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Latest William Allan Corp Stock Portfolio

$150Million

Equity Portfolio Value
Last Reported on: 08 May, 2024

About William Allan Corp and it’s 13F Hedge Fund Stock Holdings

William Allan Corp is a hedge fund based in FORT COLLINS, CO. On 31-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $146.6 Millions. In it's latest 13F Holdings report, William Allan Corp reported an equity portfolio of $150.6 Millions as of 31 Mar, 2024.

The top stock holdings of William Allan Corp are AMAT, MA, AAPL. The fund has invested 7.5% of it's portfolio in APPLIED MATLS INC and 5.4% of portfolio in MASTERCARD INCORPORATED.

They significantly reduced their stock positions in MCCORMICK & CO INC (MKC), BROWN FORMAN CORP and DISNEY WALT CO (DIS). William Allan Corp opened new stock positions in DOMINOS PIZZA INC (DPZ) and ALTRIA GROUP INC (MO). The fund showed a lot of confidence in some stocks as they added substantially to WALMART INC (WMT), STRYKER CORPORATION (SYK) and LOCKHEED MARTIN CORP (LMT).

New Buys

Ticker$ Bought
DOMINOS PIZZA INC1,298,000
ALTRIA GROUP INC206,000

New stocks bought by William Allan Corp

Additions

Ticker% Inc.
WALMART INC193
STRYKER CORPORATION11.01
LOCKHEED MARTIN CORP8.39
LAUDER ESTEE COS INC6.31
3M CO5.92
UNITED PARCEL SERVICE INC3.22
BERKSHIRE HATHAWAY INC DEL2.57
PEPSICO INC2.48

Additions to existing portfolio by William Allan Corp

Reductions

Ticker% Reduced
MCCORMICK & CO INC-7.89
BROWN FORMAN CORP-3.12
DISNEY WALT CO-1.29
SOUTHERN CO-0.7
INTEL CORP-0.57
APPLIED MATLS INC-0.55
GE HEALTHCARE TECHNOLOGIES I-0.54
VERIZON COMMUNICATIONS INC-0.51

William Allan Corp reduced stake in above stock

Sold off

None of the stocks were completely sold off by William Allan Corp

Current Stock Holdings of William Allan Corp

Last Reported on: 08 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC5.2045,6207,823,000ADDED1.99
ADBEADOBE INC1.323,9451,990,000ADDED1.52
ADPAUTOMATIC DATA PROCESSING IN3.6221,8155,448,000ADDED1.13
AMATAPPLIED MATLS INC7.4854,65111,271,000REDUCED-0.55
AMZNAMAZON COM INC2.2718,9423,417,000ADDED2.01
AXPAMERICAN EXPRESS CO2.2414,8013,370,000ADDED0.03
BBYBEST BUY INC1.4526,5492,178,000ADDED0.99
CHECHEMED CORP NEW3.197,4944,811,000ADDED0.96
COSTCOSTCO WHSL CORP NEW4.058,3316,104,000REDUCED-0.31
DHID R HORTON INC3.2930,0684,948,000REDUCED-0.08
DISDISNEY WALT CO2.7233,5064,100,000REDUCED-1.29
DPZDOMINOS PIZZA INC0.862,6131,298,000NEW
ELLAUDER ESTEE COS INC0.585,640869,000ADDED6.31
GDGENERAL DYNAMICS CORP1.648,7572,474,000ADDED0.89
GOOGALPHABET INC3.7437,2985,629,000REDUCED-0.14
GRMNGARMIN LTD0.959,6181,432,000ADDED2.16
HDHOME DEPOT INC3.7014,5265,572,000REDUCED-0.36
INTCINTEL CORP2.0971,2473,147,000REDUCED-0.57
INTUINTUIT1.844,2682,774,000REDUCED-0.47
KOCOCA COLA CO0.5413,326815,000UNCHANGED0.00
LMTLOCKHEED MARTIN CORP1.123,7191,691,000ADDED8.39
LULULULULEMON ATHLETICA INC1.274,8961,913,000ADDED0.76
MAMASTERCARD INCORPORATED5.3616,7728,077,000REDUCED-0.39
MKCMCCORMICK & CO INC0.489,436725,000REDUCED-7.89
MMM3M CO0.425,962632,000ADDED5.92
MOALTRIA GROUP INC0.144,731206,000NEW
MRKMERCK & CO INC0.252,866378,000REDUCED-0.21
MSFTMICROSOFT CORP3.6713,1265,522,000ADDED2.22
NKENIKE INC2.3838,1853,589,000REDUCED-0.32
NVONOVO-NORDISK A S0.364,178536,000UNCHANGED0.00
OREALTY INCOME CORP0.4211,565626,000ADDED0.92
OTISOTIS WORLDWIDE CORP3.0946,8724,653,000ADDED0.12
PAYXPAYCHEX INC3.0737,6244,620,000REDUCED-0.16
PEPPEPSICO INC1.4512,4642,181,000ADDED2.48
SBUXSTARBUCKS CORP3.1551,9604,749,000REDUCED-0.19
SCHWSCHWAB CHARLES CORP2.4350,5343,656,000ADDED2.04
SCISERVICE CORP INTL1.1723,8071,767,000ADDED1.43
SOSOUTHERN CO0.408,483609,000REDUCED-0.7
SPGSIMON PPTY GROUP INC NEW0.161,510236,000UNCHANGED0.00
SYKSTRYKER CORPORATION0.702,9441,054,000ADDED11.01
UPSUNITED PARCEL SERVICE INC2.6927,2954,057,000ADDED3.22
VVISA INC2.8815,5334,335,000ADDED1.82
VEEVVEEVA SYS INC1.7511,3802,637,000ADDED0.41
VZVERIZON COMMUNICATIONS INC0.248,588360,000REDUCED-0.51
WMTWALMART INC3.4485,9935,174,000ADDED193
ZTSZOETIS INC1.4012,4252,102,000ADDED1.84
BROWN FORMAN CORP1.4843,2892,235,000REDUCED-3.12
GE HEALTHCARE TECHNOLOGIES I1.3522,3492,032,000REDUCED-0.54
BERKSHIRE HATHAWAY INC DEL0.501,798756,000ADDED2.57