13F filing recap · Q4 2010
What did Cantillon Capital Management buy in Q4 2010?
Reported stock-position changes between this filing and the previous one.
Stock value
$1.37B
Positions
15
Estimated turnover
48.0%
Turnover is a proxy: verified trade-origin share changes valued at period-end and divided by average reported stock value. SEC holdings reports do not disclose execution dates or prices. Corporate actions and unreconciled activity are excluded.
Increased positions
WTWWillis Towers Watson Plc$174.22Mreported value+1.28M shares+34.0%KOCoca Cola Co$168.44Mreported value+650.8K shares+34.1%BBDBank Bradesco$152.50Mreported value+991.1K shares+15.2%ORCLOracle Corporation$151.79Mreported value+655.2K shares+15.6%ADIAnalog Devices, Inc.$139.43Mreported value+1.54M shares+71.3%GOOGLAlphabet Inc.$127.85Mreported value+28.7K shares+15.4%PMPhilip Morris International Inc.$88.35Mreported value+198.8K shares+15.2%CLColgate-Palmolive Company$78.18Mreported value+129.1K shares+15.3%BAPCredicorp Ltd$72.44Mreported value+78.4K shares+14.8%SLHSolera Holdings Inc$64.10Mreported value+163.8K shares+15.1%ABVCompanhia De Bebidas Das Americas (ambev)$44.98Mreported value+1.20M shares+472.5%