Independent Franchise Partners Holdings Activity

US Equity Fund Portfolio 13F

US Equity Fund has disclosed a total of 28 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 2, bought 1 totally new and decreased the number of shares of 25 position(s).

What stocks is Independent Franchise Partners buying now?

In the recent quarter Independent Franchise Partners has purchased 3 securities: (PKI) PERKINELMER INC (new buy), (TKO) TKO GROUP HOLDINGS INC (added shares +18.11%) and (TRU) TRANSUNION (added shares +20.62%).

What does Independent Franchise Partners invest in?

Independent Franchise Partners's top 5 holdings (by % of portfolio) are (RBA) RB GLOBAL INC (6.55%), (Z) ZILLOW GROUP INC - C (5.59%), (ICE) INTERCONTINENTAL EXCHANGE IN (5.1%), (PM) PHILIP MORRIS INTERNATIONAL (4.9%) and (BMY) BRISTOL-MYERS SQUIBB CO (4.81%).

In the latest report(s) the following changes have been made to the top investments: (RBA) RB GLOBAL INC (reduced shares -1.15%), (Z) ZILLOW GROUP INC - C (reduced shares -1.15%), (ICE) INTERCONTINENTAL EXCHANGE IN (reduced shares -0.87%), (PM) PHILIP MORRIS INTERNATIONAL (reduced shares -1.15%) and (BMY) BRISTOL-MYERS SQUIBB CO (reduced shares -0.96%).

2019 Q4 (27 results)
CTVA
buy
+1,811,740
+3.38%
$29.56
94.49% $57.49
3.38%
ALC
+160.41%
+318,215
+1.14%
$56.62
43.92% $81.49
1.85%
MO
+0.68%
+7,600
+0.02%
$49.91
10.84% $44.50
3.53%
BTAFF
-0.07%
-921
-0.00%
$42.80
29.68% $30.10
3.48%
IAA
-10.24%
-39,626
-0.12%
$47.06
15.24% $39.89
1.03%
FOXA
-14.40%
-413,741
-0.97%
$37.07
9.58% $33.52
5.75%
ORCL
-18.80%
-234,945
-0.79%
$52.98
121.18% $117.18
3.39%
EA
-19.50%
-143,517
-0.97%
$107.51
18.10% $126.97
4.02%
NTDOF
-23.36%
-57,383
-1.47%
$404.68
87.71% $49.73
4.81%
BMY
-24.46%
-268,842
-1.09%
$64.19
31.64% $43.88
3.36%
BKNG
-26.22%
-13,801
-1.79%
$2,053.73
79.43% $3,684.99
5.03%
NWS
-28.82%
-575,078
-0.53%
$14.51
71.26% $24.85
1.30%
WU
-29.93%
-1,131,548
-1.91%
$26.78
50.11% $13.36
4.48%
TAP
-29.93%
-448,627
-1.53%
$53.90
8.42% $58.44
3.57%
EBAY
-29.93%
-591,651
-1.35%
$36.11
38.44% $49.99
3.16%
PM
-29.93%
-315,705
-1.69%
$85.09
15.81% $98.54
3.97%
NWSA
-30.36%
-1,714,783
-1.53%
$14.14
69.66% $23.99
3.51%
AAPL
-31.56%
-692,680
-3.21%
$73.41
150.22% $183.69
6.96%
EFX
-31.78%
-237,074
-2.10%
$140.12
67.17% $234.24
4.50%
SPGI
-31.85%
-149,176
-2.57%
$273.05
57.33% $429.58
5.50%
ACN
-32.42%
-171,658
-2.28%
$210.57
45.06% $305.45
4.75%
NVSEF
-39.28%
-383,403
-2.30%
$94.96
4.83% $99.54
3.55%
MSFT
-40.65%
-443,581
-4.41%
$157.70
160.25% $410.42
6.44%
JNJ
-41.13%
-412,050
-3.79%
$145.87
2.67% $149.76
5.43%
IMBBF
-45.97%
-974,383
-1.52%
$24.76
8.55% $22.64
1.79%
TIF
-64.94%
-325,249
-2.74%
$133.65
-
0.00%
CMG
-100.00%
-97,676
-5.18%
$840.47
277.97% $3,176.75
0.00%
27 of 444

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.