|
Size ($ in 1000's)
At 12/31/2023: $3,396,894 At 09/30/2023: $3,139,158
Chilton Investment Co. Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Chilton Investment Co. Inc. 13F filings.
Link to 13F filings: SEC filings
|
|
|
As of 12/31/2023, below is a summary of the Chilton Investment Co. Inc. top holdings by largest position size, as per the latest 13f filing made by Chilton Investment Co. Inc..
In the Chilton Investment Co. Inc.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Chilton Investment Co. Inc. in that top holding, then the share count change between reporting periods, and finally the Chilton Investment Co. Inc. top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
MICROSOFT CORP |
879,366 |
-35,057 |
$330,677 | MSFT | 879,366 | -35,057 | $330,677 | SHERWIN WILLIAMS CO |
920,048 |
-18,486 |
$286,963 | SHW | 920,048 | -18,486 | $286,963 | COSTCO WHSL CORP NEW |
389,068 |
-6,688 |
$256,816 | COST | 389,068 | -6,688 | $256,816 | REPUBLIC SVCS INC |
1,345,419 |
-14,480 |
$221,873 | RSG | 1,345,419 | -14,480 | $221,873 | HOME DEPOT INC |
601,846 |
-71,272 |
$208,570 | HD | 601,846 | -71,272 | $208,570 | CANADIAN PACIFIC KANSAS CITY |
1,914,467 |
-207,656 |
$151,358 | CP | 1,914,467 | -207,656 | $151,358 | MASTERCARD INCORPORATED |
319,131 |
-5,888 |
$136,113 | MA | 319,131 | -5,888 | $136,113 | METTLER TOLEDO INTERNATIONAL |
108,785 |
-4,014 |
$131,952 | MTD | 108,785 | -4,014 | $131,952 | CSX CORP |
3,655,887 |
-584,884 |
$126,750 | CSX | 3,655,887 | -584,884 | $126,750 | CINTAS CORP |
209,441 |
-20,521 |
$126,222 | CTAS | 209,441 | -20,521 | $126,222 | GALLAGHER ARTHUR J & CO |
484,548 |
+400,453 |
$108,965 | AJG | 484,548 | +400,453 | $108,965 | PEPSICO INC |
512,139 |
+68,103 |
$86,982 | PEP | 512,139 | +68,103 | $86,982 | MOODYS CORP |
192,803 |
-14,269 |
$75,301 | MCO | 192,803 | -14,269 | $75,301 | INTERNATIONAL BUSINESS MACHS |
449,594 |
+92,610 |
$73,531 | IBM | 449,594 | +92,610 | $73,531 | BERKSHIRE HATHAWAY INC DEL |
|
|
$64,297 | BRK.B | 180,275 | +126,023 | $64,297 | BERKLEY W R CORP |
790,698 |
-25,821 |
$55,918 | WRB | 790,698 | -25,821 | $55,918 | MONSTER BEVERAGE CORP NEW |
892,059 |
-36,257 |
$51,392 | MNST | 892,059 | -36,257 | $51,392 | ALPHABET INC |
361,108 |
-12,872 |
$50,443 | GOOGL | 361,108 | -12,872 | $50,443 | AUTOZONE INC |
18,906 |
-254 |
$48,884 | AZO | 18,906 | -254 | $48,884 | THERMO FISHER SCIENTIFIC INC |
87,744 |
-50,329 |
$46,574 | TMO | 87,744 | -50,329 | $46,574 | UNION PAC CORP |
181,599 |
-3,135 |
$44,604 | UNP | 181,599 | -3,135 | $44,604 | MURPHY USA INC |
115,518 |
-3,013 |
$41,189 | MUSA | 115,518 | -3,013 | $41,189 | DEERE & CO |
99,553 |
+2,738 |
$39,808 | DE | 99,553 | +2,738 | $39,808 | MORGAN STANLEY |
412,455 |
+400,423 |
$38,461 | MS | 412,455 | +400,423 | $38,461 | PROGRESSIVE CORP |
222,230 |
+12,081 |
$35,397 | PGR | 222,230 | +12,081 | $35,397 | EATON CORP PLC |
144,759 |
+29,537 |
$34,861 | ETN | 144,759 | +29,537 | $34,861 | UNITEDHEALTH GROUP INC |
59,322 |
-972 |
$31,231 | UNH | 59,322 | -972 | $31,231 | AON PLC |
95,695 |
-183,265 |
$27,849 | AON | 95,695 | -183,265 | $27,849 | BOOZ ALLEN HAMILTON HLDG COR |
180,206 |
-3,255 |
$23,050 | BAH | 180,206 | -3,255 | $23,050 | OREILLY AUTOMOTIVE INC |
24,171 |
+206 |
$22,964 | ORLY | 24,171 | +206 | $22,964 | BLACKSTONE INC |
154,856 |
+6,592 |
$20,274 | BX | 154,856 | +6,592 | $20,274 | VISA INC |
67,883 |
-3,712 |
$17,673 | V | 67,883 | -3,712 | $17,673 | BALL CORP |
304,723 |
-255,577 |
$17,528 | BALL | 304,723 | -255,577 | $17,528 | APPLE INC |
86,616 |
-266,204 |
$16,676 | AAPL | 86,616 | -266,204 | $16,676 | KROGER CO |
356,117 |
+5,369 |
$16,278 | KR | 356,117 | +5,369 | $16,278 | HERSHEY CO |
83,686 |
-252,493 |
$15,602 | HSY | 83,686 | -252,493 | $15,602 | MEDTRONIC PLC |
175,764 |
-125,454 |
$14,479 | MDT | 175,764 | -125,454 | $14,479 | SKYLINE CHAMPION CORPORATION |
189,697 |
+12,491 |
$14,087 | SKY | 189,697 | +12,491 | $14,087 | ZOETIS INC |
70,061 |
+465 |
$13,828 | ZTS | 70,061 | +465 | $13,828 | IDEXX LABORATORIES INC |
24,253 |
-38 |
$13,462 | IDXX | 24,253 | -38 | $13,462 | MERCK & CO INC |
107,114 |
-17,121 |
$11,678 | MRK | 107,114 | -17,121 | $11,678 | VANGUARD INDEX FUNDS TOTAL STOCK MKT (VTI) |
45,910 |
UNCH |
$10,891 | VTI | 45,910 | UNCH | $10,891 | MCDONALDS CORP |
35,891 |
-4,615 |
$10,642 | MCD | 35,891 | -4,615 | $10,642 | TRACTOR SUPPLY CO |
45,278 |
-14,742 |
$9,736 | TSCO | 45,278 | -14,742 | $9,736 | ASML HOLDING NV NY REGISTRY |
10,602 |
-12,955 |
$8,025 | ASML | 10,602 | -12,955 | $8,025 | OLD DOMINION FREIGHT LINE IN |
19,572 |
-7 |
$7,933 | ODFL | 19,572 | -7 | $7,933 | ALPHABET INC |
55,453 |
+594 |
$7,815 | GOOG | 55,453 | +594 | $7,815 | ISHARES TR S&P MC 400VL ETF (IJJ) |
63,073 |
UNCH |
$7,193 | IJJ | 63,073 | UNCH | $7,193 | DOMINOS PIZZA INC |
17,422 |
+5,528 |
$7,182 | DPZ | 17,422 | +5,528 | $7,182 | TORO CO |
71,143 |
+24,599 |
$6,829 | TTC | 71,143 | +24,599 | $6,829 |
See Full List: All Stocks Held By Chilton Investment Co. Inc.
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By Chilton Investment Co. Inc.
|
|