Cantillon Capital Management·CIK 1279936
37
Positions
$12.3B
Portfolio Value
28
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q1 2023
Portfolio Value Over Time
| Ticker | % Portfolio | Value |
|---|---|---|
| SPGI | 5.74% | $704,428,892 |
| AVGO |
5.15% |
| $632,017,622 |
| ADI | 4.98% | $611,990,030 |
| V | 4.05% | $496,817,568 |
| TMO | 3.85% | $472,693,717 |
| A | 3.72% | $457,247,317 |
| GOOGL | 3.48% | $427,505,457 |
| AMAT | 3.36% | $412,681,654 |
| WTW | 3.35% | $411,412,756 |
| MSFT | 3.35% | $411,224,489 |
| EFX | 3.22% | $395,155,241 |
| ICE | 3.20% | $393,512,451 |
| AON | 3.03% | $372,015,716 |
| AMT | 2.93% | $360,147,002 |
| VRSN | 2.91% | $357,411,651 |
| CME | 2.77% | $340,247,346 |
| BC | 2.77% | $339,968,556 |
| IQV | 2.63% | $322,739,201 |
| CBRE | 2.58% | $316,992,096 |
| ZTS | 2.42% | $297,709,564 |
| IBKR | 2.42% | $297,579,264 |
| TSM | 2.42% | $297,576,747 |
| BLKXXXX | 2.36% | $289,311,429 |
| BDX | 2.34% | $287,700,890 |
| ECL | 2.31% | $283,250,963 |
| FAST | 2.30% | $282,438,956 |
| TNET | 2.24% | $275,321,440 |
| SSNC | 2.21% | $271,838,674 |
| ADSK | 2.02% | $247,707,486 |
| ENTG | 1.94% | $238,196,486 |
| CDW | 1.94% | $238,101,985 |
| MCO | 1.26% | $154,116,263 |
| ADBE | 1.16% | $142,396,527 |
| FERGXXXX | 1.13% | $138,855,372 |
| AWI | 1.09% | $134,377,733 |
| CACC | 0.86% | $105,863,971 |
| HAYW | 0.50% | $60,842,306 |