Bill Ackman profile
Bill Ackman profile

Bill Ackman

Pershing Square Capital Management Holdings Strategy: Value Investor, Short Seller

Bill Ackman is one of the most influential investors in the world. His stock picks can be a great way to diversify your portfolio and potentially earn higher returns. Here are some interesting metrics about his portfolio: The stocks with the highest dividend yields are Alexander`s Inc. with a current yield of 9.06%, Park Hotels & Resorts Inc with 4.92%, and Citigroup Inc with 4.57%. The average dividend yield for all companies in this portfolio is 0.98%. 91.38% of the companies in this portfolio are profitable. The company with the highest profit margin is Visa Inc, with a margin of 52.9%. Other high-margin companies in the portfolio include Alexander`s Inc. and Mastercard Incorporated, with margins of 46.17% and 44.85% respectively. The largest company by market capitalization in this portfolio is Alphabet Inc while the smallest is BlackRock Institutional Trust Company N.A..

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Bill Ackman Portfolio 2023

Performance

1 Year

-0.09%

3 Years

+15.40%

5 Years

+74.94%

10 years

+154.89%


Sectors

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Largest Holdings

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Trades

  • Chipotle Mexican Grill Chipotle Mexican Grill (CMG)
  • Sector: Food Service Contractors
  • % of Portfolio: 21.3%
  • (Buy) $404.18 +449.0% $2,218.93 (Now)
  • Hilton Worldwide Holdings Inc Hilton Worldwide Holdings Inc (HLT)
  • Sector: Hotels (except Casino Hotels) and Motels
  • % of Portfolio: 17.8%
  • (Buy) $83.49 +104.9% $171.05 (Now)
  • Lowe`s Cos., Inc. Lowe`s Cos., Inc. (LOW)
  • Sector: Home Centers
  • % of Portfolio: 14.2%
  • (Buy) $99.39 +99.7% $198.48 (Now)
  • Alphabet Inc - Class C Alphabet Inc - Class C (GOOG)
  • Sector: All Other Telecommunications
  • % of Portfolio: 13.2%
  • (Buy) $99.23 +41.1% $140.02 (Now)
  • Alphabet Inc - Class A Alphabet Inc - Class A (GOOGL)
  • Sector: All Other Telecommunications
  • % of Portfolio: 6.1%
  • (Buy) $112.59 +23.0% $138.49 (Now)
  • Yum Brands Inc. Yum Brands Inc. (YUM)
  • Sector: Food Service Contractors
  • % of Portfolio: Sold
  • (Buy) $25.33 +409.1% $128.94 (Now)
  • General Motors Company General Motors Company (GM)
  • Sector: Automobile Manufacturing
  • % of Portfolio: Sold
  • (Buy) $34.40 -18.3% $28.10 (Now)
  • Target Corp Target Corp (TGT)
  • Sector: All Other General Merchandise Stores
  • % of Portfolio: Sold
  • (Buy) $50.06 +160.7% $130.50 (Now)
  • Matson Inc Matson Inc (MATX)
  • Sector: Deep Sea Freight Transportation
  • % of Portfolio: Sold
  • (Buy) $23.92 +300.2% $95.75 (Now)
  • Zoetis Inc - Class A Zoetis Inc - Class A (ZTS)
  • Sector: Pharmaceutical Preparation Manufacturing
  • % of Portfolio: Sold
  • (Buy) $39.81 +350.6% $179.35 (Now)
  • Starbucks Corp. Starbucks Corp. (SBUX)
  • Sector: Coffee and Tea Manufacturing
  • % of Portfolio: Sold
  • (Buy) $67.79 +52.6% $103.44 (Now)
  • Nomad Foods Limited Nomad Foods Limited (NOMD)
  • Sector: Frozen Specialty Food Manufacturing
  • % of Portfolio: Sold
  • (Buy) $8.43 +92.8% $16.25 (Now)
  • Nike, Inc. - Class B Nike, Inc. - Class B (NKE)
  • Sector: Footwear Manufacturing
  • % of Portfolio: Sold
  • (Buy) $57.49 +87.7% $107.92 (Now)
  • Procter & Gamble Co. Procter & Gamble Co. (PG)
  • Sector: Soap and Other Detergent Manufacturing
  • % of Portfolio: Sold
  • (Buy) $66.22 +128.1% $151.02 (Now)
  • Dominos Pizza Inc Dominos Pizza Inc (DPZ)
  • Sector: Food Service Contractors
  • % of Portfolio: Sold
  • (Buy) $372.60 -0.8% $369.49 (Now)
  • Automatic Data Processing Inc. Automatic Data Processing Inc. (ADP)
  • Sector: Data Processing, Hosting, and Related Services
  • % of Portfolio: Sold
  • (Buy) $106.09 +117.9% $231.15 (Now)
  • Howard Hughes Corporation Howard Hughes Corporation (HHC)
  • Sector: Other Financial Vehicles
  • % of Portfolio: Sold
  • (Buy) $84.79 -7.2% $78.64 (Now)
  • Blackstone Inc Blackstone Inc (BX)
  • Sector: Investment Advice
  • % of Portfolio: Sold
  • (Buy) $55.31 +93.0% $106.78 (Now)
  • Park Hotels & Resorts Inc Park Hotels & Resorts Inc (PK)
  • Sector: Hotels (except Casino Hotels) and Motels
  • % of Portfolio: Sold
  • (Buy) $18.79 -23.3% $14.41 (Now)
  • Visa Inc - Class A Visa Inc - Class A (V)
  • Sector: Data Processing, Hosting, and Related Services
  • % of Portfolio: Sold
  • (Buy) $15.63 +1523.0% $253.72 (Now)
  • Netflix Inc. Netflix Inc. (NFLX)
  • Sector: Internet Publishing and Broadcasting and Web Search Portals
  • % of Portfolio: Sold
  • (Buy) $416.32 +14.8% $478.00 (Now)
Stock % of
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Buy Price
Current
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Position
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Options

Can't find any put or calls that Bill Ackman has in Pershing Square



Average Portfolio Company Metrics

  • Market Cap: $376 Billion
  • Dividend Yield 0.98 %
  • Beta 0.9702
  • P/E Ratio 30.27
  • Negative P/E Ratio NaN
  • Profit Margin 16.42%
  • PEG 218.83
  • Price to Sales Ratio 4.48
  • Price to Book Ratio 1.28
  • Enterprise Value to EBIT: 23.54
  • Enterprise Value to Revenue 5.4
  • Total Debt to Enterprise Value 0.16
  • Debt to Equity -0.3915
  • Quarterly Earnings Growth (YoY) -
  • Return on Equity 0.33%
  • Return on Assets 11.03%
  • Return on Invested Capital 20.62%

About Bill Ackman

Pershing Square is a privately owned hedge fund that was founded in 2003 by William A. Ackman, a value investor who buys stakes in undervalued companies with the intention of working with management to improve performance. Pershing Square focuses on long-term, value-oriented investing and employs a concentrated portfolio strategy.


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