Bill Ackman - Pershing Square Capital Management

History Stock Activity Share change % change to portfolio
Q4  2023
HHH - Howard Hughes Holdings Inc. Add 12.17% 2,045,156 1.68
Q3  2023
GOOGL - Alphabet Inc. Add 99.31% 2,169,824 2.71
HLT - Hilton Worldwide Holdings Add 10.42% 972,647 1.39
HHH - Howard Hughes Holdings Inc. Add 1.43% 236,680 0.17
Q2  2023
GOOG - Alphabet Inc. CL C Add 16.20% 1,307,425 1.46
HHH - Howard Hughes Holdings Inc. Add 3.66% 585,696 0.43
HLT - Hilton Worldwide Holdings Add 0.36% 33,812 0.05
Q1  2023
GOOG - Alphabet Inc. CL C Buy 8,069,770 8.21
GOOGL - Alphabet Inc. Buy 2,185,000 2.22
HHH - Howard Hughes Holdings Inc. Add 0.56% 89,397 0.07
CP - Canadian Pacific Kansas City Add 0.01% 1,000 0.00
Q4  2022
HHH - Howard Hughes Holdings Inc. Add 16.70% 2,274,971 1.98
Q3  2022
CP - Canadian Pacific Kansas City Add 417.52% 12,292,785 10.42
LOW - Lowe's Cos. Add 1.64% 167,495 0.40
QSR - Restaurant Brands International Add 1.56% 371,525 0.25
HLT - Hilton Worldwide Holdings Add 1.24% 122,978 0.19
Q1  2022
NFLX - Netflix Inc. Buy 3,109,965 11.21
CP - Canadian Pacific Kansas City Add 4.64% 130,512 0.10
Q4  2021
CP - Canadian Pacific Kansas City Buy 2,813,747 1.88
Q3  2021
CMG - Chipotle Mexican Grill Inc. Add 2.63% 28,589 0.55
DPZ - Dominos Pizza Inc. Add 2.60% 53,032 0.27
LOW - Lowe's Cos. Add 0.95% 95,951 0.21
HLT - Hilton Worldwide Holdings Add 0.98% 125,307 0.17
QSR - Restaurant Brands International Add 1.01% 240,331 0.16
HHH - Howard Hughes Holdings Inc. Add 1.11% 150,156 0.14
Q2  2021
DPZ - Dominos Pizza Inc. Add 0.17% 3,466 0.02
Q1  2021
DPZ - Dominos Pizza Inc. Buy 2,035,704 7.16
HHH - Howard Hughes Holdings Inc. Add 23.37% 2,552,000 2.32
Q2  2020
QSR - Restaurant Brands International Add 66.52% 10,034,712 7.07
LOW - Lowe's Cos. Add 3.73% 456,439 0.80
Q1  2020
A - Agilent Technologies Add 288.74% 9,378,479 10.22
HHH - Howard Hughes Holdings Inc. Add 455.09% 10,000,000 7.68
LOW - Lowe's Cos. Add 42.25% 3,639,202 4.76
SBUX - Starbucks Corp. Add 85.62% 4,673,054 4.67
BRK.B - Berkshire Hathaway CL B Add 35.80% 1,437,766 4.00
HLT - Hilton Worldwide Holdings Add 30.62% 3,232,784 3.36
BX - Blackstone Group Buy 548,526 0.38
PK - Park Hotels & Resorts Inc. Buy 677,888 0.08
Q4  2019
HHH - Howard Hughes Holdings Inc. Add 83.91% 1,002,596 1.94
A - Agilent Technologies Add 11.39% 332,011 0.43
Q3  2019
A - Agilent Technologies Buy 2,916,103 3.44
BRK.B - Berkshire Hathaway CL B Add 14.31% 502,597 1.61
Q2  2019
BRK.B - Berkshire Hathaway CL B Buy 3,512,997 11.16
Q1  2019
RTX - RTX Corp. Add 4.32% 241,000 0.46
HLT - Hilton Worldwide Holdings Add 0.17% 18,772 0.02
Q4  2018
HLT - Hilton Worldwide Holdings Buy 10,947,479 13.19
SBUX - Starbucks Corp. Buy 11,754,441 12.71
LOW - Lowe's Cos. Add 13.01% 1,097,790 1.70
RTX - RTX Corp. Add 12.74% 630,415 1.13
ADP - Automatic Data Processing Inc. Add 1.01% 40,699 0.09
Q3  2018
LOW - Lowe's Cos. Add 9.37% 723,300 1.59
RTX - RTX Corp. Add 8.97% 407,173 1.09
Q2  2018
LOW - Lowe's Cos. Buy 7,715,501 12.70
RTX - RTX Corp. Add 133.52% 2,596,195 5.59
MDLZ - Mondelez International Add 1.33% 215,122 0.15
Q1  2018
RTX - RTX Corp. Buy 1,944,420 5.06
Q4  2017
MDLZ - Mondelez International Add 66.98% 9,328,957 6.80
NKE - NIKE Inc. Buy 5,836,020 6.22
Q3  2017
ADP - Automatic Data Processing Inc. Add 402.52% 7,047,575 15.07
Q2  2017
ADP - Automatic Data Processing Inc. Buy 1,750,867 2.98
HHH - Howard Hughes Holdings Inc. Add 31.85% 1,136,517 2.32
Q4  2016
CMG - Chipotle Mexican Grill Inc. Add 420.10% 2,328,250 14.85
Q3  2016
CMG - Chipotle Mexican Grill Inc. Buy 554,213 4.34
Q1  2016
NOMD - Nomad Foods Ltd Buy 33,333,334 3.39
BHC - Bausch Health Add 30.14% 5,000,000 1.48
QSR - Restaurant Brands International Add 3.02% 1,146,567 0.50
Q3  2015
MDLZ - Mondelez International Buy 43,366,342 13.02
Q1  2015
BHC - Bausch Health Buy 19,473,933 25.84
ACT-OLD - Actavis plc Buy 1,348,358 2.68
ZTS - Zoetis Inc. Add 0.61% 253,499 0.08
Q4  2014
ZTS - Zoetis Inc. Add 650.78% 36,032,784 9.66
QSR - Restaurant Brands International Buy 38,003,984 9.25
PAH - Platform Specialty Products Corp. Add 28.21% 9,404,064 1.36
Q3  2014
ZTS - Zoetis Inc. Buy 5,536,862 1.52
CP - Canadian Pacific Kansas City Add 0.02% 12,940 0.00
Q2  2014
AGN - Allergan Plc Add 4733.79% 28,281,107 37.99
Q4  2013
APD - Air Products & Chemicals Add 0.02% 3,792 0.01
BKW-OLD - Burger King Worldwide Inc. Add 0.04% 15,745 0.00
Q3  2013
APD - Air Products & Chemicals Add 103.51% 10,449,576 13.28
Q2  2013
APD - Air Products & Chemicals Buy 10,095,708 10.24
Q1  2013
BKW-OLD - Burger King Worldwide Inc. Add 0.03% 10,760 0.00
MDLZ - Mondelez International Add 0.01% 742 0.00
Q4  2012
MDLZ - Mondelez International Buy 5,978,214 1.69
MATX - Matson Inc. Add 0.00% 78 0.00
Q3  2012
BKW-OLD - Burger King Worldwide Inc. Buy 38,361,360 6.33
PG - Procter & Gamble Add 27.52% 6,030,684 4.95
MATX - Matson Inc. Buy 3,644,870 0.90
GGP - Genl Growth Properties Add 3.46% 2,500,000 0.58
Q2  2012
PG - Procter & Gamble Buy 21,916,208 18.97
Q1  2012
JCP - Penney (J.C.) Add 0.93% 360,200 0.16
ALEX - Alexander & Baldwin Add 2.33% 82,927 0.05
CP - Canadian Pacific Kansas City Add 0.02% 27,400 0.01
C - Citigroup Inc. Add 0.02% 4,749 0.00
Q4  2011
CP - Canadian Pacific Kansas City Add 497.85% 100,570,865 17.53
BEAM - Beam Inc. Buy 20,818,545 13.73
FBIN - Fortune Brands Innovations Inc. Buy 20,818,545 4.57
Q3  2011
LOW - Lowe's Cos. Buy 21,240,301 6.83
FO - Fortune Brands Inc. Add 21.25% 3,648,512 3.28
CP - Canadian Pacific Kansas City Buy 20,201,175 3.23
MDLZ - Mondelez International Add 13.28% 2,952,344 1.65