Vulcan Value Partners Holdings Activity

Vulcan Value Partners Portfolio 13F

Vulcan Value Partners has disclosed a total of 46 changes to the portfolio in the latest (2024 Q3) SEC report(s): increased the number of shares of 4, bought 1 totally new, decreased the number of shares of 38 and completely sold out 3 position(s).

What stocks is Vulcan Value Partners buying now?

In the recent quarter Vulcan Value Partners has purchased 5 securities: (RE) EVEREST RE GROUP LTD (new buy), (CSGP) COSTAR GROUP INC (added shares +7.03%), (PK) PARK HOTELS & RESORTS INC (added shares +42.39%), (AYI) ACUITY BRANDS INC (added shares +65.83%) and (MEDP) MEDPACE HOLDINGS INC (added shares +19.43%).

What does Vulcan Value Partners invest in?

Vulcan Value Partners's top 5 holdings (by % of portfolio) are (AMZN) AMAZONCOM INC (7.12%), (SWKS) SKYWORKS SOLUTIONS INC (6.77%), (CRM) SALESFORCECOM INC (6.37%), (MSFT) MICROSOFT CORP (5.92%) and (CSGP) COSTAR GROUP INC (5.59%).

In the latest report(s) the following changes have been made to the top investments: (AMZN) AMAZONCOM INC (reduced shares -8.37%), (SWKS) SKYWORKS SOLUTIONS INC (reduced shares -9.35%), (CRM) SALESFORCECOM INC (reduced shares -5.95%), (MSFT) MICROSOFT CORP (reduced shares -0.55%) and (CSGP) COSTAR GROUP INC (added shares +7.03%).

2020 Q2 (43 results)
CSL
buy
+168,052
+0.16%
$119.67
275.74% $449.65
0.16%
GE
buy
+1,098,738
+0.63%
$54.64
231.53% $181.15
0.63%
TDG
buy
+1,036,705
+3.61%
$442.05
185.11% $1,260.32
3.61%
CRM
buy
+1,906,655
+2.81%
$187.33
82.58% $342.02
2.81%
CRNC
buy
+749,635
+0.24%
$40.84
82.37% $7.20
0.24%
TKR
buy
+354,687
+0.19%
$45.49
66.98% $75.96
0.19%
LFUS
+119.24%
+174,954
+0.23%
$170.63
42.89% $243.82
0.43%
KNL
+76.90%
+848,229
+0.11%
$12.19
-
0.26%
MA
+55.61%
+744,638
+2.46%
$295.70
76.14% $520.86
6.88%
ORCL
+41.19%
+1,509,151
+0.66%
$55.27
247.91% $192.29
2.25%
ACIW
+37.69%
+320,324
+0.07%
$26.99
117.27% $58.64
0.25%
AYI
+25.04%
+55,758
+0.04%
$95.74
240.75% $326.24
0.21%
PK
+24.52%
+1,097,747
+0.09%
$9.89
52.17% $15.05
0.43%
CWK
+23.44%
+1,725,024
+0.17%
$12.46
15.89% $14.44
0.89%
V
+17.19%
+300,929
+0.71%
$193.17
60.44% $309.92
4.83%
ITRN
+16.82%
+266,038
+0.05%
$16.02
80.90% $28.98
0.32%
AMZN
+13.63%
+785,020
+0.85%
$137.94
42.90% $197.12
7.10%
JLL
+13.33%
+569,212
+0.46%
$103.46
154.47% $263.27
3.94%
VRTS
+10.52%
+40,371
+0.04%
$116.29
108.18% $242.09
0.39%
MLHR
+8.98%
+125,776
+0.02%
$23.61
63.74% $38.66
0.28%
ENS
+5.63%
+38,736
+0.02%
$64.38
51.48% $97.52
0.37%
ANTM
+5.59%
+96,663
+0.20%
$262.98
83.50% $482.58
3.78%
GOOG
-0.71%
-77,550
-0.05%
$70.68
135.67% $166.57
7.34%
KKR
-2.15%
-598,857
-0.15%
$30.88
413.70% $158.63
6.61%
CG
-3.10%
-616,861
-0.17%
$27.90
92.29% $53.65
5.33%
MSFT
-3.82%
-123,658
-0.20%
$203.51
104.90% $417.00
4.98%
QRVO
-5.12%
-341,381
-0.44%
$110.53
37.35% $69.25
8.14%
CR
-5.14%
-21,139
-0.01%
$59.46
210.06% $184.36
0.23%
NVDA
-6.33%
-20,640,936
-0.22%
$0.95
14K+% $141.95
0.00%
COHR
-8.97%
-33,781
-0.03%
$130.98
19.58% $105.34
0.35%
META
-9.90%
-226,447
-0.40%
$227.07
146.24% $559.14
3.68%
CACC
-13.38%
-193,235
-0.64%
$419.01
12.91% $473.10
4.13%
MMI
-15.13%
-159,267
-0.04%
$28.86
42.76% $41.20
0.20%
SWKS
-16.03%
-1,389,665
-1.40%
$127.86
33.20% $85.41
7.33%
CVS
-17.42%
-707,399
-0.47%
$64.97
10.71% $58.01
2.24%
NOV
-19.80%
-4,846,884
-0.47%
$12.25
35.59% $16.61
0.00%
HLT
-28.91%
-2,790,441
-1.61%
$73.45
244.45% $253.00
3.96%
WH
-99.96%
-710,045
-0.38%
$42.37
128.19% $96.69
0.00%
BKNG
-99.99%
-206,512
-2.66%
$1,636.36
216.38% $5,177.15
0.00%
MAR
-100.00%
-1,344
-0.00%
$75.15
278.30% $284.29
0.00%
9993344D
-100.00%
-31,320
-0.09%
$380.01
-
0.00%
AXS
-100.00%
-656,625
-0.20%
$38.65
129.62% $88.75
0.00%
RE
-100.00%
-482,980
-0.76%
$192.42
82.56% $351.28
0.00%
43 of 2,577

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.