Yum! Brands Inc. (YUM)

Sector:Consumer Discretionary
Super Investor Stats:
Ownership count:0
Ownership rank:--
% of all portfolios:0%
History Portfolio Manager Activity Share change % change to portfolio
Q1  2023
Lee Ainslie - Maverick Capital Buy 8,293 0.03
Q2  2022
Lee Ainslie - Maverick Capital Buy 1,952 0.01
Q3  2021
Lee Ainslie - Maverick Capital Buy 15,121 0.02
Q1  2021
Lee Ainslie - Maverick Capital Buy 21,748 0.02
Q1  2020
Lee Ainslie - Maverick Capital Buy 72,575 0.10
Q3  2018
Lee Ainslie - Maverick Capital Buy 531,190 0.60
Q4  2017
Lee Ainslie - Maverick Capital Buy 205,620 0.21
Thomas Russo - Gardner Russo & Quinn Buy 1,200 0.00
Q2  2017
Lee Ainslie - Maverick Capital Buy 35,870 0.03
Q2  2016
Stephen Mandel - Lone Pine Capital Add 559.29% 8,459,686 3.24
Q1  2016
Daniel Loeb - Third Point Add 7204.12% 5,424,700 4.16
Stephen Mandel - Lone Pine Capital Buy 1,512,569 0.63
Q3  2015
Daniel Loeb - Third Point Add 224.48% 8,025,000 6.22
Q2  2015
Daniel Loeb - Third Point Add 8.33% 275,000 0.24
Q1  2015
Daniel Loeb - Third Point Buy 3,300,000 2.60
Q2  2014
Meridian Contrarian Fund Add 16.59% 29,000 0.33
Q1  2014
Meridian Contrarian Fund Add 66.48% 69,800 0.73
Q4  2013
Meridian Contrarian Fund Buy 105,000 1.07
Q2  2013
Hillman Value Fund Buy 10,000 2.19
Q1  2012
Thomas Gayner - Markel Asset Management Buy 3,200 0.01
Q1  2011
Thomas Russo - Gardner Russo & Quinn Buy 4,700 0.00
Q2  2010
Stephen Mandel - Lone Pine Capital Add 22.66% 2,780,449 1.16
Q1  2010
Stephen Mandel - Lone Pine Capital Add 87.81% 5,737,986 2.13
Mason Hawkins - Longleaf Partners Add 18.98% 2,166,328 1.18
Bill Ackman - Pershing Square Capital Management Add 10.01% 1,383,086 1.60
Q4  2009
Bill Ackman - Pershing Square Capital Management Buy 13,817,044 25.48
Stephen Mandel - Lone Pine Capital Buy 6,534,659 2.33
Q3  2009
Mason Hawkins - Longleaf Partners Add 15.53% 1,533,528 0.76
Q1  2009
Bill Ackman - Pershing Square Capital Management Buy 1,554,315 2.22
Q1  2008
Thomas Gayner - Markel Asset Management Buy 24,800 0.05

* "Hold Price" is the last known price at which an investor still held a security. It is the closing price of the security as of the portfolio date (quarter end). This value is only provided when a security is owned by at least two investors. In the case of reporting dates being different, a weighted average price is calculated.