Triple Frond Partners Holdings Activity

Triple Frond Partners Portfolio 13F

Triple Frond Partners has disclosed a total of 10 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 3, bought 1 totally new, decreased the number of shares of 5 and completely sold out 1 position(s).

What stocks is Triple Frond Partners buying now?

In the recent quarter Triple Frond Partners has purchased 4 securities: (CP) CANADIAN PACIFIC KANSAS CITY (new buy), (MCO) MOODY'S CORP (added shares +41.34%), (VRSN) VERISIGN INC (added shares +50.89%) and (CHTR) CHARTER COMMUNICATIONS INC-A (added shares +4.27%).

What does Triple Frond Partners invest in?

Triple Frond Partners's top 5 holdings (by % of portfolio) are (CHTR) CHARTER COMMUNICATIONS INC-A (18.4%), (TDG) TRANSDIGM GROUP INC (14.44%), (GOOG) ALPHABET INC-CL C (12.02%), (V) VISA INC-CLASS A SHARES (11.35%) and (MSFT) MICROSOFT CORP (10.23%).

In the latest report(s) the following changes have been made to the top investments: (CHTR) CHARTER COMMUNICATIONS INC-A (added shares +4.27%), (TDG) TRANSDIGM GROUP INC (reduced shares -6.99%), (GOOG) ALPHABET INC-CL C (reduced shares -12.91%), (V) VISA INC-CLASS A SHARES (reduced shares -8.22%) and (MSFT) MICROSOFT CORP (reduced shares -9.73%).

2016 Q4 (10 results)
CHTR
-20.24%
-82,336
-3.52%
$287.92
7.64% $265.93
13.86%
TDG
+16.31%
+33,688
+1.70%
$248.96
419.68% $1,293.80
12.15%
SBAC
+37.45%
+224,676
+3.44%
$103.26
86.99% $193.09
0.00%
MA
buy
+186,000
+2.85%
$103.25
329.61% $443.58
2.85%
MCO
+11.31%
+78,280
+1.47%
$94.27
303.69% $380.56
14.46%
V
-27.79%
-192,400
-2.23%
$78.02
244.13% $268.49
5.79%
DVA
-100.00%
-674,300
-6.61%
$66.07
103.50% $134.45
0.00%
SCHW
-29.64%
-950,000
-5.56%
$39.47
92.65% $76.04
13.20%
LBTYK
+21.66%
+621,262
+3.60%
$29.70
41.85% $17.27
20.22%
NORD
+108.50%
+729,813
+2.52%
$23.30
-
4.85%
2016 Q3 (8 results)
TDG
-10.87%
-26,737
-1.42%
$289.12
347.50% $1,293.80
11.66%
MCO
+6.17%
+42,660
+0.83%
$108.28
251.46% $380.56
14.33%
V
-1.09%
-7,600
-0.09%
$82.70
224.66% $268.49
8.16%
DVA
-5.77%
-41,300
-0.39%
$66.07
103.50% $134.45
0.00%
LBTYK
+14.64%
+388,009
+2.27%
$33.04
47.73% $17.27
17.77%
9999826D
-100.00%
-270,436
-1.47%
$32.49
-
0.00%
SCHW
+6.83%
+205,000
+0.92%
$31.57
140.86% $76.04
14.42%
NORD
+39.54%
+190,611
+0.59%
$21.78
-
2.09%
2016 Q2 (7 results)
TDG
-15.33%
-47,150
-2.44%
$263.69
390.65% $1,293.80
13.47%
CHTR
buy
+406,890
+14.97%
$228.64
16.31% $265.93
14.97%
9876540D
-100.00%
-450,000
-14.66%
$202.43
-
0.00%
DVA
-15.81%
-134,400
-1.67%
$77.32
73.89% $134.45
8.90%
9999826D
buy
+270,436
+1.66%
$32.49
-
0.00%
LBTYK
+29.11%
+742,250
+3.42%
$28.65
39.72% $17.27
15.18%
NORD
buy
+482,017
+1.64%
$21.14
-
1.64%
2016 Q1 (6 results)
TDG
+12.19%
+35,254
+1.46%
$220.34
487.18% $1,293.80
13.46%
SBAC
+20.00%
+100,000
+1.63%
$100.17
92.76% $193.09
9.79%
MCO
+20.69%
+132,000
+2.36%
$96.56
294.12% $380.56
13.76%
V
buy
+700,000
+8.72%
$76.48
251.06% $268.49
8.72%
DVA
-15.00%
-150,000
-1.79%
$73.38
83.22% $134.45
10.16%
LBTYK
+24.39%
+447,500
+3.06%
$37.56
54.02% $17.27
15.60%
2015 Q4 (6 results)
TDG
+2.84%
+9,243
+0.39%
$228.45
466.34% $1,293.80
14.24%
SBAC
buy
+455,000
+9.80%
$105.07
83.77% $193.09
9.80%
MCO
+16.00%
+100,000
+1.87%
$100.34
279.27% $380.56
13.57%
DVA
+33.33%
+250,000
+3.25%
$69.71
92.87% $134.45
13.00%
LBTYK
+13.89%
+250,000
+1.90%
$40.77
57.64% $17.27
15.59%
PGR
-100.00%
-1,610,000
-9.20%
$30.64
581.21% $208.72
0.00%
2015 Q3 (6 results)
TDG
+18.18%
+50,000
+2.25%
$212.41
509.11% $1,293.80
14.61%
9876540D
+12.50%
+50,000
+1.86%
$175.85
-
16.74%
MCO
+66.67%
+250,000
+5.19%
$98.20
287.54% $380.56
12.99%
DVA
+36.36%
+191,000
+3.06%
$72.33
85.88% $134.45
11.48%
LBTYK
+80.00%
+800,000
+6.94%
$41.02
57.90% $17.27
15.62%
SCHW
+20.00%
+470,000
+3.02%
$28.56
166.25% $76.04
18.13%
2015 Q2 (1 result)
MCO
buy
+369,375
+10.34%
$107.96
252.50% $380.56
10.34%
2015 Q1 (3 results)
TDG
buy
+275,000
+17.10%
$218.72
491.53% $1,293.80
17.10%
9876540D
+73.91%
+170,000
+9.33%
$193.11
-
21.96%
CCL
-100.00%
-750,000
-9.66%
$45.33
68.15% $14.44
0.00%
47 of 218

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.