Ako Capital Llp ☆ Save Period: Q4 2024 Portfolio date: Dec 31, 2024 No. of stocks: 27 Portfolio value: $7.2B
Viewing historical Q4 2024 data. Holdings + moves reflect that quarter — not current. ← Back to latest Holdings Activity Buys Sells History
Stock % of Portfolio Recent Activity Shares Reported Price * Value Current Price +/- Reported Price 52 Week Low 52 Week High V · Visa, Inc. 7.67 New 1,757,145 $316.04 $555,328,000 $318.79 +0.87% $293.89 $375.51 ALC · Alcon Ag 6.89 New 5,876,280 $84.85 $498,585,000 $62.56 -26.27% $62.40 $95.34 MSFT · Microsoft Corp. 6.66 New 1,142,735 $421.50 $481,663,000 $415.06 -1.53% $356.28 $555.45 G1151C101 · Accenture Plc Ireland 6.38 New 1,311,465 $351.79 $461,360,000 — — — — GEV · Ge Aerospace 6.21 New 2,693,057 $166.79 $449,175,000 $1040.15 +523.63% $408.82 $1181.95 MRSH · Marsh & Mclennan Cos Inc. 6.05 New 2,062,828 $212.41 $438,165,000 $163.25 -23.14% $162.50 $235.78 ICE · Intercontinental Exchange In 5.37 New 2,605,657 $149.01 $388,269,000 $155.82 +4.57% $143.17 $189.35 INTU · Intuit 5.16 New 594,479 $628.50 $373,630,000 $396.31 -36.94% $342.11 $813.70 BKNG · Booking Holdings Inc. 4.98 New 72,470 $4968.41 $360,061,000 $165.99 -96.66% $150.62 $233.58 MCO · Moodys Corp. 4.27 New 653,387 $473.37 $309,294,000 $451.32 -4.66% $402.28 $546.88 AMZN · Amazon Com Inc. 4.27 New 1,408,315 $219.39 $308,970,000 $272.68 +24.29% $196.00 $278.56 WAT · Waters Corp. 4.18 New 815,379 $370.98 $302,489,000 $355.13 -4.27% $275.05 $414.15 FICO · Fair Isaac Corp. 4.09 New 148,602 $1990.93 $295,856,000 $1126.00 -43.44% $870.01 $2217.60 RACE · Ferrari N V 3.65 New 619,722 $426.22 $264,138,000 $339.69 -20.30% $312.51 $519.10 CPRT · Copart Inc. 3.48 New 4,391,462 $57.39 $252,026,000 $33.94 -40.86% $32.20 $63.85 ADI · Analog Devices Inc. 3.43 New 1,167,224 $212.46 $247,988,000 $416.52 +96.05% $206.00 $418.75 ZTS · Zoetis Inc. 3.39 New 1,505,938 $162.93 $245,362,000 $82.83 -49.16% $81.10 $172.23 PG · Procter And Gamble Co. 2.72 New 1,172,423 $167.65 $196,557,000 $146.42 -12.66% $137.62 $170.99 EFX · Equifax Inc. 2.56 New 726,246 $254.85 $185,084,000 $175.83 -31.01% $166.02 $281.03 TMO · Thermo Fisher Scientific Inc. 2.26 New 313,784 $520.23 $163,240,000 $465.00 -10.62% $385.46 $643.99 WMG · Warner Music Group Corp. 1.85 New 4,323,994 $31.00 $134,044,000 — — — — MSCI · Msci Inc. 1.73 New 208,903 $600.01 $125,344,000 $585.42 -2.43% $501.08 $626.28 CDNS · Cadence Design System Inc. 0.93 New 223,944 $300.46 $67,286,000 $362.70 +20.72% $262.75 $376.45 ILMN · Illumina Inc. 0.91 New 495,286 $133.63 $66,185,000 $141.88 +6.17% $77.50 $155.53 LIN · Linde Plc 0.74 New 128,062 $418.67 $53,616,000 $493.16 +17.79% $387.78 $521.28 BAH · Booz Allen Hamilton Hldg Cor 0.16 New 92,490 $128.69 $11,903,000 $77.04 -40.14% $73.93 $130.91 CNI · Canadian Natl Ry Co. 0.02 New 10,992 $101.53 $1,116,000 $111.64 +9.96% $90.74 $115.80
* Reported Price is the price of the security as of the portfolio date. This value is significant in that it is the last known price at which the security was still held. Price columns + 52-week range are placeholders pending v2 price-data feed.
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