William Von Mueffling Holdings Activity

Cantillon Capital Management Portfolio 13F

Cantillon Capital Management has disclosed a total of 39 changes to the portfolio in the latest (2024 Q1) SEC report(s): increased the number of shares of 4, bought 2 totally new, decreased the number of shares of 31 and completely sold out 2 position(s).

What stocks is William Von Mueffling buying now?

In the recent quarter William Von Mueffling has bought 6 securities out of which top 5 purchases (by % change to portfolio) are (YUM) YUM! BRANDS INC (new buy), (ORCL) ORACLE CORP (new buy), (CP) CANADIAN PACIFIC KANSAS CITY (added shares +49.06%), (GOOGL) ALPHABET INC-CL A (added shares +13.25%) and (LYV) LIVE NATION ENTERTAINMENT IN (added shares +16.71%).

What does William Von Mueffling invest in?

William Von Mueffling's top 5 holdings (by % of portfolio) are (AVGO) BROADCOM INC (6.77%), (SPGI) S&P GLOBAL INC (5.54%), (GOOGL) ALPHABET INC-CL A (4.59%), (AMAT) APPLIED MATERIALS INC (4.42%) and (V) VISA INC-CLASS A SHARES (3.92%).

In the latest report(s) the following changes have been made to the top investments: (AVGO) BROADCOM INC (reduced shares -12.37%), (SPGI) S&P GLOBAL INC (reduced shares -1.97%), (GOOGL) ALPHABET INC-CL A (added shares +13.25%), (AMAT) APPLIED MATERIALS INC (reduced shares -1.98%) and (V) VISA INC-CLASS A SHARES (reduced shares -1.96%).

2014 Q1 (20 results)
ABEV
+32.80%
+4,301,199
+1.25%
$7.41
68.56% $2.33
5.06%
HOG
-0.76%
-41,942
-0.06%
$66.61
47.19% $35.18
8.41%
BIDU
-0.88%
-20,616
-0.07%
$152.38
26.64% $111.79
8.16%
MSM
+84.09%
+441,641
+0.88%
$86.52
6.98% $92.56
1.94%
FIS
+44.37%
+2,380,245
+2.94%
$53.45
41.72% $75.75
9.58%
CL
-0.70%
-12,649
-0.02%
$64.87
45.62% $94.46
2.70%
KO
-52.62%
-3,759,056
-3.36%
$38.66
64.46% $63.58
3.03%
LKQ
-22.15%
-649,562
-0.75%
$26.35
69.07% $44.55
0.00%
ECL
-0.60%
-15,296
-0.04%
$107.99
114.60% $231.75
6.35%
WAT
-86.74%
-921,960
-2.31%
$108.41
222.18% $349.28
0.00%
BCO
-0.32%
-5,797
-0.01%
$28.55
240.63% $97.25
2.06%
CACC
-1.02%
-2,644
-0.02%
$142.15
264.55% $518.20
1.50%
GWW
+50.81%
+342,582
+2.00%
$252.66
275.71% $949.26
5.94%
ADI
-0.48%
-31,726
-0.04%
$53.14
292.13% $208.38
8.12%
SLH
-0.06%
-1,026
-0.00%
$63.34
-
2.53%
PCLN
-0.86%
-2,589
-0.07%
$1,191.89
-
8.26%
WSH
+32.47%
+1,226,700
+1.25%
$44.13
-
5.11%
1541931D
-0.59%
-33,082
-0.03%
$36.24
-
4.71%
SIRO
buy
+922,399
+3.09%
$74.67
-
3.09%
8888000D
-0.49%
-1,097
-0.05%
$1,114.51
-
10.47%
2013 Q4 (23 results)
ABEV
buy
+22,224,010
+3.87%
$7.35
68.30% $2.33
3.87%
BBD
-100.00%
-10,511,504
-1.64%
$6.58
60.36% $2.61
0.00%
HOG
-0.10%
-5,674
-0.01%
$69.24
49.19% $35.18
9.03%
BIDU
-0.12%
-2,858
-0.01%
$177.88
37.15% $111.79
9.84%
MSM
buy
+325,638
+1.01%
$80.87
14.45% $92.56
1.01%
PM
-100.00%
-1,162,101
-2.39%
$86.59
14.67% $99.29
0.00%
LKQ
-0.06%
-3,140
-0.00%
$32.90
35.41% $44.55
4.32%
FIS
-0.16%
-8,376
-0.01%
$53.68
41.11% $75.75
6.83%
CL
-0.16%
-2,962
-0.00%
$65.21
44.86% $94.46
2.80%
KO
-0.14%
-6,509
-0.01%
$41.31
53.91% $63.58
7.00%
ECL
-0.15%
-2,520
-0.01%
$104.27
122.26% $231.75
6.31%
BCO
-0.15%
-4,759
-0.00%
$34.14
184.85% $97.25
2.53%
WAT
-0.18%
-1,188
-0.00%
$100.00
249.28% $349.28
2.52%
GWW
+95.81%
+209,486
+2.00%
$255.42
271.65% $949.26
4.08%
CACC
+0.10%
+450
+0.00%
$129.99
298.65% $518.20
1.42%
ADI
-0.09%
-3,991
-0.01%
$50.93
309.15% $208.38
8.01%
8888000D
-0.15%
-599
-0.02%
$1,120.71
-
10.84%
BBS
-100.00%
-4,447,660
-4.04%
$38.35
-
0.00%
WSH
+77.71%
+1,652,100
+1.76%
$44.81
-
4.01%
PCLN
-0.17%
-501
-0.01%
$1,162.40
-
8.33%
1853195D
-100.00%
-7,800
-0.01%
$70.00
-
0.00%
1541931D
-0.09%
-5,070
-0.00%
$32.53
-
4.35%
SLH
-0.15%
-2,610
-0.00%
$70.76
-
2.89%
43 of 1,386

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.