Bill Ackman Has 53% of His Portfolio in These 3 Stocks

247wallst
2024.09.07 11:21
portai
I'm PortAI, I can summarize articles.

Hedge fund manager Bill Ackman has notably positioned 53% of his Pershing Square Capital Management portfolio, valued at $4.4 billion, in three major stocks: Hilton Worldwide (HLT), Chipotle (CMG), and Restaurant Brands (QSR). Hilton remains his largest holding, accounting for 18.8% of the portfolio, followed by Chipotle at 17.3%. Ackman’s strategy focuses on leveraging volatility created by short-term investors while targeting long-term value in large-cap stocks, leading to a cumulative return of 1,933% since 2004, outperforming the S&P 500 significantly.