Chilton Investment Co Llc Buys Domino's Pizza Inc, Delta Air Lines Inc, CarMax Inc, Sells FedEx Corp, Berkshire Hathaway Inc, Tiffany

Stamford, CT, based Investment company Chilton Investment Co Llc buys Domino's Pizza Inc, Delta Air Lines Inc, CarMax Inc, Pool Corp, Tractor Supply Co, PNC Financial Services Group Inc, Visa Inc, Ecolab Inc, Automatic Data Processing Inc, Cadence Bancorp, Linde PLC, Skyworks Solutions Inc, RPM International Inc, Carter's Inc, Service Corp International, Canada Goose Holdings Inc, Marathon Petroleum Corp, Woodward Inc, MPLX LP, Biogen Inc, Merck Inc, United Technologies Corp, Facebook Inc, Honeywell International Inc, MGP Ingredients Inc, On Deck Capital Inc, sells FedEx Corp, Berkshire Hathaway Inc, Tiffany, PayPal Holdings Inc, Apple Inc, Hasbro Inc, Old Dominion Freight Lines Inc, Lockheed Martin Corp, Blackstone Group LP, NVR Inc, CVS Health Corp, Moody's Corporation, Ulta Beauty Inc, Summit Materials Inc, SLM Corp, Papa John's International Inc, Advanced Disposal Services Inc, The Timken Co, W R Grace, Wyndham Hotels & Resorts Inc, United Parcel Service Inc, Visteon Corp, Medtronic PLC, DocuSign Inc, Lithia Motors Inc, The Hershey Co, Wells Fargo, Fortive Corp, Brown-Forman Corp, AbbVie Inc, American Public Education Inc, Weyerhaeuser Co, DowDuPont Inc, Goldman Sachs Group Inc, Citigroup Inc, SPDR S&P 500, Philip Morris International Inc during the 3-months ended 2019Q1, according to the most recent filings of the investment company, Chilton Investment Co Llc. As of 2019Q1, Chilton Investment Co Llc owns 118 stocks with a total value of $2.9 billion. These are the details of the buys and sells.

For the details of CHILTON INVESTMENT CO LLC's stock buys and sells, go to https://www.gurufocus.com/guru/chilton+investment+co+llc/current-portfolio/portfolio

These are the top 5 holdings of CHILTON INVESTMENT CO LLC
  1. Sherwin-Williams Co (SHW) - 476,139 shares, 7.19% of the total portfolio. Shares reduced by 5.41%
  2. Ball Corp (BLL) - 3,065,095 shares, 6.22% of the total portfolio. Shares reduced by 3.83%
  3. The Home Depot Inc (HD) - 878,517 shares, 5.91% of the total portfolio. Shares reduced by 3.49%
  4. Microsoft Corp (MSFT) - 1,315,529 shares, 5.44% of the total portfolio. Shares reduced by 0.97%
  5. Mastercard Inc (MA) - 541,523 shares, 4.47% of the total portfolio. Shares reduced by 4.59%
New Purchase: Delta Air Lines Inc (DAL)

Chilton Investment Co Llc initiated holding in Delta Air Lines Inc. The purchase prices were between $45.61 and $51.82, with an estimated average price of $49.61. The stock is now traded at around $57.73. The impact to a portfolio due to this purchase was 0.67%. The holding were 367,793 shares as of .

New Purchase: Ecolab Inc (ECL)

Chilton Investment Co Llc initiated holding in Ecolab Inc. The purchase prices were between $141.54 and $176.54, with an estimated average price of $162.08. The stock is now traded at around $183.64. The impact to a portfolio due to this purchase was 0.21%. The holding were 34,456 shares as of .

New Purchase: Skyworks Solutions Inc (SWKS)

Chilton Investment Co Llc initiated holding in Skyworks Solutions Inc. The purchase prices were between $60.72 and $86.07, with an estimated average price of $77.03. The stock is now traded at around $86.55. The impact to a portfolio due to this purchase was 0.1%. The holding were 35,276 shares as of .

New Purchase: Canada Goose Holdings Inc (GOOS)

Chilton Investment Co Llc initiated holding in Canada Goose Holdings Inc. The purchase prices were between $42.16 and $59.19, with an estimated average price of $50.85. The stock is now traded at around $53.27. The impact to a portfolio due to this purchase was 0.04%. The holding were 21,493 shares as of .

New Purchase: MPLX LP (MPLX)

Chilton Investment Co Llc initiated holding in MPLX LP. The purchase prices were between $30.3 and $35.68, with an estimated average price of $33.55. The stock is now traded at around $32.45. The impact to a portfolio due to this purchase was 0.03%. The holding were 24,457 shares as of .

New Purchase: Biogen Inc (BIIB)

Chilton Investment Co Llc initiated holding in Biogen Inc. The purchase prices were between $216.71 and $338.96, with an estimated average price of $315.3. The stock is now traded at around $236.07. The impact to a portfolio due to this purchase was 0.02%. The holding were 1,872 shares as of .

Added: Domino's Pizza Inc (DPZ)

Chilton Investment Co Llc added to a holding in Domino's Pizza Inc by 45.86%. The purchase prices were between $239.25 and $294.86, with an estimated average price of $260.3. The stock is now traded at around $281.87. The impact to a portfolio due to this purchase was 0.68%. The holding were 238,579 shares as of .

Added: CarMax Inc (KMX)

Chilton Investment Co Llc added to a holding in CarMax Inc by 48.24%. The purchase prices were between $58.38 and $69.8, with an estimated average price of $61.66. The stock is now traded at around $78.32. The impact to a portfolio due to this purchase was 0.39%. The holding were 492,905 shares as of .

Added: Pool Corp (POOL)

Chilton Investment Co Llc added to a holding in Pool Corp by 89.30%. The purchase prices were between $144.37 and $164.97, with an estimated average price of $155.04. The stock is now traded at around $185.88. The impact to a portfolio due to this purchase was 0.37%. The holding were 136,473 shares as of .

Added: Tractor Supply Co (TSCO)

Chilton Investment Co Llc added to a holding in Tractor Supply Co by 328.50%. The purchase prices were between $80.68 and $97.76, with an estimated average price of $90.87. The stock is now traded at around $103.09. The impact to a portfolio due to this purchase was 0.34%. The holding were 128,044 shares as of .

Added: PNC Financial Services Group Inc (PNC)

Chilton Investment Co Llc added to a holding in PNC Financial Services Group Inc by 36.54%. The purchase prices were between $116.91 and $131.88, with an estimated average price of $123.74. The stock is now traded at around $136.27. The impact to a portfolio due to this purchase was 0.31%. The holding were 271,432 shares as of .

Added: Visa Inc (V)

Chilton Investment Co Llc added to a holding in Visa Inc by 41.35%. The purchase prices were between $128.13 and $156.19, with an estimated average price of $143.85. The stock is now traded at around $162.29. The impact to a portfolio due to this purchase was 0.24%. The holding were 148,538 shares as of .

Sold Out: FedEx Corp (FDX)

Chilton Investment Co Llc sold out a holding in FedEx Corp. The sale prices were between $157.19 and $185.62, with an estimated average price of $176.54.

Sold Out: Tiffany & Co (TIF)

Chilton Investment Co Llc sold out a holding in Tiffany & Co. The sale prices were between $79.59 and $105.55, with an estimated average price of $91.58.

Sold Out: CVS Health Corp (CVS)

Chilton Investment Co Llc sold out a holding in CVS Health Corp. The sale prices were between $52.36 and $69.88, with an estimated average price of $61.96.

Sold Out: Summit Materials Inc (SUM)

Chilton Investment Co Llc sold out a holding in Summit Materials Inc. The sale prices were between $12.4 and $18.28, with an estimated average price of $15.84.

Sold Out: SLM Corp (SLM)

Chilton Investment Co Llc sold out a holding in SLM Corp. The sale prices were between $8.31 and $11.43, with an estimated average price of $10.32.

Sold Out: Advanced Disposal Services Inc (ADSW)

Chilton Investment Co Llc sold out a holding in Advanced Disposal Services Inc. The sale prices were between $23.28 and $28.02, with an estimated average price of $25.98.



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