Bill Ackman - Pershing Square Capital Management,
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    11
Portfolio value:    $13,714,299,861
Holdings Activity Buys Sells    History
History Stock Activity Share change % change to portfolio
Q1 2026
AMZN - Amazon.com Inc. Add 19.19% 1,844,157 2.80
MSFT - Microsoft Corp. Buy 5,654,078 15.26
Q4 2025
AMZN - Amazon.com Inc. Add 64.99% 3,784,508 5.62
BN - Brookfield Corp. Add 49.69% 20,382,858 6.02
META - Meta Platforms Inc. Buy 2,673,569 11.37
Q2 2025
GOOGL - Alphabet Inc. Add 20.84% 925,000 1.19
HTZ - Hertz Global Hldgs Inc. Add 1.61% 241,127 0.01
HLT - Hilton Worldwide Holdings Add 0.99% 29,808 0.06
BN - Brookfield Corp. Add 0.38% 155,740 0.07
AMZN - Amazon.com Inc. Buy 5,823,316 9.31
Q1 2025
BN - Brookfield Corp. Add 17.52% 6,111,593 2.68
GOOGL - Alphabet Inc. Add 11.33% 451,492 0.58
UBER - Uber Technologies Inc. Buy 30,301,161 18.50
HTZ - Hertz Global Hldgs Inc. Buy 15,000,000 0.50
Q4 2024
SEG - Seaport Entertainment Group Add 139.84% 2,929,107 0.65
NKE - NIKE Inc. Add 15.29% 2,488,608 1.49
BN - Brookfield Corp. Add 6.59% 2,157,181 0.98
Q3 2024
NKE - NIKE Inc. Add 435.51% 13,240,206 9.06
BN - Brookfield Corp. Add 377.58% 25,881,373 10.65
SEG - Seaport Entertainment Group Buy 2,094,673 0.44
SEG-R - Seaport Entmt Group Inc Buy 2,094,673 0.05
Q2 2024
CMG - Chipotle Mexican Grill Inc Add 3,773.09% 28,071,181 16.89
BN - Brookfield Corp. Buy 6,854,510 2.73
NKE - NIKE Inc. Buy 3,040,132 2.20
Q4 2023
HHH - Howard Hughes Holdings Inc. Add 12.17% 2,045,156 1.68
Q3 2023
GOOGL - Alphabet Inc. Add 99.31% 2,169,824 2.71
HLT - Hilton Worldwide Holdings Add 10.42% 972,647 1.39
HHH - Howard Hughes Holdings Inc. Buy 16,806,908 11.87
Q2 2023
GOOG - Alphabet Inc. CL C Add 16.20% 1,307,425 1.46
HHC - Howard Hughes Corp Add 3.66% 585,696 0.43
HLT - Hilton Worldwide Holdings Add 0.36% 33,812 0.05
CP - Canadian Pacific Kansas City Ltd. Buy 15,095,528 11.27
Q1 2023
HHC - Howard Hughes Corp Add 0.56% 89,397 0.08
GOOG - Alphabet Inc. CL C Buy 8,069,770 9.28
GOOGL - Alphabet Inc. Buy 2,185,000 2.51
Q4 2022
HHC - Howard Hughes Corp Add 16.70% 2,274,971 2.27
Q3 2022
LOW - Lowe's Cos. Add 1.64% 167,495 0.46
QSR - Restaurant Brands International Inc. Add 1.56% 371,525 0.29
HLT - Hilton Worldwide Holdings Add 1.24% 122,978 0.22
Q1 2022
NFLX - Netflix Inc. Buy 3,109,965 11.48
Q3 2021
CMG - Chipotle Mexican Grill Inc Add 2.63% 28,589 0.55
DPZ - Dominos Pizza Inc. Add 2.60% 53,032 0.27
HHC - Howard Hughes Corp Add 1.11% 150,156 0.14
QSR - Restaurant Brands International Inc. Add 1.01% 240,331 0.16
HLT - Hilton Worldwide Holdings Add 0.98% 125,307 0.17
LOW - Lowe's Cos. Add 0.95% 95,951 0.21
Q2 2021
DPZ - Dominos Pizza Inc. Add 0.17% 3,466 0.02
Q1 2021
HHC - Howard Hughes Corp Add 23.37% 2,552,000 2.32
DPZ - Dominos Pizza Inc. Buy 2,035,704 7.16
Q2 2020
QSR - Restaurant Brands International Inc. Add 66.52% 10,034,712 7.07
LOW - Lowe's Cos. Add 3.73% 456,439 0.80
Q1 2020
HHC - Howard Hughes Corp Add 455.09% 10,000,000 7.68
A - Agilent Technologies Add 288.74% 9,378,479 10.22
SBUX - Starbucks Corp. Add 85.62% 4,673,054 4.67
LOW - Lowe's Cos. Add 42.25% 3,639,202 4.76
BRK.B - Berkshire Hathaway CL B Add 35.80% 1,437,766 4.00
HLT - Hilton Worldwide Holdings Add 30.62% 3,232,784 3.36
BX - Blackstone Group Buy 548,526 0.38
PK - Park Hotels & Resorts Inc. Buy 677,888 0.08
Q4 2019
HHC - Howard Hughes Corp Add 83.91% 1,002,596 1.94
A - Agilent Technologies Buy 3,248,114 4.23
Q3 2019
BRK.B - Berkshire Hathaway CL B Add 14.31% 502,597 1.67
Q2 2019
BRK.B - Berkshire Hathaway CL B Buy 3,512,997 11.16
Q1 2019
UTX - United Technologies Corp Add 4.32% 241,000 0.46
HLT - Hilton Worldwide Holdings Add 0.17% 18,772 0.02
Q4 2018
LOW - Lowe's Cos. Add 13.01% 1,097,790 1.83
UTX - United Technologies Corp Add 12.74% 630,415 1.21
ADP - Automatic Data Processing Inc. Add 1.01% 40,699 0.10
HLT - Hilton Worldwide Holdings Buy 10,947,479 14.19
SBUX - Starbucks Corp. Buy 11,754,441 13.67
Q3 2018
LOW - Lowe's Cos. Add 9.37% 723,300 1.77
UTX - United Technologies Corp Add 8.97% 407,173 1.21
Q2 2018
UTX - United Technologies Corp Add 133.52% 2,596,195 6.08
MDLZ - Mondelez International Add 1.33% 215,122 0.17
LOW - Lowe's Cos. Buy 7,715,501 13.82
Q1 2018
UTX - United Technologies Corp Buy 1,944,420 5.51
Q4 2017
MDLZ - Mondelez International Add 66.98% 9,328,957 7.30
NKE - NIKE Inc. Buy 5,836,020 6.67
Q3 2017
ADP - Automatic Data Processing Inc. Add 402.52% 7,047,575 16.52
Q2 2017
HHC - Howard Hughes Corp Add 31.85% 1,136,517 2.54
ADP - Automatic Data Processing Inc. Buy 1,750,867 3.26
Q4 2016
CMG - Chipotle Mexican Grill Inc Add 420.10% 2,328,250 16.72
Q3 2016
CMG - Chipotle Mexican Grill Inc Buy 554,213 5.17
Q1 2016
QSR - Restaurant Brands International Inc. Add 3.02% 1,146,567 0.73
NOMD - Nomad Foods Ltd Buy 33,333,334 4.95
Q3 2015
MDLZ - Mondelez International Buy 43,366,342 22.89
Q1 2015
ZTS - Zoetis Inc. Add 0.61% 253,499 0.16
ACT-W - Actavis Plc Buy 1,348,358 5.38
Q4 2014
ZTS - Zoetis Inc. Add 650.78% 36,032,784 12.54
QSR - Restaurant Brands International Inc. Buy 38,003,984 12.00
Q3 2014
ZTS - Zoetis Inc. Buy 5,536,862 2.11
Q2 2014
AG4 - Allergan Inc Add 4,733.79% 28,281,107 52.37
Q1 2014
AG4 - Allergan Inc Buy 597,431 1.47
HME - Home Properties Inc Buy 473,778 0.56
Q4 2013
BKW - Burger King Worldwide Inc Add 0.04% 15,745 0.01
APD - Air Products & Chemicals Add 0.02% 3,792 0.01
Q3 2013
APD - Air Products & Chemicals Add 103.51% 10,449,576 20.12
Q2 2013
APD - Air Products & Chemicals Buy 10,095,708 15.17
BKW - Burger King Worldwide Inc Buy 38,372,120 12.28
MATX - Matson Inc Buy 202,913 0.08
Q1 2013
MDLZ - Mondelez International Buy 5,978,956 3.00
Q3 2012
PG - Procter & Gamble Add 13.52% 4,095,684 4.55
GGP* - General Growth Pptys Inc New Add 3.46% 2,500,000 0.78
Q2 2012
PG - Procter & Gamble Buy 30,303,908 33.18
Q4 2011
BJM - Beam Inc Buy 20,818,545 22.09
FBIN - Fortune Brands Innovations Inc. Buy 20,818,545 7.34
Q3 2011
KFT - Kraft Foods Inc Cl A Add 13.28% 2,952,344 2.98
LOW - Lowe's Cos. Buy 21,240,301 12.35
Q2 2011
GGP* - General Growth Pptys Inc New Add 0.60% 430,859 0.20
Q1 2011
KFT - Kraft Foods Inc Cl A Add 14.22% 2,769,176 2.43
GGP* - General Growth Pptys Inc New Add 2.63% 1,837,067 0.79
Q4 2010
JCP* - Penney J C Inc Add 148.70% 23,363,777 18.52
GGP* - General Growth Pptys Inc New Buy 69,965,786 26.57
GM - General Motors Buy 7,187,740 6.50
HHC - Howard Hughes Corp Buy 3,568,017 4.76
Q3 2010
JCP* - Penney J C Inc Buy 15,711,994 18.08
Q2 2010
KFT - Kraft Foods Inc Cl A Add 2.59% 850,000 1.07
Q1 2010
KFT - Kraft Foods Inc Cl A Buy 32,800,959 42.21
Q4 2009
CXW* - Corrections Corp Amer New Com Add 48.68% 3,581,052 6.24
H - Hyatt Hotels Corp. Buy 2,766,958 5.86
LNY - Landrys Restaurants Inc Buy 1,554,255 2.35
Q3 2009
CXW* - Corrections Corp Amer New Com Buy 7,355,620 6.89
Q2 2009
EMC - E M C Corp Mass Add 0.10% 59,747 0.04
Q1 2009
BGPIQ - Borders Group Inc Add 0.00% 100 0.00
Q4 2008
V - Visa Inc. Add 163.93% 4,431,990 10.67
TGT - Target Corp. Add 33.05% 7,146,055 11.33
EMC - E M C Corp Mass Add 0.01% 3,302 0.00
ALX - Alexander's Inc. Buy 8,205 0.10
Q3 2008
LDG - Longs Drug Stores Corp Add 3,558.78% 3,051,902 6.42
TGT - Target Corp. Add 10.20% 2,000,800 2.73
2777284Z - Dr Pepper Snapple Group Inc Add 3.51% 749,642 0.55
EMC - E M C Corp Mass Buy 58,615,731 19.50
FTU - Wachovia Corp New Buy 96,599,975 9.41
V - Visa Inc. Buy 2,703,618 4.62
AAIG - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- AMERICAN INTL GROUP INC Buy 33,495,568 3.10
MA - Mastercard Inc. Buy 569,924 2.81
Q2 2008
MBI - MBIA Inc. Add 1,228.77% 807,300 0.15
3022239Q - Wendys Intl Inc Add 83.19% 5,942,901 6.59
GLRE - Greenlight Capital Re Ltd Class A Add 0.04% 95 0.00
2777284Z - Dr Pepper Snapple Group Inc Buy 21,379,268 18.28
LDG - Longs Drug Stores Corp Buy 85,757 0.15
CDSCY - Cadbury Plc Spons Buy 22,644 0.05
Q1 2008
TGT - Target Corp. Add 216.93% 16,430,689 35.62
SHLDQ - Sears Hldgs Corp Add 9.70% 596,568 2.61
3022239Q - Wendys Intl Inc Buy 7,144,099 7.05
Q4 2007
TGT - Target Corp. Add 112.76% 4,014,200 14.84
BGPIQ - Borders Group Inc Add 54.59% 3,742,300 2.95
SHLDQ - Sears Hldgs Corp Add 23.00% 1,150,000 8.69
ABKFQ - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- AMBAC FINL GROUP INC Buy 1,000,000 0.09
MBI - MBIA Inc. Buy 697,700 0.04
Q3 2007
TGT - Target Corp. Add 112.15% 1,882,000 6.17
SHLDQ - Sears Hldgs Corp Buy 5,000,000 32.89
GLRE - Greenlight Capital Re Ltd Class A Buy 250,000 0.26
Q2 2007
0860320D - Ceridian Corp New Add 4.38% 900,000 2.08
SPLS* - Staples Inc Buy 10,337,893 16.22
TGT - Target Corp. Buy 1,678,060 7.06
IYR - Ishares Tr Dj Us Real Est Buy 356,100 1.82
Q1 2007
0860320D - Ceridian Corp New Add 30.58% 4,808,400 15.05
BKS - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- BARNES & NOBLE INC Add 18.68% 1,029,600 3.65
Q4 2006
BGPIQ - Borders Group Inc Add 32.80% 1,693,066 4.66
BKS - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- BARNES & NOBLE INC Add 4.74% 249,200 1.22
0860320D - Ceridian Corp New Buy 15,724,334 54.18
Q3 2006
3022239Q - Wendys Intl Inc Add 388.03% 5,105,312 39.32
BKS - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- BARNES & NOBLE INC Add 244.32% 3,733,539 16.28
BGPIQ - Borders Group Inc Buy 5,162,514 12.11
BDK - Black & Decker Corp Buy 1,305,833 11.91
Q2 2006
BKS - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- BARNES & NOBLE INC Buy 1,528,112 33.63
Q1 2006
3022239Q - Wendys Intl Inc Add 31.19% 416,750 3.86
SHLDQ - Sears Hldgs Corp Add 28.96% 351,557 6.92
HNZ - Heinz H J Co Buy 3,388,595 19.19
VIAB - Viacom Inc New Buy 3,285,453 19.04
KSS - Kohls Corp Buy 1,276,749 10.11
Q4 2005
SHLDQ - Sears Hldgs Corp Buy 1,213,897 38.59
3022239Q - Wendys Intl Inc Buy 1,336,000 20.31
ODP - Office Depot Inc Buy 2,277,970 19.68
0910150D - NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE - ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- HILTON HOTELS CORP Buy 2,120,785 14.07
0062761Q - Sizeler Ppty Invs Inc Buy 2,077,602 7.35