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CIK 1418814

13F portfolio (2026-Q1)
$5.7B
Positions
18
Implied 1Y CAGR
−4.3%
modeled · as filed

Reported long US book (13F) · Δ vs 2025-Q4 · methodology

Implied return what this book implies methodology →

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As filed = each book applied at quarter-end (what it did) · As copyable = applied at the 45-day filing deadline (what a follower could have earned).

Computing…

Exposures · what it owns, by sector & size (2026-Q1)

Holdings
18
Top 5
50.9%
Top 10
80.9%
Effective N
13.0
HHI
0.077

By sector

Financials: 33.8%Information Technology: 26.0%Communication Services: 23.3%Consumer Discretionary: 10.5%Industrials: 4.2%Unclassified: 1.6%Real Estate: 0.6%Sector
Financials33.8%
Information Technology26.0%
Communication Services23.3%
Consumer Discretionary10.5%
Industrials4.2%
Unclassified1.6%
Real Estate0.6%

By market cap

Large ($10–200B): 50.4%Mega (>$200B): 31.9%Mid ($2–10B): 12.9%Unknown: 4.7%Size
Large ($10–200B)50.4%
Mega (>$200B)31.9%
Mid ($2–10B)12.9%
Unknown4.7%

By region

North America: 98.4%Other: 1.6%Region
North America98.4%
Other1.6%

By industry group GICS — finer than sector

Industry groupWeightNames
Software20.02%3
Software & IT Services15.16%2
Capital Markets14.50%2
Commercial Services & Supplies12.26%1
Entertainment11.06%4
Specialty Retail10.52%1
Banks7.04%1
Machinery4.20%1
Media & Entertainment3.04%1
Unclassified1.65%1
Real Estate Management & Development0.56%1

Top holdings

#TickerNameSectorWeight
1VVISA INC.Financials12.26%
2AMZNAMAZON COM INCConsumer Discretionary10.52%
3CRMSalesforce, Inc.Information Technology9.79%
4BLKBlackRock, Inc.Financials9.19%
5METAMeta Platforms, Inc.Communication Services9.17%
6RKTRocket Companies, Inc.Financials7.04%
7TOSTToast, Inc.Information Technology5.98%
8LLYVKLiberty Live Holdings, Inc.Communication Services5.87%
9RBLXRoblox CorpInformation Technology5.79%
10KKRKKR & Co. Inc.Financials5.31%

17/18 classified; unclassified names are still shown.

Sector allocation over time · how the sector mix & top names shifted each quarter

top 5 per sector, the rest → “Other” · 52 quarters
0%25%50%75%100%20132014201520162017201820192020202120222023202420252026KKRCFISVMSBFHOther FinancialsMSFTCRMSTXMSIADBEOther Information TechnologyNSITLKQEXPEAMZNALSNOther Consumer DiscretionaryCBREOUTDISMETANYTSPOTLLYVKOther Communication ServicesBKRHALBPVLOTRNSSDBLDACAAOSOther IndustrialsBHCILMNDHRXRAYAWICFMOSHEAESEIXPCGDARSEAGATE TECHNOLOGY PLCVALEANT PHARMACEUTICALS INTLFOX CORP CLASS BKKR & CO LPNKLAOther Unclassified

Sector allocation over 52 reported quarters, 2013-Q2 to 2026-Q1, 54 bands (top holdings within each sector). Latest quarter 2026-Q1: Other Financials 28.5%, Other Information Technology 16.2%, AMZN 10.5%, CRM 9.8%, META 9.2%. Use the arrow keys to read a quarter.

FinancialsKKR, C, FISV, MS, BFH · other
Information TechnologyMSFT, CRM, STX, MSI, ADBE · other
Consumer DiscretionaryNSIT, LKQ, EXPE, AMZN, ALSN · other
Real EstateCBRE, OUT
Communication ServicesDIS, META, NYT, SPOT, LLYVK · other
EnergyBKR, HAL, BP, VLO
IndustrialsTRN, SSD, BLD, ACA, AOS · other
Health CareBHC, ILMN, DHR, XRAY
MaterialsAWI, CF, MOS
UtilitiesHE, AES, EIX, PCG
Consumer Staples
UnclassifiedSEAGATE TECHNOLOGY PLC, VALEANT PHARMACEUTICALS INTL, FOX CORP CLASS B, KKR & CO LP, NKLA · other

Sector is classified on each name's CURRENT fundamentals, not point-in-time — apparent sector drift can reflect the market re-rating a holding, not a manager trade. 13F is a lagged quarterly snapshot of long positions in US-listed securities only — foreign companies held via a US listing or ADR ARE included, but shares listed only on non-US exchanges (plus shorts, options and cash) are not. Latest quarter: 98.4% of the book is classified (unclassified names are still shown).

Style box · size × value-growth placement (2026-Q1), classified on today's fundamentals (not point-in-time) — load into PORT to overlay your own book

ValueCore (blend)GrowthSmallMidLarge4%7%1%51%
holdings, colored by sector (9 classified)ValueAct Holdings, L.P. centroid (Large Growth)
FinancialsInformation TechnologyConsumer DiscretionaryCommunication ServicesIndustrialsReal Estate

Style box summary for ValueAct Holdings, L.P.: centroid Large Growth. Heaviest cells: Large Growth 50.9%, Mid Growth 6.5%, Small Core 4.2%.

Classified: 62.3% of book weight (9/18 names) · unclassified 37.7%.

Contribution holdings-based, any period

Attribution lands once this book has priced history across the window. Try a longer period.

Holdings· 18 positions (2026-Q1) · largest first · Δ vs 2025-Q4

#SecuritySharesValueWeightΔ QoQ
1VVISA INC2,316,250$700M12.3%ADD 35%
2AMZNAMAZON COM INC2,884,600$601M10.5%TRIM −15%
3CRMSALESFORCE INC2,994,509$559M9.8%HOLD
4BLKBLACKROCK INC546,100$525M9.2%TRIM −21%
5METAMETA PLATFORMS INC915,674$524M9.2%TRIM −13%
6RKTROCKET COS INC28,214,724$402M7.0%TRIM −28%
7TOSTTOAST INC12,895,438$342M6.0%ADD 61%
8LLYVKLIBERTY LIVE HOLDINGS INC3,561,208$335M5.9%HOLD
9RBLXROBLOX CORP5,848,621$331M5.8%TRIM −2%
10KKRKKR & CO INC3,279,700$303M5.3%NEW
11MDBMONGODB INC1,037,800$254M4.4%TRIM −26%
12SSDSIMPSON MFG INC1,398,042$240M4.2%TRIM −5%
13SPOTSPOTIFY TECHNOLOGY S A358,500$174M3.0%NEW
14LLYVALIBERTY LIVE HOLDINGS INC1,777,075$163M2.9%HOLD
15LYVLIVE NATION ENTERTAINMENT IN624,666$95M1.7%TRIM −24%
16WIXWIX COM LTD1,099,370$94M1.6%NEW
17DISDISNEY WALT CO400,231$39M0.7%TRIM −87%
18CBRECBRE GROUP INC234,591$32M0.6%HOLD

Position trends· top 15 holdings · shares held over 6 quarters

green added · red trimmed
Security2024-Q42025-Q12025-Q22025-Q32025-Q42026-Q1Latest value
VVISA INC374K1.3M1.2M1.6M1.7M2.3M$700M
AMZNAMAZON COM INC537K563K3.9M3.5M3.4M2.9M$601M
CRMSALESFORCE INC2.9M2.9M2.9M2.9M3.0M3.0M$559M
BLKBLACKROCK INC695K546K$525M
METAMETA PLATFORMS INC212K1.0M623K769K1.0M916K$524M
RKTROCKET COS INC6.7M15.1M25.4M39.4M28.2M$402M
TOSTTOAST INC8.5M2.6M3.4M8.0M12.9M$342M
LLYVKLIBERTY LIVE HOLDINGS INC3.6M3.6M$335M
RBLXROBLOX CORP10.1M8.8M4.7M4.3M6.0M5.8M$331M
KKRKKR & CO INC3.3M$303M
MDBMONGODB INC691K2.1M1.4M1.0M$254M
SSDSIMPSON MFG INC1.4M1.2M1.5M1.4M$240M
SPOTSPOTIFY TECHNOLOGY S A359K$174M
LLYVALIBERTY LIVE HOLDINGS INC1.8M1.8M$163M
LYVLIVE NATION ENTERTAINMENT IN1.1M885K885K641K823K625K$95M

Green = added, red = trimmed, grey = held; a dash is a quarter with no 13F on file — a gap, not an exit.

Related· where to look next

Similar managersFinancials 34%
🔒 CRAWFORD INVESTMENT COUNSEL INC
🔒 DEPRINCE RACE & ZOLLO INC
🔒 DONALD SMITH & CO., INC.
🔒 Douglass Winthrop Advisors, LLC
🔒 Japan Post Holdings Co., Ltd.
Firm lineageForm ADV + cited

Where this firm's principals came from, and what its alumni went on to found.

joins filed 13F data only — no style, strategy or performance similarity is claimed · 13F 2026-Q1
Similar managers — “Similar” = same top sector (Financials) + closest 13F size, self excluded; NOT a style or performance match, and a filer whose real business is elsewhere (shorts, private, non-13F) can still surface.
Also hold V — other Section 13(f) filers reporting a long position in this book's largest tickered holding for 2026-Q1. Lagged quarterly filings (up to 45 days after quarter-end); “% of shares out” is omitted where the reported share count can't carry it.
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