Pershing Square Capital Management Q1 2020

Pershing Square Capital Management holdings Q1 2020
Name ValueChangeSharesChangeWeightingChange
LOWES COS INC$1,054,320
2.21%
12,252,414
42.25%
16.04%
1.90%
BERKSHIRE HATHAWAY INC DELcl b new$997,038
9.62%
5,453,360
35.80%
15.17%
9.29%
HILTON WORLDWIDE HLDGS INC$941,002
-19.63%
13,789,589
30.62%
14.32%
-19.88%
AGILENT TECHNOLOGIES INC$904,317
226.35%
12,626,593
288.74%
13.76%
225.35%
CHIPOTLE MEXICAN GRILL INC$759,910
-47.35%
1,161,232
-32.66%
11.56%
-47.52%
STARBUCKS CORP$666,012
38.79%
10,131,008
85.62%
10.13%
38.37%
HOWARD HUGHES CORP$616,212
121.16%
12,197,389
455.09%
9.37%
120.48%
RESTAURANT BRANDS INTL INC$603,825
-37.23%
15,084,3040.00%9.19%
-37.42%
BLACKSTONE GROUP INCNew $24,996548,5260.38%
PARK HOTELS RESORTS INCNew $5,362677,8880.08%
Portfolio Information
QuarterQ1 2020
Total value$6,572,994,000
Holdings10
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