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Latest Vulcan Value Partners, LLC Stock Portfolio

$6.81Billion

Equity Portfolio Value
Last Reported on: 13 Feb, 2024

About Vulcan Value Partners, LLC and it’s 13F Hedge Fund Stock Holdings

Vulcan Value Partners, LLC is a hedge fund based in Birmingham, AL. On 01-Jul-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $8.1 Billions. In it's latest 13F Holdings report, Vulcan Value Partners, LLC reported an equity portfolio of $6.8 Billions as of 31 Dec, 2023.

The top stock holdings of Vulcan Value Partners, LLC are KKR, AMZN, CRM. The fund has invested 7.4% of it's portfolio in KKR & CO INC and 7% of portfolio in AMAZON COM INC.

They significantly reduced their stock positions in MEDPACE HLDGS INC (MEDP), CORE & MAIN INC (CNM) and ARES MANAGEMENT CORPORATION (ARES). Vulcan Value Partners, LLC opened new stock positions in SPDR S&P 500 ETF TR (SPY). The fund showed a lot of confidence in some stocks as they added substantially to BALL CORP (BALL), PROG HOLDINGS INC (PRG) and DUN & BRADSTREET HLDGS INC (DNB).

New Buys

Ticker$ Bought
SPDR S&P 500 ETF TR1,641,000

New stocks bought by Vulcan Value Partners, LLC

Additions

Ticker% Inc.
BALL CORP12.11
PROG HOLDINGS INC6.49
DUN & BRADSTREET HLDGS INC6.33

Additions to existing portfolio by Vulcan Value Partners, LLC

Reductions

Ticker% Reduced
MEDPACE HLDGS INC-27.02
CORE & MAIN INC-23.74
ARES MANAGEMENT CORPORATION-22.71
PARK HOTELS & RESORTS INC-21.01
MILLERKNOLL INC-20.52
ABM INDS INC-19.00
MICROSOFT CORP-18.62
ACUITY BRANDS INC-17.73

Vulcan Value Partners, LLC reduced stake in above stock

Sold off

None of the stocks were completely sold off by Vulcan Value Partners, LLC

Current Stock Holdings of Vulcan Value Partners, LLC

Last Reported on: 13 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
ABMABM INDS INC0.901,365,93061,235,000REDUCED-19.00
ABTABBOTT LABS1.07665,08873,198,000REDUCED-8.41
AMATAPPLIED MATLS INC0.88373,14460,286,000REDUCED-13.36
AMZNAMAZON COM INC6.993,137,010476,473,000REDUCED-11.82
ARESARES MANAGEMENT CORPORATION2.701,551,990184,273,000REDUCED-22.71
AYIACUITY BRANDS INC0.38125,20525,646,000REDUCED-17.73
BALLBALL CORP1.481,755,660100,922,000ADDED12.11
CBRECBRE GROUP INC3.302,412,180224,559,000REDUCED-9.08
CGCARLYLE GROUP INC5.038,435,230343,004,000REDUCED-14.04
CIGICOLLIERS INTL GROUP INC0.88474,20859,997,000REDUCED-14.15
CNMCORE & MAIN INC0.15257,85010,420,000REDUCED-23.74
CRMSALESFORCE INC6.161,597,720420,123,000REDUCED-12.93
CSGPCOSTAR GROUP INC2.051,600,690139,688,000REDUCED-7.1
CWKCUSHMAN WAKEFIELD PLC0.885,539,79059,830,000REDUCED-13.72
DNBDUN & BRADSTREET HLDGS INC0.603,471,01040,611,000ADDED6.33
ELVELEVANCE HEALTH INC2.66384,417181,430,000REDUCED-14.48
ENSENERSYS0.35236,05923,832,000REDUCED-7.41
GGENPACT LIMITED0.641,250,39043,401,000REDUCED-10.64
GEGENERAL ELECTRIC CO2.221,184,720151,172,000REDUCED-4.76
GOOGALPHABET INC5.532,673,510376,672,000REDUCED-15.38
HEIHEICO CORP NEW1.82872,999124,309,000REDUCED-12.9
ITRNITURAN LOCATION AND CONTROL0.671,681,33045,799,000REDUCED-5.27
JLLJONES LANG LASALLE INC3.061,104,350208,433,000REDUCED-2.74
KKRKKR & CO INC7.426,104,550505,495,000REDUCED-11.77
LFUSLITTELFUSE INC1.04263,89070,606,000REDUCED-3.68
MAMASTERCARD INCORPORATED4.65743,641317,078,000REDUCED-8.68
MARMARRIOTT INTL INC NEW1.21365,68582,375,000REDUCED-13.9
MEDPMEDPACE HLDGS INC0.46102,26031,346,000REDUCED-27.02
MLKNMILLERKNOLL INC0.431,087,26029,008,000REDUCED-20.52
MSFTMICROSOFT CORP6.041,095,780411,922,000REDUCED-18.62
NICENICE LTD2.61894,033178,019,000REDUCED-14.28
PKPARK HOTELS & RESORTS INC0.612,732,27041,804,000REDUCED-21.01
PRGPROG HOLDINGS INC0.461,021,46031,573,000ADDED6.49
QRVOQORVO INC2.741,662,450186,895,000REDUCED-15.86
SEESEALED AIR CORP NEW0.611,135,49041,468,000REDUCED-0.77
SMRTSMARTRENT INC0.469,817,91031,319,000REDUCED-5.88
SPYSPDR S&P 500 ETF TR0.023,4721,641,000NEW
SSNCSS&C TECHNOLOGIES HLDGS INC2.002,232,240136,319,000REDUCED-11.36
SWKSSKYWORKS SOLUTIONS INC4.762,890,980324,711,000REDUCED-10.54
TDGTRANSDIGM GROUP INC5.75387,364391,609,000REDUCED-10.49
TKRTIMKEN CO0.42356,51728,575,000REDUCED-11.2
TXNTEXAS INSTRS INC0.80319,62454,462,000REDUCED-7.3
UNHUNITEDHEALTH GROUP INC0.81105,24455,502,000REDUCED-14.91
VVISA INC4.181,094,120284,805,000REDUCED-16.37
VRTSVIRTUS INVT PARTNERS INC0.67190,10645,960,000REDUCED-11.14
FISERV INC1.42729,26696,887,000REDUCED-12.09