Cantillon Capital Management·CIK 1279936
38
Positions
$14.3B
Portfolio Value
28
Quarters tracked
Q4 2025
Latest filing
Portfolio Allocation — Q2 2023
Portfolio Value Over Time
| Ticker | % Portfolio | Value |
|---|---|---|
| AVGO | 6.35% | $908,821,157 |
| SPGI |
6.09% |
| $871,186,487 |
| ADI | 4.49% | $642,965,730 |
| V | 3.89% | $556,581,639 |
| GOOGL | 3.67% | $524,830,276 |
| AMAT | 3.61% | $516,588,417 |
| MSFT | 3.61% | $516,560,018 |
| EFX | 3.41% | $487,543,012 |
| TMO | 3.31% | $473,338,905 |
| ICE | 3.17% | $453,788,570 |
| A | 3.15% | $450,418,141 |
| WTW | 3.10% | $443,420,124 |
| AON | 3.03% | $433,173,530 |
| IQV | 2.91% | $416,791,910 |
| VRSN | 2.84% | $406,536,526 |
| BC | 2.67% | $382,033,449 |
| CBRE | 2.61% | $373,673,256 |
| AMT | 2.54% | $363,529,670 |
| CME | 2.45% | $350,202,918 |
| BLKXXXX | 2.41% | $345,138,729 |
| BDX | 2.41% | $344,337,154 |
| TSM | 2.40% | $343,303,399 |
| ENTG | 2.39% | $342,317,439 |
| ECL | 2.37% | $339,722,034 |
| TNET | 2.31% | $330,717,735 |
| FAST | 2.30% | $328,514,956 |
| IBKR | 2.23% | $318,529,257 |
| SSNC | 2.17% | $310,200,977 |
| CDW | 1.87% | $266,970,848 |
| ADSK | 1.81% | $258,945,617 |
| ZTS | 1.76% | $251,472,408 |
| ADBE | 1.34% | $192,247,397 |
| FERGXXXX | 1.30% | $186,679,462 |
| MCO | 1.30% | $186,217,273 |
| CACC | 0.92% | $131,109,431 |
| LYV | 0.71% | $101,888,040 |
| TW | 0.59% | $84,412,900 |
| HAYW | 0.50% | $70,958,484 |
| Ticker | Last Value | Last Weight |
|---|---|---|
SOLDAWI | $134,377,733 | 1.09% |