William Von Mueffling Holdings Activity

Cantillon Capital Management Portfolio 13F

Cantillon Capital Management has disclosed a total of 38 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 4, bought 1 totally new and decreased the number of shares of 33 position(s).

What stocks is William Von Mueffling buying now?

In the recent quarter William Von Mueffling has purchased 5 securities: (SPOT) SPOTIFY TECHNOLOGY SA (new buy), (ORCL) ORACLE CORP (added shares +49.09%), (EFX) EQUIFAX INC (added shares +3.91%), (CP) CANADIAN PACIFIC KANSAS CITY (added shares +3.25%) and (UBER) UBER TECHNOLOGIES INC (added shares +1.03%).

What does William Von Mueffling invest in?

William Von Mueffling's top 5 holdings (by % of portfolio) are (AVGO) BROADCOM INC (8.34%), (GOOGL) ALPHABET INC-CL A (7.1%), (TSM) TAIWAN SEMICONDUCTOR-SP ADR (5.6%), (IBKR) INTERACTIVE BROKERS GRO-CL A (5.01%) and (SPGI) S&P GLOBAL INC (4.37%).

In the latest report(s) the following changes have been made to the top investments: (AVGO) BROADCOM INC (reduced shares -11.91%), (GOOGL) ALPHABET INC-CL A (reduced shares -11.87%), (TSM) TAIWAN SEMICONDUCTOR-SP ADR (reduced shares -11.87%), (IBKR) INTERACTIVE BROKERS GRO-CL A (reduced shares -11.87%) and (SPGI) S&P GLOBAL INC (reduced shares -11.87%).

2016 Q4 (32 results)
EFX
buy
+504,990
+0.84%
$118.23
44.63% $170.99
0.84%
9991734D
buy
+516,406
+0.81%
$111.53
-
0.81%
BDX
buy
+1,031,501
+2.39%
$165.55
9.66% $149.56
2.39%
AMT
+148.45%
+1,683,925
+2.49%
$105.68
83.49% $193.91
4.17%
TNET
+67.06%
+1,826,671
+0.66%
$25.62
80.29% $46.19
1.63%
SSNC
+43.48%
+573,320
+0.23%
$28.60
142.66% $69.40
0.76%
BITA
+25.08%
+698,967
+0.19%
$18.94
-
0.92%
A
+17.40%
+780,567
+0.50%
$45.56
203.71% $138.37
3.36%
ICE
+16.79%
+869,175
+0.69%
$56.42
-
4.78%
SVW
+8.99%
+589,367
+0.31%
$37.67
-
3.77%
9876599D
+8.79%
+473,251
+0.26%
$38.95
-
3.19%
NXPI
+8.01%
+217,852
+0.30%
$98.01
228.76% $322.22
4.03%
ZTS
-3.00%
-179,300
-0.13%
$53.53
48.55% $79.52
4.35%
GOOGL
-3.08%
-289,800
-0.16%
$39.62
839.34% $372.19
5.07%
V
-3.12%
-97,700
-0.11%
$78.02
310.38% $320.18
3.31%
9912349D
-3.17%
-50,592
-0.06%
$91.61
-
1.98%
ECL
-3.20%
-99,400
-0.16%
$117.22
116.97% $254.33
4.93%
SPGI
-3.20%
-123,776
-0.19%
$107.54
290.66% $420.12
5.64%
CME
-3.23%
-82,900
-0.13%
$115.35
121.99% $256.06
4.02%
WLTW
-3.23%
-106,469
-0.18%
$122.28
-
5.45%
AGN
-3.29%
-32,430
-0.10%
$210.01
-
2.81%
BIDU
-3.31%
-68,500
-0.16%
$164.41
-
4.61%
CBRE
-3.35%
-284,021
-0.13%
$31.49
315.85% $130.95
3.62%
PRI
-3.35%
-37,060
-0.04%
$69.15
272.91% $257.87
1.03%
HOG
-3.41%
-192,598
-0.16%
$58.34
58.26% $24.35
0.00%
ADI
-3.45%
-241,090
-0.25%
$72.62
490.42% $428.76
6.87%
CACC
-4.12%
-17,003
-0.05%
$217.51
152.13% $548.40
1.21%
FIS
-15.83%
-1,189,268
-1.26%
$75.64
45.16% $41.48
6.70%
GOOG
-17.22%
-1,277,500
-0.69%
$38.59
856.88% $369.27
3.32%
MSM
-100.00%
-1,526,323
-1.57%
$73.41
59.35% $116.98
0.00%
ABEV
-100.00%
-11,503,973
-0.98%
$6.09
-
0.00%
ACWI
-100.00%
-1,821,500
-1.51%
$59.10
169.25% $159.13
0.00%
32 of 1,697

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.