Bill Ackman
Bill Ackman
13F
Pershing Square Capital Management, L.P.
Last update 2022-08-05 8 Stocks (1 new)
Value $10.39 Bil Turnover 11 %
Portfolio Report

Bill Ackman Profile

William Ackman, co-investment manager for hedge-fund group Gotham Partners LP, formed Pershing Square in November 2003 with $54 million raised from three investors. Ackman got his start in the real estate business, where he worked for his father prior to starting Gotham.

Bill Ackman Investing Philosophy

Bill Ackman is an activist investor. He buys the common stocks of public companies, and pushes for changes so that the market can realize the values of the companies. Ackman buys stocks trading at a discount, and sells when the companies reach their appraised value.

Bill Ackman Portfolio and Latest Trades

Type:
Ticker Company Date Action Impact % Price Range Price Price Change from Avrg% Comment Current Shares Share Change
NFLX
Netflix Inc2022-03-31New Buy
+11.21%
331.01 ($417.64) 597.37
$249.30
-40.31%
New holding
3,109,965
3,109,965
HLT
Hilton Worldwide Holdings Inc2022-03-31Reduce
-3.82%
129.09 ($147.51) 158
$137.44
-6.83%
Reduce -20.98%
9,952,287
-2,642,049
DPZ
Domino's Pizza Inc2022-03-31Reduce
-0.13%
386.18 ($436.61) 553.22
$412.24
-5.58%
Reduce -1.16%
2,068,031
-24,171
CP
Canadian Pacific Railway Ltd2022-03-31Add
+0.10%
68.8 ($75.22) 83.58
$81.25
8.02%
Add 4.64%
2,944,259
130,512
LOW
Lowe's Companies Inc2022-03-31Reduce
-0.07%
202.19 ($230.1) 259.81
$206.47
-10.27%
Reduce -0.28%
10,207,306
-29,165
QSR
Restaurant Brands International Inc2022-03-31Reduce
-0.04%
53.98 ($56.89) 60.13
$60.48
6.31%
Reduce -0.3%
23,864,631
-72,617
CP
Canadian Pacific Railway Ltd2021-12-31New Buy
+1.88%
66.43 ($73.15) 77.89
$81.25
11.07%
New holding
2,813,747
2,813,747
HLT
Hilton Worldwide Holdings Inc2021-12-31Reduce
-0.41%
129.96 ($144.31) 155.99
$137.44
-4.76%
Reduce -2.26%
12,594,336
-291,018
CMG
Chipotle Mexican Grill Inc2021-09-30Add
+0.55%
1538.23 ($1816.7) 1944.05
$1,663.70
-8.42%
Add 2.63%
1,114,725
28,589
DPZ
Domino's Pizza Inc2021-09-30Add
+0.27%
466.02 ($505.95) 540.47
$412.24
-18.52%
Add 2.6%
2,092,202
53,032
LOW
Lowe's Companies Inc2021-09-30Add
+0.21%
182.26 ($199.34) 210.63
$206.47
3.58%
Add 0.95%
10,236,471
95,951
HLT
Hilton Worldwide Holdings Inc2021-09-30Add
+0.17%
117.01 ($126.37) 138.8
$137.44
8.76%
Add 0.98%
12,885,354
125,307
QSR
Restaurant Brands International Inc2021-09-30Add
+0.16%
61.19 ($64.08) 68.19
$60.48
-5.62%
Add 1.01%
23,937,248
240,331
HHC
The Howard Hughes Corp2021-09-30Add
+0.14%
86.01 ($90.75) 97.47
$73.39
-19.13%
Add 1.11%
13,620,164
150,156
LOW
Lowe's Companies Inc2021-06-30Reduce
-3.30%
186.2 ($195.5) 211.31
$206.47
5.61%
Reduce -15.2%
10,140,520
-1,817,795
HLT
Hilton Worldwide Holdings Inc2021-06-30Reduce
-0.14%
118.29 ($124.77) 130.39
$137.44
10.15%
Reduce -0.92%
12,760,047
-118,589
QSR
Restaurant Brands International Inc2021-06-30Reduce
-0.14%
64.42 ($67.34) 70.47
$60.48
-10.19%
Reduce -0.96%
23,696,917
-229,735
A
Agilent Technologies Inc2021-06-30Reduce
-0.13%
127.14 ($136.14) 148.81
$133.55
-1.90%
Reduce -0.92%
11,695,838
-108,698
DPZ
Domino's Pizza Inc2021-06-30Add
+0.02%
367.79 ($422.43) 466.49
$412.24
-2.41%
Add 0.17%
2,039,170
3,466
SBUX
Starbucks Corp2021-03-31Sold Out
-10.77%
96.81 ($105) 111.34
$88.31
-15.90%
Sold Out
0
-10,070,042
DPZ
Domino's Pizza Inc2021-03-31New Buy
+7.16%
330.24 ($369.29) 390.54
$412.24
11.63%
New holding
2,035,704
2,035,704
HHC
The Howard Hughes Corp2021-03-31Add
+2.32%
77.57 ($92.44) 102.08
$73.39
-20.61%
Add 23.37%
13,470,008
2,552,000
CMG
Chipotle Mexican Grill Inc2021-03-31Reduce
-1.04%
1319.12 ($1447.5) 1550.49
$1,663.70
14.94%
Reduce -6.47%
1,086,136
-75,096
LOW
Lowe's Companies Inc2021-03-31Reduce
-0.69%
153.77 ($171.69) 191.61
$206.47
20.26%
Reduce -3.47%
11,958,315
-429,272
QSR
Restaurant Brands International Inc2021-03-31Reduce
-0.68%
57.11 ($61.93) 67.92
$60.48
-2.34%
Reduce -4.44%
23,926,652
-1,111,875
HLT
Hilton Worldwide Holdings Inc2021-03-31Reduce
-0.52%
98.67 ($115.5) 127.26
$137.44
19%
Reduce -3.53%
12,878,636
-471,570
A
Agilent Technologies Inc2021-03-31Reduce
-0.51%
114.99 ($123.66) 130.12
$133.55
8%
Reduce -3.53%
11,804,536
-431,571
SBUX
Starbucks Corp2020-12-31Reduce
-0.06%
85.97 ($95.62) 106.98
$88.31
-7.64%
Reduce -0.6%
10,070,042
-60,966
QSR
Restaurant Brands International Inc2020-12-31Reduce
-0.05%
51.76 ($58.38) 62.71
$60.48
3.60%
Reduce -0.32%
25,038,527
-80,489
LOW
Lowe's Companies Inc2020-12-31Reduce
-0.04%
146.74 ($162.36) 177.7
$206.47
27.17%
Reduce -0.17%
12,387,587
-20,490
HLT
Hilton Worldwide Holdings Inc2020-12-31Reduce
-0.01%
84.02 ($99.26) 111.26
$137.44
38.46%
Reduce -0.1%
13,350,206
-12,805
A
Agilent Technologies Inc2020-12-31Reduce
-0.01%
100.01 ($110.78) 119.3
$133.55
20.55%
Reduce -0.1%
12,236,107
-12,407
LOW
Lowe's Companies Inc2020-09-30Reduce
-0.52%
135.02 ($153.75) 170.49
$206.47
34.29%
Reduce -2.37%
12,408,077
-300,776
A
Agilent Technologies Inc2020-09-30Reduce
-0.43%
88.11 ($96.52) 103.42
$133.55
38.37%
Reduce -2.99%
12,248,514
-378,079
HLT
Hilton Worldwide Holdings Inc2020-09-30Reduce
-0.40%
73.51 ($83.54) 94.03
$137.44
64.52%
Reduce -3.09%
13,363,011
-426,578
BRK.B
Berkshire Hathaway Inc2020-06-30Sold Out
-15.17%
169.25 ($182.68) 201.56
$301.55
65.07%
Sold Out
0
-5,453,360
QSR
Restaurant Brands International Inc2020-06-30Add
+7.07%
33.27 ($50.21) 59.73
$60.48
20.45%
Add 66.52%
25,119,016
10,034,712
HHC
The Howard Hughes Corp2020-06-30Reduce
-0.98%
42.58 ($52.81) 66.6
$73.39
38.97%
Reduce -10.49%
10,918,008
-1,279,381
LOW
Lowe's Companies Inc2020-06-30Add
+0.80%
80.42 ($113.61) 135.65
$206.47
81.74%
Add 3.73%
12,708,853
456,439
BX
Blackstone Inc2020-06-30Sold Out
-0.38%
40.8 ($52.49) 59.45
$108.79
107.26%
Sold Out
0
-548,526
PK
Park Hotels & Resorts Inc2020-06-30Sold Out
-0.08%
6.04 ($9.28) 14.88
$16.05
72.95%
Sold Out
0
-677,888
A
Agilent Technologies Inc2020-03-31Add
+10.22%
63.37 ($80.63) 90.13
$133.55
65.63%
Add 288.74%
12,626,593
9,378,479
HHC
The Howard Hughes Corp2020-03-31Add
+7.68%
37.44 ($106.1) 129.35
$73.39
-30.83%
Add 455.09%
12,197,389
10,000,000
CMG
Chipotle Mexican Grill Inc2020-03-31Reduce
-7.19%
465.21 ($794.62) 933.84
$1,663.70
109.37%
Reduce -32.66%
1,161,232
-563,078
LOW
Lowe's Companies Inc2020-03-31Add
+4.76%
65.02 ($109.88) 126.57
$206.47
87.90%
Add 42.25%
12,252,414
3,639,202
SBUX
Starbucks Corp2020-03-31Add
+4.67%
56.33 ($81.31) 93.75
$88.31
8.61%
Add 85.62%
10,131,008
4,673,054
BRK.B
Berkshire Hathaway Inc2020-03-31Add
+4%
162.13 ($213.25) 230.2
$301.55
41.41%
Add 35.8%
5,453,360
1,437,766
HLT
Hilton Worldwide Holdings Inc2020-03-31Add
+3.36%
56.68 ($98.09) 113.92
$137.44
40.12%
Add 30.62%
13,789,589
3,232,784
BX
Blackstone Inc2020-03-31New Buy
+0.38%
36.04 ($55.53) 64.41
$108.79
95.91%
New holding
548,526
548,526
PK
Park Hotels & Resorts Inc2020-03-31New Buy
+0.08%
4.92 ($19.07) 25.87
$16.05
-15.84%
New holding
677,888
677,888
SBUX
Starbucks Corp2019-12-31Reduce
-5.25%
81.77 ($85.31) 88.78
$88.31
3.52%
Reduce -41.4%
5,457,954
-3,855,936
HHC
The Howard Hughes Corp2019-12-31Add
+1.94%
105.44 ($116.27) 128.38
$73.39
-36.88%
Add 83.91%
2,197,389
1,002,596
A
Agilent Technologies Inc2019-12-31Add
+0.43%
72.49 ($78.92) 85.45
$133.55
69.22%
Add 11.39%
3,248,114
332,011
ADP
Automatic Data Processing Inc2019-09-30Sold Out
-9.93%
157.77 ($165.2) 173.27
$256.78
55.44%
Sold Out
0
-4,029,526
A
Agilent Technologies Inc2019-09-30New Buy
+3.44%
65.59 ($72.2) 78.07
$133.55
84.97%
New holding
2,916,103
2,916,103
BRK.B
Berkshire Hathaway Inc2019-09-30Add
+1.61%
195.81 ($206.13) 215.25
$301.55
46.29%
Add 14.31%
4,015,594
502,597
CMG
Chipotle Mexican Grill Inc2019-09-30Reduce
-0.64%
723.08 ($796.93) 843.64
$1,663.70
108.76%
Reduce -3.28%
1,724,310
-58,400
HLT
Hilton Worldwide Holdings Inc2019-09-30Reduce
-0.60%
91.08 ($94.96) 100.7
$137.44
44.73%
Reduce -3.73%
10,556,805
-409,446
QSR
Restaurant Brands International Inc2019-09-30Reduce
-0.58%
69.2 ($73.76) 78.48
$60.48
-18%
Reduce -3.56%
15,084,304
-556,761
LOW
Lowe's Companies Inc2019-09-30Reduce
-0.43%
93.38 ($105.63) 115.28
$206.47
95.47%
Reduce -3.23%
8,613,212
-287,323
RTX
Raytheon Technologies Corp2019-06-30Sold Out
-11.17%
122.94 ($132.92) 142.61
$95.01
-28.52%
Sold Out
0
-5,819,203
BRK.B
Berkshire Hathaway Inc2019-06-30New Buy
+11.16%
197.42 ($206.89) 218.6
$301.55
45.75%
New holding
3,512,997
3,512,997
QSR
Restaurant Brands International Inc2019-06-30Reduce
-2.62%
64.9 ($66.99) 70.29
$60.48
-9.72%
Reduce -14.73%
15,641,065
-2,701,638
CMG
Chipotle Mexican Grill Inc2019-06-30Reduce
-0.85%
641.66 ($704.23) 740.59
$1,663.70
136.24%
Reduce -4.29%
1,782,710
-80,000
SBUX
Starbucks Corp2019-06-30Reduce
-0.75%
73.96 ($78.35) 84.69
$88.31
12.71%
Reduce -6.81%
9,313,890
-680,159
LOW
Lowe's Companies Inc2019-06-30Reduce
-0.68%
91.87 ($105.44) 117.18
$206.47
95.82%
Reduce -4.45%
8,900,535
-414,498
ESI
Element Solutions Inc2019-03-31Sold Out
-7.01%
9.75 ($11.08) 11.84
$20.20
82.31%
Sold Out
0
-40,451,506
SBUX
Starbucks Corp2019-03-31Reduce
-1.90%
61.53 ($68.63) 74.34
$88.31
28.68%
Reduce -14.98%
9,994,049
-1,760,392
QSR
Restaurant Brands International Inc2019-03-31Reduce
-1.18%
51.42 ($61.29) 65.6
$60.48
-1.32%
Reduce -6.82%
18,342,703
-1,342,899
CMG
Chipotle Mexican Grill Inc2019-03-31Reduce
-0.57%
431.79 ($577.1) 710.31
$1,663.70
188.29%
Reduce -4.02%
1,862,710
-78,089
RTX
Raytheon Technologies Corp2019-03-31Add
+0.46%
103.48 ($120.52) 128.89
$95.01
-21.17%
Add 4.32%
5,819,203
241,000
LOW
Lowe's Companies Inc2019-03-31Reduce
-0.34%
91.17 ($99.68) 109.47
$206.47
107.13%
Reduce -2.32%
9,315,033
-221,558
ADP
Automatic Data Processing Inc2019-03-31Reduce
-0.09%
126.21 ($144.95) 159.74
$256.78
77.15%
Reduce -1%
4,029,526
-40,600
HHC
The Howard Hughes Corp2019-03-31Reduce
-0.06%
96.5 ($108.54) 115.96
$73.39
-32.38%
Reduce -3.14%
1,194,793
-38,796
HLT
Hilton Worldwide Holdings Inc2019-03-31Add
+0.02%
67.3 ($78.14) 86.21
$137.44
75.89%
Add 0.17%
10,966,251
18,772
HLT
Hilton Worldwide Holdings Inc2018-12-31New Buy
+13.19%
63.82 ($72.11) 77.97
$137.44
90.60%
New holding
10,947,479
10,947,479
SBUX
Starbucks Corp2018-12-31New Buy
+12.71%
54.86 ($62.79) 68.72
$88.31
40.64%
New holding
11,754,441
11,754,441
HHC
The Howard Hughes Corp2018-12-31Reduce
-2.15%
89.85 ($108.55) 123.89
$73.39
-32.39%
Reduce -42.17%
1,233,589
-899,647
LOW
Lowe's Companies Inc2018-12-31Add
+1.70%
85.96 ($95.77) 112.59
$206.47
115.59%
Add 13.01%
9,536,591
1,097,790
QSR
Restaurant Brands International Inc2018-12-31Reduce
-1.32%
50.61 ($55.41) 59.05
$60.48
9.15%
Reduce -5.56%
19,685,602
-1,158,317
RTX
Raytheon Technologies Corp2018-12-31Add
+1.13%
102.06 ($124.04) 141.45
$95.01
-23.40%
Add 12.74%
5,578,203
630,415
CMG
Chipotle Mexican Grill Inc2018-12-31Reduce
-1.03%
385.84 ($451.55) 490.76
$1,663.70
268.44%
Reduce -5.75%
1,940,799
-118,307
ADP
Automatic Data Processing Inc2018-12-31Add
+0.09%
121.95 ($140.77) 151.77
$256.78
82.41%
Add 1.01%
4,070,126
40,699
MDLZ
Mondelez International Inc2018-09-30Sold Out
-11.56%
40.81 ($42.63) 43.94
$64.20
50.60%
Sold Out
0
-16,371,713
CMG
Chipotle Mexican Grill Inc2018-09-30Reduce
-6.12%
433.66 ($475.69) 525.89
$1,663.70
249.74%
Reduce -28.56%
2,059,106
-823,357
LOW
Lowe's Companies Inc2018-09-30Add
+1.59%
94.87 ($104.19) 116.84
$206.47
98.17%
Add 9.37%
8,438,801
723,300
RTX
Raytheon Technologies Corp2018-09-30Add
+1.09%
124.88 ($133.44) 142.08
$95.01
-28.80%
Add 8.97%
4,947,788
407,173
ADP
Automatic Data Processing Inc2018-09-30Reduce
-0.45%
132.61 ($141.4) 150.68
$256.78
81.60%
Reduce -4.64%
4,029,427
-195,938
HHC
The Howard Hughes Corp2018-09-30Reduce
-0.16%
123.03 ($131.82) 142.24
$73.39
-44.33%
Reduce -3.23%
2,133,236
-71,298
NKE
Nike Inc2018-03-31Sold Out
-6.22%
62.49 ($65.99) 69.65
$116.07
75.89%
Sold Out
0
-5,836,020
HHC
The Howard Hughes Corp2018-03-31Reduce
-5.59%
118.95 ($128.61) 139.13
$73.39
-42.94%
Reduce -53.14%
2,204,534
-2,500,000
MDLZ
Mondelez International Inc2018-03-31Reduce
-5.17%
40.51 ($43.44) 45.87
$64.20
47.79%
Reduce -30.53%
16,156,591
-7,099,811
RTX
Raytheon Technologies Corp2018-03-31New Buy
+5.06%
122.31 ($131.23) 138.32
$95.01
-27.60%
New holding
1,944,420
1,944,420
QSR
Restaurant Brands International Inc2018-03-31Reduce
-2.28%
55.61 ($59.39) 63.86
$60.48
1.84%
Reduce -8.23%
24,320,295
-2,180,434
ADP
Automatic Data Processing Inc2018-03-31Reduce
-1.71%
108.25 ($116.61) 123.63
$256.78
120.20%
Reduce -9.73%
7,941,957
-856,485
MDLZ
Mondelez International Inc2017-12-31Add
+6.80%
39.3 ($41.97) 43.42
$64.20
52.97%
Add 66.98%
23,256,402
9,328,957
NKE
Nike Inc2017-12-31New Buy
+6.22%
50.83 ($57.44) 64.81
$116.07
102.07%
New holding
5,836,020
5,836,020
ADP
Automatic Data Processing Inc2017-09-30Add
+15.07%
101.31 ($107.02) 118.91
$256.78
139.94%
Add 402.52%
8,798,442
0
QSR
Restaurant Brands International Inc2017-09-30Reduce
-13.15%
59.25 ($61.79) 65.58
$60.48
-2.12%
Reduce -32.31%
26,500,729
0
NOMD
Nomad Foods Ltd2017-09-30Sold Out
-7.82%
13.59 ($14.58) 15.36
$19.41
33.13%
Sold Out
0
0

Bill Ackman News

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