Nelson Peltz Holdings Activity

Trian Fund Management Portfolio 13F

Trian Fund Management has disclosed a total of 5 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 2 and decreased the number of shares of 3 position(s).

What stocks is Nelson Peltz buying now?

In the recent quarter Nelson Peltz has purchased 2 securities: (GE) GENERAL ELECTRIC CO (added shares +0.01%) and (GEHCV) GE HEALTHCARE INC-W/I (reduced shares 0%).

What does Nelson Peltz invest in?

Nelson Peltz's top 5 holdings (by % of portfolio) are (DIS) WALT DISNEY CO/THE (44.13%), (JHG) JANUS HENDERSON GROUP PLC (14.52%), (FERG) FERGUSON PLC (12.23%), (WEN) WENDY'S CO/THE (9.27%) and (IVZ) INVESCO LTD (9.15%).

In the latest report(s) the following changes have been made to the top investments: (DIS) WALT DISNEY CO/THE (reduced shares -1.61%), (FERG) FERGUSON PLC (reduced shares -22.62%) and (WEN) WENDY'S CO/THE (reduced shares -5.65%).

2021 Q3 (9 results)
FERG
-2.96%
-388,442
-0.67%
$139.35
53.06% $213.29
22.05%
CMCSA
-3.88%
-806,050
-0.56%
$55.93
31.41% $38.36
13.90%
SYY
-25.14%
-4,493,098
-4.38%
$78.50
5.41% $74.25
13.06%
JHG
+11.68%
+2,479,228
+1.27%
$41.33
22.67% $31.96
12.18%
PG
-9.02%
-522,262
-0.91%
$139.80
17.20% $163.84
9.16%
WEN
-4.87%
-927,562
-0.35%
$21.68
8.12% $19.92
6.83%
MDLZ
-7.41%
-467,373
-0.46%
$58.18
21.18% $70.50
5.78%
GE
buy
+2,999,092
+5.16%
$103.03
57.86% $162.64
5.16%
GE
-100.00%
-3,179,895
-5.39%
$107.68
51.04% $162.64
0.00%
2021 Q2 (8 results)
FERG
-0.72%
-94,866
-0.15%
$138.84
53.62% $213.29
21.29%
SYY
-13.24%
-2,727,884
-2.48%
$77.75
4.50% $74.25
16.25%
CMCSA
+4.73%
+939,574
+0.63%
$57.02
32.73% $38.36
13.86%
IVZ
+0.04%
+14,236
+0.00%
$26.00
44.12% $14.53
11.17%
JHG
+29.67%
+4,856,472
+2.20%
$38.81
17.65% $31.96
9.63%
PG
-34.81%
-3,093,092
-4.88%
$134.93
21.43% $163.84
9.14%
MDLZ
-7.95%
-577,850
-0.54%
$62.44
12.91% $70.50
6.31%
GE
+0.02%
+673
+0.00%
$107.68
51.04% $162.64
0.00%
2021 Q1 (5 results)
FERG
buy
+13,212,239
+18.68%
$119.59
78.35% $213.29
18.68%
PG
-9.56%
-938,847
-1.50%
$135.43
20.98% $163.84
14.23%
IVZ
+0.01%
+2,196
+0.00%
$26.00
44.12% $14.53
11.30%
MDLZ
-23.35%
-2,343,446
-1.98%
$58.53
20.45% $70.50
6.49%
GE
+0.00%
+5
+0.00%
$105.04
54.84% $162.64
5.00%
2020 Q4 (6 results)
SYY
-15.49%
-3,776,235
-4.15%
$74.26
0.01% $74.25
22.64%
PG
-3.01%
-305,151
-0.63%
$139.14
17.75% $163.84
20.23%
CMCSA
+27.06%
+3,722,176
+3.28%
$52.40
26.79% $38.36
15.40%
JHG
-7.36%
-1,300,000
-0.63%
$32.51
1.69% $31.96
7.87%
GE
+0.04%
+1,421
+0.00%
$86.40
88.24% $162.64
5.15%
NVT
-100.00%
-5,827,483
-1.53%
$17.69
306.44% $71.90
0.00%
2020 Q3 (8 results)
PG
-6.44%
-696,977
-1.60%
$138.99
17.88% $163.84
23.26%
CMCSA
+118.30%
+7,833,960
+6.47%
$46.26
17.08% $38.36
11.95%
MDLZ
-22.76%
-3,282,699
-3.42%
$57.45
22.72% $70.50
11.62%
IVZ
+66.79%
+14,712,352
+2.77%
$11.41
27.34% $14.53
6.93%
JHG
+97.78%
+8,734,262
+3.13%
$21.72
47.15% $31.96
6.34%
GE
-45.76%
-3,393,636
-2.80%
$49.84
226.32% $162.64
3.31%
NVT
-52.97%
-6,563,959
-1.92%
$17.69
306.44% $71.90
0.00%
BK
-100.00%
-4,383,286
-2.80%
$38.65
46.44% $56.60
0.00%
2020 Q2 (10 results)
SYY
+2.97%
+672,033
+0.70%
$54.66
35.84% $74.25
24.10%
PG
-65.12%
-20,208,933
-43.70%
$119.57
37.02% $163.84
23.41%
MDLZ
+0.02%
+3,473
+0.00%
$51.13
37.88% $70.50
14.66%
GE
-7.63%
-613,058
-0.61%
$54.64
197.66% $162.64
7.33%
CMCSA
buy
+7,159,000
+5.05%
$38.98
1.59% $38.36
5.05%
IVZ
buy
+20,705,371
+4.29%
$10.76
35.04% $14.53
4.29%
NVT
-8.59%
-1,164,379
-0.39%
$18.73
283.88% $71.90
4.20%
JHG
buy
+8,932,350
+3.42%
$21.16
51.04% $31.96
3.42%
BK
-54.82%
-5,317,802
-3.72%
$38.65
46.44% $56.60
0.00%
LM
-100.00%
-3,881,704
-3.43%
$48.85
-
0.00%
46 of 273

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.