Bill Ackman

Bill Ackman

Pershing Square Capital Management, L.P.
Last update 2018-11-14 7 Stocks (0 new)
Value $5.21 Bil Turnover 3 %
Top Holdings: CAN:QSR(23.72%) LOW(18.6%) CMG(17.97%) UTX(13.28%) ADP(11.65%)
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Bill Ackman Latest Trades

MDLZ
Mondelez International Inc
2018-09-30
Sold Out
-11.56%
0 $ 0 0
$44.27
3.85%
Sold Out
-
CMG
Chipotle Mexican Grill Inc
2018-09-30
Reduce
-6.12%
0 $ 0 0
$472.76
-0.62%
Reduce -28.56%
2,059,106
LOW
Lowe's Companies Inc
2018-09-30
Add
+1.59%
0 $ 0 0
$93.25
-10.50%
Add 9.37%
8,438,801
UTX
United Technologies Corp
2018-09-30
Add
+1.09%
0 $ 0 0
$130.13
-2.48%
Add 8.97%
4,947,788
ADP
Automatic Data Processing Inc
2018-09-30
Reduce
-0.45%
0 $ 0 0
$146.55
3.64%
Reduce -4.64%
4,029,427
HHC
The Howard Hughes Corp
2018-09-30
Reduce
-0.16%
0 $ 0 0
$109.93
-16.61%
Reduce -3.23%
2,133,236
LOW
Lowe's Companies Inc
2018-06-30
New Buy
+12.70%
0 $ 0 0
$93.25
3.11%
New holding
7,715,501
ADP
Automatic Data Processing Inc
2018-06-30
Reduce
-8.73%
0 $ 0 0
$146.55
15.68%
Reduce -46.80%
4,225,365
UTX
United Technologies Corp
2018-06-30
Add
+5.59%
0 $ 0 0
$130.13
4.59%
Add 133.52%
4,540,615
QSR
Restaurant Brands International Inc
2018-06-30
Reduce
-4.10%
0 $ 0 0
$55.47
-3.13%
Reduce -14.29%
20,843,919
MDLZ
Mondelez International Inc
2018-06-30
Add
+0.15%
0 $ 0 0
$44.27
10.12%
Add 1.33%
16,371,713
NKE
Nike Inc
2018-03-31
Sold Out
-6.22%
0 $ 0 0
$74.74
13.26%
Sold Out
-
HHC
The Howard Hughes Corp
2018-03-31
Reduce
-5.59%
0 $ 0 0
$109.93
-14.52%
Reduce -53.14%
2,204,534
MDLZ
Mondelez International Inc
2018-03-31
Reduce
-5.17%
0 $ 0 0
$44.27
1.91%
Reduce -30.53%
16,156,591
UTX
United Technologies Corp
2018-03-31
New Buy
+5.06%
0 $ 0 0
$130.13
-0.84%
New holding
1,944,420
QSR
Restaurant Brands International Inc
2018-03-31
Reduce
-2.28%
0 $ 0 0
$55.47
-6.60%
Reduce -8.23%
24,320,295
ADP
Automatic Data Processing Inc
2018-03-31
Reduce
-1.71%
0 $ 0 0
$146.55
25.68%
Reduce -9.73%
7,941,957
MDLZ
Mondelez International Inc
2017-12-31
Add
+6.80%
0 $ 0 0
$44.27
5.48%
Add 66.98%
23,256,402
NKE
Nike Inc
2017-12-31
New Buy
+6.22%
0 $ 0 0
$74.74
30.12%
New holding
5,836,020
ADP
Automatic Data Processing Inc
2017-09-30
Add
+15.07%
0 $ 0 0
$146.55
36.94%
Add 402.52%
8,798,442
QSR
Restaurant Brands International Inc
2017-09-30
Reduce
-13.15%
0 $ 0 0
$55.47
-10.23%
Reduce -32.31%
26,500,729
NOMD
Nomad Foods Ltd
2017-09-30
Sold Out
-7.82%
0 $ 0 0
$19.73
35.32%
Sold Out
-
MDLZ
Mondelez International Inc
2017-09-30
Reduce
-0.41%
0 $ 0 0
$44.27
4.16%
Reduce -3.92%
13,927,445
APD
Air Products & Chemicals Inc
2017-06-30
Sold Out
-5.18%
0 $ 0 0
$163.86
15.37%
Sold Out
-
MDLZ
Mondelez International Inc
2017-06-30
Reduce
-3.94%
0 $ 0 0
$44.27
-1.82%
Reduce -27.31%
14,496,225
ADP
Automatic Data Processing Inc
2017-06-30
New Buy
+2.98%
0 $ 0 0
$146.55
44.78%
New holding
1,750,867
HHC
The Howard Hughes Corp
2017-06-30
Add
+2.32%
0 $ 0 0
$109.93
-11.43%
Add 31.85%
4,704,534
BHC
Bausch Health Companies Inc
2017-03-31
Sold Out
-4.45%
0 $ 0 0
$25.33
84.08%
Sold Out
-
APD
Air Products & Chemicals Inc
2017-03-31
Reduce
-3.87%
0 $ 0 0
$163.86
16.25%
Reduce -41.09%
2,280,138
MDLZ
Mondelez International Inc
2017-03-31
Reduce
-2.25%
0 $ 0 0
$44.27
-0.09%
Reduce -13.08%
19,942,225
CMG
Chipotle Mexican Grill Inc
2016-12-31
Add
+14.85%
0 $ 0 0
$472.76
19.85%
Add 420.10%
2,882,463
ZTS
Zoetis Inc
2016-12-31
Sold Out
-2.61%
0 $ 0 0
$92.27
81.49%
Sold Out
-
BHC
Bausch Health Companies Inc
2016-12-31
Reduce
-1.58%
0 $ 0 0
$25.33
38.11%
Reduce -16.10%
18,114,432
VSM
Versum Materials Inc
2016-12-31
Sold Out
-0.88%
0 $ 0 0
$33.39
34.15%
Sold Out
-
APD
Air Products & Chemicals Inc
2016-12-31
Reduce
-0.40%
0 $ 0 0
$163.86
17.08%
Reduce -3.84%
3,870,760
PAH
Platform Specialty Products Corp
2016-12-31
Reduce
-0.34%
0 $ 0 0
$11.40
33.33%
Reduce -5.35%
40,451,506
CP
Canadian Pacific Railway Ltd
2016-09-30
Sold Out
-16.87%
0 $ 0 0
$209.82
42.86%
Sold Out
-
ZTS
Zoetis Inc
2016-09-30
Reduce
-11.66%
0 $ 0 0
$92.27
82.32%
Reduce -87.16%
2,717,719
APD
Air Products & Chemicals Inc
2016-09-30
Reduce
-6.76%
0 $ 0 0
$163.86
18.23%
Reduce -47.05%
4,025,140
CMG
Chipotle Mexican Grill Inc
2016-09-30
New Buy
+4.34%
0 $ 0 0
$472.76
14.99%
New holding
554,213
Total 172