FIRST MANHATTAN CO. LLC.FIRST MANHATTAN CO. LLC.

Institutional investor · Portfolio as of Q2 2024

SEC EDGAR SourceSEC Filings

Top Holdings669 positions

Activity:
Stock
Shares
Value
Weight
Avg Buy
Est. P&L
Held
Conviction

BERKSHIRE HATHAWAY INC DEL

14,999$9.2B29.5%$359,643.70+70.24%
23 qtrssince 2018-Q4
Decreased
0

MICROSOFT CORP

4.5M$2B6.5%$94.77+366.40%
23 qtrssince 2018-Q4
Decreased
0

APPLE INC

6.7M$1.4B4.6%$91.83+127.60%
23 qtrssince 2018-Q4
Decreased
0

ALPHABET INC

5.5M$1B3.2%$96.13+89.60%
23 qtrssince 2018-Q4
Decreased
0

KKR & CO INC

9.1M$959.2M3.1%

UNITEDHEALTH GROUP INC

1.6M$828M2.7%$303.85+62.37%
23 qtrssince 2018-Q4
Decreased
0

BERKSHIRE HATHAWAY INC DEL

2M$806.7M2.6%$205.28+98.16%
23 qtrssince 2018-Q4
Increased
54

AUTOZONE INC

258,841$767.2M2.5%$1,063.27+178.77%
23 qtrssince 2018-Q4
Increased
55

ORACLE CORP

5.4M$765.5M2.5%$53.77+158.04%
23 qtrssince 2018-Q4
Increased
54

BROOKFIELD CORP

17.6M$730.7M2.3%$20.54+33.57%
7 qtrssince 2022-Q4
Decreased
0

DANAHER CORP DEL

2M$502.7M1.6%$93.55+164.84%
23 qtrssince 2018-Q4
Decreased
0

THERMO FISHER SCIENTIFIC INC

905,632$501.1M1.6%$368.36+49.39%
23 qtrssince 2018-Q4
Decreased
0

APPLIED MATLS INC

1.8M$414.3M1.3%$209.47+11.07%
23 qtrssince 2018-Q4
Increased
64

BROADCOM INC

232,883$373.9M1.2%$96.31+64.23%
22 qtrssince 2019-Q1
Increased
49

ALPHABET INC

1.9M$340.9M1.1%$98.94+82.93%
23 qtrssince 2018-Q4
Decreased
0

TAKE-TWO INTERACTIVE SOFTWAR

2M$318.5M1.0%$150.03+3.64%
4 qtrssince 2023-Q3
Increased
64

HONEYWELL INTL INC

1.5M$316.8M1.0%$115.73+68.43%
23 qtrssince 2018-Q4
Decreased
0

LOWES COS INC

1.4M$309.9M1.0%$176.42+20.86%
23 qtrssince 2018-Q4
Increased
45

VISA INC

1.1M$289.7M0.9%$178.09+45.47%
23 qtrssince 2018-Q4
Increased
43

S&P GLOBAL INC

647,499$288.8M0.9%$315.89+39.65%
23 qtrssince 2018-Q4
Decreased
0
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$31.2B
AUM
669
Positions
Q2 2024
Filing
Rating · 5.0
Quarterly Portfolio Change
-4%Q1'23$26.1B+5%Q2'23$27.3B-1%Q3'23$27.1B+6%Q4'23$28.8B+7%Q1'24$30.9B+1%Q2'24$31.2B
Activity profile
$ moved · Q2'24
New7%Increased36%Decreased54%Exited3%
Composition
Equity vs derivatives
Equity100%Puts0%Calls0%
Holding period
Avg 4.6 years
<1Q1%1-4Q3%1-2Y5%2Y+91%

FIRST MANHATTAN CO. LLC. manages $31.2B across 669 positions as of Q2 2024. Top holdings: BRK/A (29.5%), MSFT (6.5%), AAPL (4.6%). Fund DNA: Balanced Allocator. HoldingsIntel Rating: 5/5.0.

Q2 2024 Summary

Active quarter - 13 new positions, 760 exits, 205 increased. Top move: AMAT (INCREASED, conviction 64). Portfolio: $31.2B across 669 positions.

Top holdings by portfolio weight

Total AUM$31B
BRK/A29.45%
MSFT6.47%
AAPL4.55%
GOOG3.23%
KKR3.08%
UNH2.65%
BRK/B2.59%
AZO2.46%
ORCL2.45%
BN2.34%
Other1.61%

Portfolio allocation by GICS sector

Sectors11
Financial Services43.25%
Technology19.79%
Consumer Cyclical8.66%
Healthcare7.83%
Communication Services6.66%
Industrials3.29%
Unknown3.08%
Consumer Defensive3.04%
Energy1.61%
Basic Materials1.31%
Other1.49%

Behavioral investing profile

7-dimension quality assessment
Elite(5.0 / 5.0)
Track Record70
Conviction37
Concentration0
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Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

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Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

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