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Latest Savoir Faire Capital Management, L.P. Stock Portfolio

$217Million

Equity Portfolio Value
Last Reported on: 09 May, 2024

About Savoir Faire Capital Management, L.P. and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Savoir Faire Capital Management, L.P. reported an equity portfolio of $217.1 Millions as of 31 Mar, 2024.

The top stock holdings of Savoir Faire Capital Management, L.P. are DG, HSY, TGT. The fund has invested 6% of it's portfolio in DOLLAR GEN CORP NEW and 4.8% of portfolio in HERSHEY CO.

The fund managers got completely rid off MOLSON COORS BEVERAGE CO (TAP), POST HLDGS INC (POST) and YUM BRANDS INC (YUM) stocks. They significantly reduced their stock positions in CONAGRA BRANDS INC (CAG), WENDYS CO (WEN) and MCDONALDS CORP (MCD). Savoir Faire Capital Management, L.P. opened new stock positions in STARBUCKS CORP (SBUX), AMAZON COM INC (AMZN) and COTY INC (COTY). The fund showed a lot of confidence in some stocks as they added substantially to YUM CHINA HLDGS INC (YUMC), POOL CORP (POOL) and BJS WHSL CLUB HLDGS INC (BJ).

New Buys

Ticker$ Bought
STARBUCKS CORP4,541,440
AMAZON COM INC3,674,160
COTY INC3,492,320
BURLINGTON STORES INC3,204,220
E L F BEAUTY INC3,065,910
CELSIUS HLDGS INC1,824,240
LAUDER ESTEE COS INC1,615,490
MONSTER BEVERAGE CORP NEW1,354,250

New stocks bought by Savoir Faire Capital Management, L.P.

Additions to existing portfolio by Savoir Faire Capital Management, L.P.

Reductions

Ticker% Reduced
CONAGRA BRANDS INC-78.92
WENDYS CO-62.25
MCDONALDS CORP-61.05
TEXAS ROADHOUSE INC-52.32
SHAKE SHACK INC-51.43
ALTRIA GROUP INC-43.74
COSTCO WHSL CORP NEW-38.67
CLOROX CO DEL-33.61

Savoir Faire Capital Management, L.P. reduced stake in above stock

Sold off

Ticker$ Sold
WK KELLOGG CO-1,744,220
MOLSON COORS BEVERAGE CO-5,579,540
HARLEY DAVIDSON INC-1,869,810
POST HLDGS INC-4,226,000
YUM BRANDS INC-4,047,580
POLARIS INC-1,003,330
VAIL RESORTS INC-953,144

Savoir Faire Capital Management, L.P. got rid off the above stocks

Current Stock Holdings of Savoir Faire Capital Management, L.P.

Last Reported on: 09 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AMZNAMAZON COM INC1.6920,3693,674,160NEW
AZOAUTOZONE INC3.272,2537,100,670REDUCED-14.46
BGSB & G FOODS INC NEW2.02384,1044,394,150REDUCED-0.71
BJBJS WHSL CLUB HLDGS INC2.6776,5255,789,120ADDED41.84
BUDANHEUSER BUSCH INBEV SA/NV1.9268,6504,172,550REDUCED-23.4
BURLBURLINGTON STORES INC1.4813,8003,204,220NEW
CAGCONAGRA BRANDS INC0.6245,4401,346,840REDUCED-78.92
CCLCARNIVAL CORP0.2025,861422,569REDUCED-14.43
CELHCELSIUS HLDGS INC0.8422,0001,824,240NEW
CHHCHOICE HOTELS INTL INC1.6929,0373,668,820REDUCED-29.07
CLCOLGATE PALMOLIVE CO2.7566,3535,975,090REDUCED-14.44
CLXCLOROX CO DEL3.0543,2806,626,600REDUCED-33.61
COSTCOSTCO WHSL CORP NEW1.444,2773,133,460REDUCED-38.67
COTYCOTY INC1.61292,0003,492,320NEW
CPBCAMPBELL SOUP CO1.8891,7744,079,350REDUCED-14.44
CZRCAESARS ENTERTAINMENT INC NE0.3819,050833,247REDUCED-14.44
DGDOLLAR GEN CORP NEW5.9783,02212,956,400ADDED6.11
DRIDARDEN RESTAURANTS INC1.6621,5303,598,740REDUCED-28.62
ELLAUDER ESTEE COS INC0.7410,4801,615,490NEW
ELFE L F BEAUTY INC1.4115,6403,065,910NEW
FRPTFRESHPET INC0.397,360852,730NEW
GISGENERAL MLS INC3.81118,0578,260,450ADDED35.75
HGVHILTON GRAND VACATIONS INC0.5123,2711,098,620REDUCED-14.44
HLTHILTON WORLDWIDE HLDGS INC2.4725,1665,368,160REDUCED-14.44
HOGHARLEY DAVIDSON INC0.000.000.00SOLD OFF-100
HSYHERSHEY CO4.7853,32510,371,700ADDED23.41
KKELLANOVA2.2284,0714,816,430REDUCED-31.55
KHCKRAFT HEINZ CO3.42200,9787,416,090REDUCED-14.44
KMBKIMBERLY-CLARK CORP1.3823,1032,988,370REDUCED-14.46
KOCOCA COLA CO3.12110,8796,783,580REDUCED-14.44
LWLAMB WESTON HLDGS INC0.5912,0001,278,360NEW
MARMARRIOTT INTL INC NEW1.119,5872,418,900REDUCED-14.44
MCDMCDONALDS CORP1.3910,7233,023,350REDUCED-61.05
MNSTMONSTER BEVERAGE CORP NEW0.6222,8451,354,250NEW
MOALTRIA GROUP INC1.6582,1433,583,080REDUCED-43.74
MTNVAIL RESORTS INC0.000.000.00SOLD OFF-100
NWLNEWELL BRANDS INC0.63171,3291,375,770REDUCED-4.41
ORLYOREILLY AUTOMOTIVE INC2.114,0584,581,000ADDED13.54
PEPPEPSICO INC3.7947,0628,236,320REDUCED-14.44
PIIPOLARIS INC0.000.000.00SOLD OFF-100
POOLPOOL CORP2.6114,0495,668,770ADDED45.93
POSTPOST HLDGS INC0.000.000.00SOLD OFF-100
PZZAPAPA JOHNS INTL INC1.2440,4232,692,170ADDED34.17
SBUXSTARBUCKS CORP2.0949,6934,541,440NEW
SHAKSHAKE SHACK INC0.6413,3821,392,130REDUCED-51.43
SIXSIX FLAGS ENTMT CORP NEW1.48121,8943,208,250ADDED29.44
STZCONSTELLATION BRANDS INC2.6120,8425,664,020REDUCED-0.75
TAPMOLSON COORS BEVERAGE CO0.000.000.00SOLD OFF-100
TGTTARGET CORP4.4654,5829,672,480REDUCED-14.45
TJXTJX COS INC NEW1.4931,8383,229,010REDUCED-14.43
TXRHTEXAS ROADHOUSE INC1.5321,5323,326,050REDUCED-52.32
ULTAULTA BEAUTY INC1.415,8463,056,760REDUCED-14.44
VFCV F CORP1.92271,1324,159,160ADDED6.33
WENWENDYS CO0.7182,2161,548,950REDUCED-62.25
WHWYNDHAM HOTELS & RESORTS INC1.7449,2953,783,390REDUCED-0.65
WYNNWYNN RESORTS LTD0.4810,2281,045,610REDUCED-14.44
YUMYUM BRANDS INC0.000.000.00SOLD OFF-100
YUMCYUM CHINA HLDGS INC2.43132,5285,273,290ADDED86.66
BROWN FORMAN CORP1.8778,4814,051,190REDUCED-26.46
WK KELLOGG CO0.000.000.00SOLD OFF-100