David Rolfe Holdings Activity

Wedgewood Partners Portfolio 13F

Wedgewood Partners has disclosed a total of 19 changes to the portfolio in the latest (2024 Q3) SEC report(s): increased the number of shares of 1 and decreased the number of shares of 18 position(s).

What stocks is David Rolfe buying now?

In the recent quarter David Rolfe has bought (EW) EDWARDS LIFESCIENCES CORP (added shares +1.36%).

What does David Rolfe invest in?

David Rolfe's top 5 holdings (by % of portfolio) are (META) META PLATFORMS INC-CLASS A (8.72%), (GOOGL) ALPHABET INC-CL A (8.36%), (TSM) TAIWAN SEMICONDUCTOR-SP ADR (8.34%), (PYPL) PAYPAL HOLDINGS INC (7.85%) and (V) VISA INC-CLASS A SHARES (7.12%).

In the latest report(s) the following changes have been made to the top investments: (META) META PLATFORMS INC-CLASS A (reduced shares -1.12%), (GOOGL) ALPHABET INC-CL A (reduced shares -1.28%), (TSM) TAIWAN SEMICONDUCTOR-SP ADR (reduced shares -0.67%), (PYPL) PAYPAL HOLDINGS INC (reduced shares -1.56%) and (V) VISA INC-CLASS A SHARES (reduced shares -1.34%).

2024 Q3 (19 results)
EW
+1.36%
+4,830
+0.06%
$66.52
10.33% $73.39
4.34%
CDW
-0.65%
-628
-0.02%
$186.01
3.76% $179.01
3.24%
POOL
-0.67%
-227
-0.01%
$351.19
6.81% $375.10
2.14%
TSM
-0.67%
-1,656
-0.06%
$186.66
2.83% $191.94
8.34%
ORLY
-0.73%
-65
-0.01%
$1,238.78
2.23% $1,266.35
1.98%
ODFL
-0.83%
-502
-0.02%
$225.60
9.09% $205.09
2.47%
BKNG
-0.94%
-58
-0.05%
$4,987.63
3.96% $5,185.33
5.51%
AAPL
-1.01%
-1,758
-0.07%
$225.12
10.06% $247.77
7.02%
SPGI
-1.06%
-262
-0.02%
$510.29
0.36% $512.15
2.26%
META
-1.12%
-940
-0.10%
$580.00
6.78% $619.32
8.72%
CPRT
-1.21%
-6,240
-0.07%
$57.93
6.20% $61.52
5.36%
GOOGL
-1.28%
-3,332
-0.11%
$178.88
3.52% $185.17
8.36%
TPL
-1.29%
-172
-0.04%
$1,366.41
5.15% $1,296.09
3.27%
V
-1.34%
-1,720
-0.10%
$309.48
0.94% $312.38
7.12%
UNH
-1.50%
-885
-0.10%
$605.87
6.71% $565.19
6.38%
PYPL
-1.56%
-7,828
-0.12%
$87.31
1.66% $88.76
7.85%
MSFT
-1.57%
-1,086
-0.08%
$425.20
4.26% $443.33
5.24%
TSCO
-1.61%
-1,631
-0.08%
$278.75
2.14% $284.71
5.06%
MSI
-2.04%
-1,232
-0.11%
$496.70
3.96% $477.02
5.33%
2024 Q2 (19 results)
EW
+44.40%
+108,976
+1.46%
$65.54
11.98% $73.39
4.74%
POOL
-1.62%
-557
-0.04%
$344.07
9.02% $375.10
2.37%
TSCO
-2.02%
-2,096
-0.11%
$262.23
8.57% $284.71
5.44%
SPGI
-2.02%
-507
-0.05%
$484.47
5.71% $512.15
2.44%
PYPL
-2.06%
-10,585
-0.14%
$63.46
39.87% $88.76
6.52%
CPRT
-2.09%
-11,030
-0.11%
$50.26
22.40% $61.52
5.29%
UNH
-2.11%
-1,273
-0.15%
$565.29
0.02% $565.19
6.80%
CDW
-2.16%
-2,131
-0.09%
$212.10
15.60% $179.01
4.18%
ODFL
-2.29%
-1,424
-0.06%
$190.62
7.59% $205.09
2.37%
BKNG
-2.29%
-144
-0.10%
$3,439.29
50.77% $5,185.33
4.31%
ORLY
-2.32%
-211
-0.05%
$1,121.07
12.96% $1,266.35
2.03%
TSM
-2.32%
-5,879
-0.20%
$167.63
14.50% $191.94
8.48%
V
-2.32%
-3,043
-0.16%
$259.89
20.20% $312.38
6.81%
MSFT
-2.33%
-1,645
-0.14%
$406.81
8.98% $443.33
5.73%
TPL
-2.45%
-336
-0.06%
$832.70
55.65% $1,296.09
2.27%
META
-2.48%
-2,134
-0.22%
$515.95
20.03% $619.32
8.82%
GOOGL
-2.53%
-6,769
-0.22%
$162.29
14.10% $185.17
8.64%
AAPL
-2.71%
-4,834
-0.21%
$217.53
13.90% $247.77
7.70%
MSI
-24.88%
-19,983
-1.68%
$412.76
15.57% $477.02
5.08%
38 of 1,363

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.