Pershing Square Capital Management Q4 2019

Pershing Square Capital Management holdings Q4 2019
Name ValueChangeSharesChangeWeightingChange
CHIPOTLE MEXICAN GRILL INC$1,443,437
-0.40%
1,724,3100.00%22.03%
-1.36%
HILTON WORLDWIDE HLDGS INC$1,170,855
19.12%
10,556,8050.00%17.87%
17.97%
LOWES COS INC$1,031,518
8.91%
8,613,2120.00%15.74%
7.86%
RESTAURANT BRANDS INTL INC$961,926
-10.36%
15,084,3040.00%14.68%
-11.23%
BERKSHIRE HATHAWAY INC DELcl b new$909,532
8.88%
4,015,5940.00%13.88%
7.83%
STARBUCKS CORP$479,863
-41.73%
5,457,954
-41.40%
7.32%
-42.29%
HOWARD HUGHES CORP$278,629
79.94%
2,197,389
83.91%
4.25%
78.20%
AGILENT TECHNOLOGIES INC$277,097
24.00%
3,248,114
11.39%
4.23%
22.80%
Portfolio Information
QuarterQ4 2019
Total value$6,552,857,000
Holdings8
Managers
Bill Ackman
Quarters
2020-03-31
$6,572,994
2019-12-31
$6,552,857
2019-09-30
$6,489,545
2019-06-30
$6,708,001
2019-03-31
$6,716,615
2018-12-31
$5,957,319
2018-09-30
$5,208,720
2018-06-30
$5,804,747
2018-03-31
$4,832,044
2017-12-31
$5,872,732
2017-09-30
$5,114,152
2017-06-30
$6,014,517
2017-03-31
$5,960,734
2016-12-31
$5,913,210
2016-09-30
$5,412,894
2016-06-30
$7,512,967
2016-03-31
$8,852,978
2015-12-31
$12,459,605
2015-09-30
$13,950,056
2015-06-30
$14,445,833
2015-03-31
$14,970,358
2014-12-31
$16,042,727
2014-09-30
$13,425,636
2014-06-30
$12,597,023
2014-03-31
$8,378,836
2013-12-31
$8,231,216
2013-09-30
$10,275,311
2013-06-30
$10,951,937
SEC Filings