Cantillon Capital Management·CIK 1279936
38
Positions
$14.8B
Portfolio Value
28
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q2 2021
Portfolio Value Over Time
| Ticker | % Portfolio | Value |
|---|---|---|
| SPGI | 6.54% | $971,569,000 |
| GOOGL |
5.22% |
| $774,612,000 |
| ADI | 4.02% | $596,157,000 |
| V | 3.87% | $573,943,000 |
| A | 3.67% | $544,892,000 |
| FIS | 3.67% | $544,847,000 |
| AMT | 3.58% | $531,433,000 |
| AMAT | 3.58% | $531,355,000 |
| AVGO | 3.53% | $524,139,000 |
| EFX | 3.49% | $518,678,000 |
| ICE | 3.36% | $498,610,000 |
| TMO | 3.11% | $462,433,000 |
| TSM | 2.89% | $429,594,000 |
| META | 2.85% | $423,605,000 |
| ZTS | 2.82% | $418,149,000 |
| VRSN | 2.74% | $407,300,000 |
| CBRE | 2.70% | $401,222,000 |
| ECL | 2.66% | $394,548,000 |
| WTW | 2.63% | $390,203,000 |
| BC | 2.62% | $388,285,000 |
| CME | 2.49% | $369,455,000 |
| ADSK | 2.39% | $355,447,000 |
| GOOG | 2.30% | $342,103,000 |
| AON | 2.12% | $314,311,000 |
| CTXS | 2.07% | $307,248,000 |
| FAST | 2.04% | $302,600,000 |
| SSNC | 1.90% | $282,601,000 |
| IQV | 1.87% | $278,159,000 |
| BDX | 1.86% | $276,805,000 |
| TNET | 1.86% | $276,805,000 |
| MSFT | 1.84% | $272,837,000 |
| ENTG | 1.83% | $272,243,000 |
| MCO | 1.37% | $204,016,000 |
| IBKR | 1.04% | $155,062,000 |
| PRI | 1.03% | $152,793,000 |
| AWI | 0.87% | $129,080,000 |
| CACC | 0.84% | $125,003,000 |
| NLSN | 0.71% | $105,420,000 |
| Ticker | Last Value | Last Weight |
|---|---|---|
SOLDGRA | $94,767,000 | 0.69% |