Andrew Brenton Holdings Activity

Turtle Creek Asset Management Portfolio 13F

Turtle Creek Asset Management has disclosed a total of 39 changes to the portfolio in the latest (2025 Q2) SEC report(s): increased the number of shares of 12, bought 4 totally new, decreased the number of shares of 22 and completely sold out 1 position(s).

What stocks is Andrew Brenton buying now?

In the recent quarter Andrew Brenton has bought 16 securities out of which top 5 purchases (by % change to portfolio) are (CCOI) COGENT COMMUNICATIONS HOLDIN (added shares +1628.41%), (AMCR) AMCOR PLC (new buy), (FND) FLOOR & DECOR HOLDINGS INC-A (added shares +27.03%), (WSC) WILLSCOT MOBILE MINI HOLDING (added shares +22.31%) and (KMX) CARMAX INC (added shares +3.4%).

What does Andrew Brenton invest in?

Andrew Brenton's top 5 holdings (by % of portfolio) are (ATS) ATS CORP (7.02%), (CE) CELANESE CORP (6.79%), (ADS) ALLIANCE DATA SYSTEMS CORP (5.96%), (MIDD) MIDDLEBY CORP (5.86%) and (BC) BRUNSWICK CORP (5.73%).

In the latest report(s) the following changes have been made to the top investments: (ATS) ATS CORP (reduced shares -8.56%), (CE) CELANESE CORP (reduced shares -6.16%), (ADS) ALLIANCE DATA SYSTEMS CORP (reduced shares -10.24%), (MIDD) MIDDLEBY CORP (reduced shares -4.26%) and (BC) BRUNSWICK CORP (reduced shares -5.07%).

2017 Q3 (25 results)
MIDD
buy
+38,650
+0.16%
$41.58
218.94% $132.61
0.16%
ADS
+3,379.87%
+251,800
+5.55%
$221.55
74.36% $56.80
5.71%
FAST
+1,022.41%
+1,660,400
+1.88%
$11.40
328.96% $48.88
2.07%
NTCT
+59.68%
+1,148,671
+3.70%
$32.35
30.73% $22.41
9.89%
SCI
+37.35%
+371,250
+1.27%
$34.50
133.80% $80.66
4.69%
PRAA
+35.69%
+1,566,430
+4.46%
$28.65
43.46% $16.20
16.98%
TSCO
+33.27%
+309,036
+1.95%
$63.29
4.42% $60.49
7.79%
HDS
+23.35%
+7,450
+0.03%
$36.06
-
0.14%
WAB
+15.52%
+900
+0.01%
$75.82
149.48% $189.16
0.05%
TJX
+13.01%
+184,000
+0.67%
$36.87
259.75% $132.62
5.86%
AOS
+6.78%
+400
+0.00%
$59.37
21.64% $72.21
0.04%
OTEX
+6.69%
+152,600
+0.49%
$32.29
1.86% $31.69
7.81%
KEX
+5.88%
+800
+0.01%
$65.97
46.27% $96.50
0.09%
CERN
+4.24%
+750
+0.01%
$71.33
33.08% $94.92
0.13%
CLH
+3.51%
+800
+0.00%
$56.69
328.84% $243.13
0.13%
SSNC
-3.17%
-60,800
-0.24%
$40.15
116.26% $86.83
7.42%
GIL
-12.39%
-629,250
-1.96%
$31.28
80.21% $56.37
13.85%
MITL
-18.27%
-166,000
-0.14%
$8.39
32.90% $11.15
0.00%
PII
-18.57%
-2,600
-0.03%
$104.65
45.31% $57.23
0.12%
URBN
-19.53%
-716,550
-1.70%
$23.90
224.39% $77.53
7.02%
WBC
-23.74%
-3,300
-0.05%
$148.02
-
0.16%
9912349D
-30.09%
-143,056
-1.39%
$97.66
-
3.23%
BWA
-35.38%
-630,150
-3.21%
$51.23
19.15% $41.42
5.87%
HEI.A
-65.27%
-9,688
-0.05%
$48.68
394.46% $240.71
0.02%
MANH
-67.17%
-22,300
-0.28%
$128.17
67.59% $214.79
0.14%
2017 Q2 (24 results)
MANH
buy
+33,200
+0.18%
$48.07
346.81% $214.79
0.18%
HDS
buy
+31,900
+0.11%
$30.63
-
0.11%
PII
buy
+14,000
+0.15%
$92.21
37.94% $57.23
0.15%
FAST
buy
+162,400
+0.20%
$10.88
349.24% $48.88
0.20%
WBC
buy
+13,900
+0.20%
$127.48
-
0.20%
CERN
buy
+17,700
+0.13%
$66.50
42.74% $94.92
0.13%
ADS
buy
+7,450
+0.22%
$256.64
77.87% $56.80
0.22%
KEX
buy
+13,600
+0.10%
$66.84
44.38% $96.50
0.10%
WAB
buy
+5,800
+0.06%
$91.55
106.62% $189.16
0.06%
AOS
buy
+5,900
+0.04%
$56.27
28.32% $72.21
0.04%
SCI
buy
+994,000
+3.79%
$33.45
141.14% $80.66
3.79%
URBN
+84.05%
+1,675,600
+3.54%
$18.54
318.18% $77.53
7.75%
TSCO
+72.02%
+388,900
+2.40%
$54.21
11.58% $60.49
5.73%
NTCT
+28.05%
+421,600
+1.65%
$34.40
34.85% $22.41
7.54%
TJX
+15.45%
+189,300
+0.78%
$36.08
267.52% $132.62
5.81%
OTEX
+7.99%
+168,750
+0.61%
$31.54
0.48% $31.69
8.19%
PRAA
+2.01%
+86,416
+0.37%
$37.90
57.26% $16.20
18.94%
BWA
-1.04%
-18,700
-0.09%
$42.36
2.22% $41.42
8.59%
SSNC
-2.38%
-46,800
-0.20%
$38.41
126.06% $86.83
8.39%
9912349D
-3.50%
-17,250
-0.19%
$94.53
-
5.12%
GIL
-30.02%
-2,179,700
-7.63%
$30.73
83.44% $56.37
17.78%
MITL
-86.95%
-6,050,400
-5.06%
$7.35
51.70% $11.15
0.76%
CLH
-91.36%
-240,954
-1.53%
$55.83
335.46% $243.13
0.14%
HEI.A
-93.69%
-220,404
-1.00%
$39.68
506.64% $240.71
0.07%
49 of 1,087

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.