|
Entity | Shares/Amount Change | Position Value Change |
WCN |
+19,371 | +$2,892 | FI |
+12,551 | +$1,667 | KVUE |
+69,719 | +$1,501 | NVR |
+208 | +$1,456 | NOW |
+1,619 | +$1,144 | MLM |
+1,970 | +$983 | RJF |
+7,679 | +$856 | HUM |
+1,543 | +$706 | OBDC |
+31,912 | +$471 | INDV |
+17,230 | +$263 |
Entity | Shares/Amount Change | Position Value Change |
CWST |
-42,542 | -$3,246 | CHDN |
-19,434 | -$2,255 | LE |
-258,300 | -$1,930 | FISV |
-12,897 | -$1,457 | CVS |
-20,496 | -$1,431 | CRWD |
-5,192 | -$869 | FSK |
-20,050 | -$395 | DECK |
-650 | -$334 | SRE |
-3,698 | -$252 | UBER |
-5,408 | -$249 |
Entity | Shares/Amount Change | Position Value Change |
AJG |
+400,453 | +$89,797 | MS |
+400,423 | +$37,478 | BRK |
+126,023 | +$45,293 | NAPA |
+106,184 | +$921 | IBM |
+92,610 | +$23,446 | PEP |
+68,103 | +$11,745 | CPRT |
+55,779 | +$2,932 | ETN |
+29,537 | +$10,286 | TTC |
+24,599 | +$2,961 | SKY |
+12,491 | +$2,795 |
Entity | Shares/Amount Change | Position Value Change |
CSX |
-584,884 | -$3,654 | AAPL |
-266,204 | -$43,730 | BALL |
-255,577 | -$10,364 | HSY |
-252,493 | -$51,661 | CP |
-207,656 | -$6,549 | AON |
-183,265 | -$62,595 | MDT |
-125,454 | -$9,124 | HD |
-71,272 | +$5,181 | HAS |
-68,764 | -$5,018 |
Size ($ in 1000's)
At 12/31/2023: $3,396,894 At 09/30/2023: $3,139,158
Chilton Investment Co. Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Chilton Investment Co. Inc. 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, we find all stocks held by Chilton Investment Co. Inc. to be as follows, presented in the
table below with each row detailing each Chilton Investment Co. Inc. position, ordered by largest to smallest position size.
The all-stocks-held-by-Chilton Investment Co. Inc. table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Chilton Investment Co. Inc. as of the latest filing.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ 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 | ISHARES RUSSELL 1000 ETF (IWB) |
24,550 |
+3,300 |
$6,438 | IWB | 24,550 | +3,300 | $6,438 | WASTE MANAGEMENT INC DEL |
28,263 |
-1,655 |
$5,062 | WM | 28,263 | -1,655 | $5,062 | ISHARES CORE S&P SCP ETF (IJR) |
44,518 |
UNCH |
$4,819 | IJR | 44,518 | UNCH | $4,819 | TEXAS INSTRUMENTS INC |
27,813 |
+3,271 |
$4,741 | TXN | 27,813 | +3,271 | $4,741 | INTUIT |
7,476 |
-1,708 |
$4,673 | INTU | 7,476 | -1,708 | $4,673 | COPART INC |
89,422 |
+55,779 |
$4,382 | CPRT | 89,422 | +55,779 | $4,382 | LOCKHEED MARTIN CORP |
9,559 |
-551 |
$4,333 | LMT | 9,559 | -551 | $4,333 | CDW CORP |
17,897 |
+58 |
$4,068 | CDW | 17,897 | +58 | $4,068 | DUCKHORN PORTFOLIO INC |
412,041 |
+106,184 |
$4,059 | NAPA | 412,041 | +106,184 | $4,059 | SPDR S&P MID CAP 400 ETF TR UTSER1 S&PDCRP (MDY) |
7,773 |
UNCH |
$3,944 | MDY | 7,773 | UNCH | $3,944 | TELEDYNE TECHNOLOGIES INC |
8,716 |
+1,956 |
$3,890 | TDY | 8,716 | +1,956 | $3,890 | DARDEN RESTAURANTS INC |
22,371 |
+844 |
$3,676 | DRI | 22,371 | +844 | $3,676 | TJX COS INC |
38,999 |
-68 |
$3,658 | TJX | 38,999 | -68 | $3,658 | ATLANTA BRAVES HLDGS INC |
92,103 |
+5,000 |
$3,645 | BATRK | 92,103 | +5,000 | $3,645 | KINSALE CAP GROUP INC |
10,402 |
+9,402 |
$3,484 | KNSL | 10,402 | +9,402 | $3,484 | AUTOMATIC DATA PROCESSING INC |
14,847 |
-885 |
$3,459 | ADP | 14,847 | -885 | $3,459 | PROCTER & GAMBLE CO |
23,373 |
+758 |
$3,425 | PG | 23,373 | +758 | $3,425 | BROADCOM INC |
3,047 |
+1,535 |
$3,401 | AVGO | 3,047 | +1,535 | $3,401 | MISTER CAR WASH INC |
378,322 |
-22,500 |
$3,269 | MCW | 378,322 | -22,500 | $3,269 | BJS WHSL CLUB HLDGS INC |
47,535 |
-4,159 |
$3,169 | BJ | 47,535 | -4,159 | $3,169 | CLEAN HARBORS INC |
17,331 |
+3,962 |
$3,024 | CLH | 17,331 | +3,962 | $3,024 | ABBOTT LABS |
27,423 |
+3,487 |
$3,018 | ABT | 27,423 | +3,487 | $3,018 | WASTE CONNECTIONS INC |
19,371 |
+19,371 |
$2,892 | WCN | 19,371 | +19,371 | $2,892 | ANALOG DEVICES INC |
14,342 |
-434 |
$2,848 | ADI | 14,342 | -434 | $2,848 | S&P GLOBAL INC |
6,297 |
+1,561 |
$2,774 | SPGI | 6,297 | +1,561 | $2,774 | JPMORGAN CHASE & CO |
15,755 |
+236 |
$2,680 | JPM | 15,755 | +236 | $2,680 | LINDE PLC |
6,464 |
-46 |
$2,655 | LIN | 6,464 | -46 | $2,655 | AMAZON.COM INC |
16,764 |
+253 |
$2,547 | AMZN | 16,764 | +253 | $2,547 | BLACKSTONE SECD LENDING FUND COMMON STOCK (BXSL) |
79,966 |
-6,589 |
$2,210 | BXSL | 79,966 | -6,589 | $2,210 | BLACKROCK INC |
2,591 |
-56 |
$2,103 | BLK | 2,591 | -56 | $2,103 | FIRST OF LONG ISLAND CORP |
149,929 |
-11,220 |
$1,985 | FLIC | 149,929 | -11,220 | $1,985 | COCA COLA CO |
33,283 |
-1,196 |
$1,961 | KO | 33,283 | -1,196 | $1,961 | AMGEN INC |
6,778 |
+5,477 |
$1,952 | AMGN | 6,778 | +5,477 | $1,952 | ABBVIE INC |
12,185 |
-111 |
$1,888 | ABBV | 12,185 | -111 | $1,888 | LILLY ELI & CO |
3,057 |
-48 |
$1,782 | LLY | 3,057 | -48 | $1,782 | ENTERPRISE PRODUCTS PARTNERS LP |
64,814 |
UNCH |
$1,708 | EPD | 64,814 | UNCH | $1,708 | COCA COLA CONS INC |
1,800 |
+600 |
$1,671 | COKE | 1,800 | +600 | $1,671 | FISERV INC |
12,551 |
+12,551 |
$1,667 | FI | 12,551 | +12,551 | $1,667 | HASBRO INC |
31,161 |
-68,764 |
$1,591 | HAS | 31,161 | -68,764 | $1,591 | KENVUE INC |
69,719 |
+69,719 |
$1,501 | KVUE | 69,719 | +69,719 | $1,501 | NVR INC |
208 |
+208 |
$1,456 | NVR | 208 | +208 | $1,456 | JOHNSON & JOHNSON |
8,757 |
-923 |
$1,373 | JNJ | 8,757 | -923 | $1,373 | SELECT SECTOR SPDR INT UTILS (XLU) |
21,500 |
UNCH |
$1,362 | XLU | 21,500 | UNCH | $1,362 | BROWN & BROWN INC |
18,022 |
+2,800 |
$1,282 | BRO | 18,022 | +2,800 | $1,282 | SPDR S&P 500 ETF TR (SPY) |
2,542 |
+1,312 |
$1,208 | SPY | 2,542 | +1,312 | $1,208 | AMERIPRISE FINL INC COM |
3,133 |
-168 |
$1,190 | AMP | 3,133 | -168 | $1,190 | META PLATFORMS INC |
3,332 |
+346 |
$1,179 | META | 3,332 | +346 | $1,179 | APPLIED MATERIALS INC |
7,177 |
+655 |
$1,163 | AMAT | 7,177 | +655 | $1,163 | SERVICENOW INC |
1,619 |
+1,619 |
$1,144 | NOW | 1,619 | +1,619 | $1,144 | AMPHENOL CORP |
11,408 |
+6,540 |
$1,131 | APH | 11,408 | +6,540 | $1,131 | FASTENAL CO |
16,090 |
-14,053 |
$1,042 | FAST | 16,090 | -14,053 | $1,042 | LAM RESEARCH CORP |
1,271 |
+438 |
$996 | LRCX | 1,271 | +438 | $996 | MARTIN MARIETTA MATERIALS INC |
1,970 |
+1,970 |
$983 | MLM | 1,970 | +1,970 | $983 | STRYKER CORP |
3,008 |
-209 |
$901 | SYK | 3,008 | -209 | $901 | ACCENTURE PLC IRELAND |
2,566 |
UNCH |
$900 | ACN | 2,566 | UNCH | $900 | SELECT SECTOR SPDR INT FINL (XLF) |
23,500 |
UNCH |
$884 | XLF | 23,500 | UNCH | $884 | DANAHER CORPORATION |
3,757 |
-4,877 |
$869 | DHR | 3,757 | -4,877 | $869 | LOWES COS INC |
3,903 |
+338 |
$869 | LOW | 3,903 | +338 | $869 | RAYMOND JAMES FINANCIAL INC |
7,679 |
+7,679 |
$856 | RJF | 7,679 | +7,679 | $856 | NORFOLK SOUTHERN CORP |
3,129 |
-291 |
$740 | NSC | 3,129 | -291 | $740 | HUMANA INC |
1,543 |
+1,543 |
$706 | HUM | 1,543 | +1,543 | $706 | ISHARES RUSSELL 1000 GROWTH ETF (IWF) |
2,318 |
+5 |
$703 | IWF | 2,318 | +5 | $703 | CHEVRON CORP |
4,662 |
-3,967 |
$695 | CVX | 4,662 | -3,967 | $695 | BLACKSTONE MTG TR INC |
30,000 |
UNCH |
$638 | BXMT | 30,000 | UNCH | $638 | NEXTERA ENERGY INC |
10,486 |
+800 |
$637 | NEE | 10,486 | +800 | $637 | ISHARES TR S&P 500 VAL ETF (IVE) |
3,592 |
+276 |
$625 | IVE | 3,592 | +276 | $625 | SABINE ROYALTY TRUST |
9,067 |
UNCH |
$615 | SBR | 9,067 | UNCH | $615 | HUNTINGTON BANCSHARES INC (HBAN) |
46,733 |
UNCH |
$594 | HBAN | 46,733 | UNCH | $594 | PNC FINANCIAL SERVICES GROUP INC |
3,816 |
-1,313 |
$591 | PNC | 3,816 | -1,313 | $591 | NIKE INC |
5,436 |
-175 |
$590 | NKE | 5,436 | -175 | $590 | WAL MART INC |
3,644 |
+1,234 |
$574 | WMT | 3,644 | +1,234 | $574 | MARSH & MCLENNAN COS INC |
2,969 |
UNCH |
$563 | MMC | 2,969 | UNCH | $563 | BRISTOL MYERS SQUIBB CO |
9,631 |
-2 |
$494 | BMY | 9,631 | -2 | $494 | NOVO NORDISK AS ADR |
4,763 |
-30,977 |
$493 | NVO | 4,763 | -30,977 | $493 | WELLS FARGO CO PERP CONV PFD A |
|
|
$490 | WFC.PRL | 239 | -492 | $286 | WFC | 4,148 | +4,148 | $204 | TRUIST FINANCIAL CORP |
12,950 |
-3,373 |
$478 | TFC | 12,950 | -3,373 | $478 | BANK AMERICA CORP |
14,160 |
+1,862 |
$477 | BAC | 14,160 | +1,862 | $477 | NVIDIA CORP |
964 |
+335 |
$477 | NVDA | 964 | +335 | $477 | YUM BRANDS INC |
3,634 |
UNCH |
$475 | YUM | 3,634 | UNCH | $475 | BLUE OWL CAPITAL CORPORATION |
31,912 |
+31,912 |
$471 | OBDC | 31,912 | +31,912 | $471 | ROPER TECHNOLOGIES INC |
820 |
UNCH |
$447 | ROP | 820 | UNCH | $447 | US BANCORP DEL |
9,604 |
-4,094 |
$416 | USB | 9,604 | -4,094 | $416 | CONOCOPHILLIPS |
3,536 |
+152 |
$410 | COP | 3,536 | +152 | $410 | INVESCO ETF TR S&P 500 EQL WGT (RSP) |
2,601 |
UNCH |
$410 | RSP | 2,601 | UNCH | $410 | VERISK ANALYTICS INC |
1,717 |
-121 |
$410 | VRSK | 1,717 | -121 | $410 | RTX CORPORATION |
4,594 |
-894 |
$387 | RTX | 4,594 | -894 | $387 | PPG INDUSTRIES INC |
2,565 |
UNCH |
$384 | PPG | 2,565 | UNCH | $384 | COMCAST CORP |
8,494 |
-22,457 |
$372 | CMCSA | 8,494 | -22,457 | $372 | ILLINOIS TOOL WORKS INC |
1,418 |
UNCH |
$371 | ITW | 1,418 | UNCH | $371 | HONEYWELL INTL INC |
1,758 |
-245 |
$369 | HON | 1,758 | -245 | $369 | NEW MOUNTAIN FINANCE CORP |
27,020 |
UNCH |
$344 | NMFC | 27,020 | UNCH | $344 | WATERS CORP |
942 |
UNCH |
$310 | WAT | 942 | UNCH | $310 | MSCI INC |
530 |
UNCH |
$300 | MSCI | 530 | UNCH | $300 | CME GROUP INC |
1,349 |
UNCH |
$284 | CME | 1,349 | UNCH | $284 | VANGUARD INDEX FUNDS S&P 500 ETF (VOO) |
641 |
UNCH |
$280 | VOO | 641 | UNCH | $280 | TRIMBLE INC |
5,219 |
-160 |
$278 | TRMB | 5,219 | -160 | $278 | UNITED PARCEL SERVICE INC |
1,764 |
-906 |
$277 | UPS | 1,764 | -906 | $277 | GENERAL DYNAMICS CORP |
1,050 |
UNCH |
$273 | GD | 1,050 | UNCH | $273 | AIR PRODS & CHEMS INC COM |
992 |
UNCH |
$272 | APD | 992 | UNCH | $272 | MONDELEZ INTL INC |
3,647 |
-6,790 |
$264 | MDLZ | 3,647 | -6,790 | $264 | INDIVIOR PLC |
17,230 |
+17,230 |
$263 | INDV | 17,230 | +17,230 | $263 | VANGUARD TAX MANAGED INTL FUND FTSE DEV MKT ETF (VEA) |
5,483 |
UNCH |
$263 | VEA | 5,483 | UNCH | $263 | STARBUCKS CORP |
2,720 |
UNCH |
$261 | SBUX | 2,720 | UNCH | $261 | VISTRA CORP |
6,787 |
+6,787 |
$261 | VST | 6,787 | +6,787 | $261 | POOL CORPORATION |
653 |
-8,444 |
$260 | POOL | 653 | -8,444 | $260 | LABORATORY CORP AMERICA HOLDINGS |
1,092 |
UNCH |
$248 | LH | 1,092 | UNCH | $248 | ISHARES TR MSCI EAFE ETF (EFA) |
3,281 |
UNCH |
$247 | EFA | 3,281 | UNCH | $247 | RELIANCE STEEL & ALUMINUM CO |
883 |
UNCH |
$247 | RS | 883 | UNCH | $247 | GOLUB CAP BDC INC |
16,166 |
+16,166 |
$244 | GBDC | 16,166 | +16,166 | $244 | ADOBE INC |
400 |
UNCH |
$239 | ADBE | 400 | UNCH | $239 | PARKER HANNIFIN CORP |
505 |
+505 |
$233 | PH | 505 | +505 | $233 | NOVARTIS AG SP ADR |
2,300 |
-61 |
$232 | NVS | 2,300 | -61 | $232 | FIVE BELOW INC |
1,079 |
+1,079 |
$230 | FIVE | 1,079 | +1,079 | $230 | ISHARES CORE S&P 500 ETF (IVV) |
448 |
+448 |
$214 | IVV | 448 | +448 | $214 | ATKORE INC |
1,322 |
-78 |
$212 | ATKR | 1,322 | -78 | $212 | BROWN FORMAN CORP |
|
|
$211 | BF.B | 3,703 | +3,703 | $211 | CHUBB LIMITED |
935 |
+935 |
$211 | CB | 935 | +935 | $211 | MAXCYTE INC |
21,933 |
UNCH |
$103 | MXCT | 21,933 | UNCH | $103 | PROFOUND MED CORP |
10,000 |
+10,000 |
$85 | PROF | 10,000 | +10,000 | $85 | AMERICAN AIRLINES GROUP INC |
|
|
$0 (exited) | AAL | 0 | -13,819 | $0 | CHURCHILL DOWNS INC |
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$0 (exited) | CHDN | 0 | -19,434 | $0 | CROWDSTRIKE HOLDINGS INC |
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$0 (exited) | CRWD | 0 | -5,192 | $0 | CISCO SYSTEMS INC |
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$0 (exited) | CSCO | 0 | -4,577 | $0 | CVS HEALTH CORP |
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$0 (exited) | CVS | 0 | -20,496 | $0 | CASELLA WASTE SYSTEMS INC |
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$0 (exited) | CWST | 0 | -42,542 | $0 | DECKERS OUTDOOR CORP |
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$0 (exited) | DECK | 0 | -650 | $0 | FISERV INC |
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$0 (exited) | FISV | 0 | -12,897 | $0 | FS KKR CAPITAL CORP |
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$0 (exited) | FSK | 0 | -20,050 | $0 | KEURIG DR PEPPER INC |
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$0 (exited) | KDP | 0 | -6,982 | $0 | LANDS END INC |
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$0 (exited) | LE | 0 | -258,300 | $0 | MCCORMICK & CO INC |
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$0 (exited) | MKC | 0 | -2,750 | $0 | QUALCOMM INC |
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$0 (exited) | QCOM | 0 | -1,911 | $0 | SEMPRA |
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$0 (exited) | SRE | 0 | -3,698 | $0 | UBER TECHNOLOGIES INC |
0 |
-5,408 |
$0 (exited) | UBER | 0 | -5,408 | $0 |
See Summary: Chilton Investment Co. Inc. Top Holdings
See Details: Top 10 Stocks Held By Chilton Investment Co. Inc.
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