.8M +24.7% +5.3%
NKE|NIKE INC
2023-Q4 → 2024-Q2 (0.5y) $199.8M $177.4M $-22.4M -11.2% -21.2%
URI|UNITED RENTALS INC
2023-Q1 → 2024-Q1 (1.0y) $109.4M $170.9M $+61.4M +56.1% +56.4%
DG|DOLLAR GEN CORP NEW
2022-Q1 → 2023-Q3 (1.5y) $302.3M $285.4M $-16.9M -5.6% -3.8%
LIN|LINDE PLC
2018-Q4 → 2023-Q2 (4.5y) $934.8M $1.5B $+600.4M +64.2% +11.7%
ADBE|ADOBE INC
2020-Q1 → 2023-Q2 (3.2y) $452.4M $441.2M $-11.1M -2.5% -0.8%
CHTR|CHARTER COMMUNICATIONS INC N
2021-Q3 → 2022-Q3 (1.0y) $270.2M $191.0M $-79.2M -29.3% -29.4%
PINS|PINTEREST INC
2021-Q2 → 2021-Q4 (0.5y) $108.4M $71.4M $-37.0M -34.1% -56.7%
LYFT|LYFT INC
2021-Q1 → 2021-Q3 (0.5y) $144.5M $138.3M $-6.2M -4.3% -8.4%
CLB|CORE LABORATORIES N V
2020-Q2 → 2021-Q3 (1.2y) $42.2M $58.6M $+16.4M +38.9% +30.2%
UAA|UNDER ARMOUR INC
2020-Q3 → 2021-Q2 (0.7y) $105.6M $207.0M $+101.5M +96.1% +146.2%
VRSK|VERISK ANALYTICS INC
2019-Q1 → 2021-Q2 (2.2y) $145.9M $193.0M $+47.0M +32.2% +13.3%
CHKP|CHECK POINT SOFTWARE TECH LT
2019-Q4 → 2021-Q1 (1.2y) $214.7M $225.4M $+10.7M +5.0% +4.0%
RMD|RESMED INC
2020-Q4 → 2021-Q1 (0.2y) $74.5M $71.3M $-3.2M -4.3% -4.3%
AXP|AMERICAN EXPRESS CO
2018-Q3 → 2020-Q2 (1.7y) $190.1M $164.5M $-25.5M -13.4% -7.9%
EW|EDWARDS LIFESCIENCES CORP
2018-Q2 → 2020-Q2 (2.0y) $51.0M $61.1M $+10.1M +19.8% +9.5%