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Name | Symbol | Market | Type |
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Vanguard Short Term Bond | AMEX:BSV | AMEX | Exchange Traded Fund |
Price Change | % Change | Price | High Price | Low Price | Open Price | Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.195 | 0.25% | 77.515 | 77.5199 | 77.38 | 77.49 | 238,624 | 15:08:48 |
DJ CFA SOURCE: SEC 13F-HR FILER: Chilton Investment Co. LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
The following sets forth up to 200 of the largest holdings of Chilton Investment Co. LLC as of Sep. 30, according to a Form 13F filed with the Securities and Exchange Commission.
As of Sep. 30, Chilton Investment Co. LLC held 145 positions valued at $3,600,085,149.
Up to 200 of the largest holdings of Chilton Investment Co. LLC are listed below in order of dollar value as of Sep. 30.
Company Name Value Holdings Change W R GRACE & CO COM $216,798,409 2,480,531 33,642 SHERWIN WILLIAMS CO COM $147,368,499 808,917 (87,402) DOLLAR GENERAL CORP COM $143,654,509 2,544,359 (549,441) COSTCO WHOLESALE CORP COM $102,243,895 887,765 52,781 AIRGAS INC COM $98,920,152 932,769 (236,819) FLEETCOR TECHNOLOGIES INC COM $94,555,175 858,344 209,069 HOME DEPOT INC COM $88,414,097 1,165,644 (190,648) ANHEUSER BUSCH INBEV SA ADR $84,871,056 855,555 (133,473) BROWN FORMAN CORP CL B NVTG $81,284,404 1,193,078 119,417 DIAGEO PLC ADR $80,055,317 629,960 22,384 MOODYS CORP COM $71,725,840 1,019,847 56,788 UNION PACIFIC CORP COM $70,644,127 454,771 47,788 WAL MART STORES INC COM $69,901,963 945,132 196,133 MASTERCARD INC CL A $69,285,576 102,984 6,462 UNITED PARCEL SERVICE INC CL $68,050,640 744,781 121,553 VERISK ANALYTICS INC CL A $64,330,862 990,315 38,233 LKQ CORP COM $63,993,048 2,007,940 (2,124,429) TIFFANY & CO COM $60,107,317 784,486 23,413 ECOLAB INC COM $58,666,107 594,027 91,901 NATIONAL OILWELL VARCO INC CO $57,503,723 736,189 (213,013) BECTON DICKINSON & CO COM $53,373,273 533,626 18,480 DOMINOS PIZZA INC COM $51,961,909 764,708 39,085 MSC INDUSTRIAL DIRECT INC CL $50,904,518 625,747 191,197 WELLS FARGO & CO COM $50,152,109 1,213,749 79,245 PIONEER NATURAL RESOURCES CO $50,146,035 265,604 (68,183) SCHLUMBERGER NV COM $49,635,523 561,742 (146,184) EOG RESOURCES INC COM $49,131,150 290,236 (75,869) COLGATE PALMOLIVE CO COM $44,837,442 756,112 (96,963) KKR & CO LP COM UNIT $44,497,438 2,162,169 (1,394,861) MICRON TECHNOLOGY INC COM $44,465,855 2,545,415 (1,711,831) WALT DISNEY CO COM $43,708,033 677,749 39,463 AVAGO TECHNOLOGIES LTD COM $43,142,078 1,001,441 (923,025) GENESCO INC COM $41,471,284 632,377 14,824 MCDONALDS CORP COM $41,110,437 427,299 (143,918) RANGE RESOURCES CORP COM $38,358,373 505,447 (133,568) OCCIDENTAL PETROLEUM CORP COM $36,866,265 394,123 (81,254) SPANSION INC CL A $36,396,063 3,607,142 (1,076,021) DOLLAR TREE INC COM $35,848,123 627,154 (216,137) HALLIBURTON CO COM $35,467,820 736,611 (143,192) CABOT OIL & GAS CORP CL A $34,940,514 936,241 (254,569) BALLY TECHNOLOGIES INC COM $33,783,313 468,822 468,822 * BAKER HUGHES INC COM $33,476,135 681,795 (137,357) TORO CO COM $31,519,522 579,936 579,936 * BERKSHIRE HATHAWAY INC CL B $30,313,073 267,052 8,437 SOUTHWESTERN ENERGY CO COM $29,802,023 819,187 (165,430) FLUOR CORP COM $29,671,782 418,148 (86,043) CHEVRON CORP COM $27,689,000 227,893 (164,847) AFC ENTERPRISES INC COM $27,464,882 630,073 (968,763) DSW INC CL A $27,209,742 318,914 (108,944) NORFOLK SOUTHERN CORP COM $26,822,505 346,768 213,108 CARMAX INC COM $25,568,458 527,511 527,511 * CF INDUSTRIES HOLDINGS INC CO $23,338,038 110,696 110,696 * ATMEL CORP COM $23,022,515 3,094,424 (1,423,837) GULFPORT ENERGY CORP COM $20,283,378 315,253 (63,695) COCA COLA CO COM $19,985,033 527,588 60,964 HELMERICH & PAYNE INC COM $18,537,070 268,848 (54,401) ROBERT HALF INTERNATIONAL INC $18,071,241 463,009 (61,021) MAXIM INTEGRATED PRODUCTS INC $18,052,193 605,372 605,372 * BLOUNT INTERNATIONAL INC COM $18,020,443 1,488,063 (543,797) BLACKSTONE GROUP LP UNIT $17,995,694 723,009 (287,736) ISHARES SILVER TRUST $15,324,403 733,225 733,225 * SUNCOR ENERGY INC COM $15,098,444 421,980 (83,202) CONCHO RESOURCES INC COM $14,113,745 129,710 (25,210) FREEPORT MCMORAN COPPER CL B $13,849,637 418,671 418,671 * GLOBE SPECIALTY METALS INC CO $13,563,081 880,148 (115,217) FIRST HORIZON NATIONAL CORP C $13,364,730 1,216,081 (1,223,496) EQT CORP COM $13,008,481 146,624 (28,825) AGRIUM INC COM $12,720,209 151,377 (168,561) APACHE CORP COM $12,588,460 147,856 147,856 * MONSANTO CO COM $11,947,130 114,469 (23,367) SIGNET JEWELERS LTD COM $11,814,154 164,887 28,301 FEDEX CORP COM $11,780,831 103,241 103,241 * DRYSHIPS INC ORD $11,617,767 3,281,855 321,199 MOSAIC CO COM $11,166,615 259,568 (522,434) LAZARD LTD ORD A $9,418,221 261,472 261,472 * ATHLON ENERGY INC COM $9,023,467 275,947 275,947 * CUMMINS INC COM $9,012,439 67,829 12,229 SUNTRUST BANKS INC COM $8,977,746 276,920 (223,161) DIANA SHIPPING INC COM $8,605,898 712,999 113,069 POTASH CORP OF SASKATCHEWAN C $8,179,751 261,501 (630,572) WELLS FARGO & CO PFCV 7.5%49 $8,049,021 7,076 1,215 DIAMONDBACK ENERGY INC COM $7,992,314 187,437 (41,389) MARKET VECTORS GOLD MINERS ETF $7,866,688 314,416 (75,646) PITNEY BOWES INC COM $7,562,893 415,772 415,772 * UNILEVER NV NY SH $7,239,939 191,939 (925,543) INFOBLOX INC COM $7,192,915 171,997 (124,501) SILVER SPRING NETWORKS INC CO $7,135,870 411,764 0 WALGREEN CO COM $6,711,012 124,740 (270) UNITED TECHNOLOGIES CORP COM $6,551,682 60,765 340 EXXON MOBIL CORP COM $6,429,425 74,726 337 CST BRANDS INC COM $6,131,082 205,741 205,741 * AUTOMATIC DATA PROCESSING INC $5,977,285 82,582 0 JOHNSON & JOHNSON COM $5,899,515 68,053 375 AIR PRODUCTS & CHEMICALS INC $5,800,179 54,426 10,572 WORLD FUEL SERVICES CORP COM $5,781,707 154,964 154,964 * PEPSICO INC COM $5,585,034 70,252 0 EMERSON ELECTRIC CO COM $5,372,688 83,040 0 PROCTER & GAMBLE CO COM $5,235,137 69,257 (5) UNITED TECHNOLOGIES CORP UNIT $5,231,793 80,750 400 PRAXAIR INC COM $5,203,530 43,287 386 TARGET CORP COM $5,147,511 80,455 (330) CHUBB CORP COM $4,916,619 55,082 0 PMC SIERRA INC COM $4,846,006 732,025 (1,138,462) PERICOM SEMICONDUCTOR CORP CO $4,470,640 573,159 17,674 NEOPHOTONICS CORP COM $4,408,830 596,594 6,552 MOUNTAIN PROVINCE DIAMONDS INC $4,090,202 777,605 (10,537) KELLOGG CO COM $3,440,756 58,586 0 LOWES COS INC COM $3,383,595 71,069 (55,774) GENERAL MILLS INC COM $3,227,220 67,346 0 MOLSON COORS BREWING CO CL B $3,046,651 60,775 0 INTERNATIONAL BUSINESS MACHINE $2,952,880 15,946 (96) NOAH HOLDINGS LTD ADR $2,665,648 156,343 3,243 IMAX CORP COM $2,324,881 76,881 (509,637) EAGLE BULK SHIPPING INC COM $2,106,275 293,353 (44,675) WYNN RESORTS LTD COM $2,027,900 12,834 157 MERCK & CO INC COM $1,490,876 31,315 (1,435) VISA INC CL A $1,464,399 7,663 (1,233) FRANKLIN RESOURCES INC COM $1,304,948 25,815 15,195 YUM BRANDS INC COM $1,219,056 17,076 (152,925) SONOCO PRODUCTS CO COM $764,976 19,645 85 AVALON RARE METALS INC COM $627,555 660,584 0 SANOFI AVENTIS ADR $601,535 11,881 11,881 * COGNIZANT TECHNOLOGY SOLUTIONS $537,065 6,540 437 OIL STATES INTERNATIONAL INC $443,843 4,290 4,290 *
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