Bill Nygren Holdings Activity

Oakmark Select Fund Portfolio 13F

Oakmark Select Fund has disclosed a total of 18 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 9, bought 2 totally new, decreased the number of shares of 5 and completely sold out 2 position(s).

What stocks is Bill Nygren buying now?

In the recent quarter Bill Nygren has bought 11 securities out of which top 5 purchases (by % change to portfolio) are (MMC) MARSH & MCLENNAN COS (new buy), (CRM) SALESFORCECOM INC (added shares +62.74%), (IT) GARTNER INC (new buy), (ICLR) ICON PLC (added shares +115.06%) and (CNC) CENTENE CORP (added shares +64.84%).

What does Bill Nygren invest in?

Bill Nygren's top 5 holdings (by % of portfolio) are (CRM) SALESFORCECOM INC (7.67%), (KDP) KEURIG DR PEPPER INC (7.03%), (FCNCA) FIRST CITIZENS BCSHS -CL A (6.7%), (IQV) IQVIA HOLDINGS INC (5.56%) and (ICE) INTERCONTINENTAL EXCHANGE IN (5.49%).

In the latest report(s) the following changes have been made to the top investments: (CRM) SALESFORCECOM INC (added shares +62.74%), (KDP) KEURIG DR PEPPER INC (added shares +16.05%), (FCNCA) FIRST CITIZENS BCSHS -CL A (reduced shares -3.76%) and (IQV) IQVIA HOLDINGS INC (added shares +11.39%).

2022 Q3 (22 results)
CRM
buy
+1,205,000
+4.31%
$143.84
12.42% $161.71
4.31%
WBD
buy
+11,000,000
+3.15%
$11.50
131.30% $26.60
3.15%
WFC
buy
+3,000,000
+3.00%
$40.22
111.46% $85.05
3.00%
KKR
buy
+5,000,000
+5.35%
$43.00
130.16% $98.97
5.35%
CHTR
+27.73%
+155,000
+1.17%
$303.35
53.26% $141.78
5.39%
C
+24.93%
+1,000,000
+1.04%
$41.67
-
5.20%
COF
+19.74%
+325,000
+0.75%
$92.17
117.66% $200.62
4.52%
AMZN
+11.54%
+150,000
+0.42%
$113.00
117.70% $246.00
4.08%
META
+9.45%
+120,000
+0.41%
$135.68
342.37% $600.21
0.00%
FCNCB
+8.61%
+1,222
+0.02%
$714.00
157.70% $1,840.00
0.27%
HCA
+4.73%
+35,000
+0.16%
$183.79
115.97% $396.93
3.55%
LAD
+3.90%
+30,000
+0.16%
$214.55
43.32% $307.50
4.27%
CBRE
-5.01%
-190,000
-0.32%
$67.51
100.67% $135.47
6.05%
LEA
-11.65%
-134,000
-0.40%
$119.69
18.36% $141.67
0.00%
FISV
-13.20%
-303,688
-0.71%
$93.57
46.75% $49.83
4.65%
GOOGL
-13.39%
-562,000
-1.34%
$95.65
290.22% $373.25
8.65%
NFLX
-18.95%
-230,300
-1.35%
$235.44
66.56% $78.72
5.77%
APA
-37.43%
-1,700,000
-1.45%
$34.19
0.20% $34.26
2.42%
AIG
-37.83%
-1,290,000
-1.52%
$47.48
58.40% $75.21
0.00%
GE
-100.00%
-2,252,700
-3.57%
$63.67
-
0.00%
BKNG
-100.00%
-78,800
-3.43%
$1,748.99
89.95% $175.72
0.00%
BAC
-100.00%
-5,961,900
-4.62%
$31.13
82.59% $56.84
0.00%
2022 Q2 (20 results)
AMZN
buy
+1,300,000
+3.30%
$106.21
131.62% $246.00
3.30%
NFLX
+89.56%
+574,200
+2.40%
$174.87
54.98% $78.72
5.08%
BAC
+77.34%
+2,600,000
+1.93%
$31.13
82.59% $56.84
0.00%
META
+67.11%
+510,000
+1.97%
$161.25
272.22% $600.21
4.89%
CHTR
+30.31%
+130,000
+1.46%
$468.53
69.74% $141.78
6.26%
GE
+28.53%
+500,000
+0.76%
$63.67
-
0.00%
GOOGL
+22.12%
+760,000
+1.98%
$108.96
242.55% $373.25
10.93%
FCNCA
+13.79%
+40,000
+0.62%
$653.78
220.42% $2,094.87
5.16%
LAD
+12.31%
+84,416
+0.55%
$274.81
11.90% $307.50
5.06%
COF
+11.29%
+167,000
+0.42%
$104.19
92.55% $200.62
4.10%
HCA
+5.34%
+37,500
+0.15%
$168.06
136.18% $396.93
2.97%
C
+1.78%
+69,990
+0.08%
$45.99
-
4.41%
BKNG
-3.90%
-3,200
-0.13%
$1,748.99
89.95% $175.72
0.00%
CBRE
-5.65%
-227,000
-0.40%
$73.61
84.04% $135.47
6.67%
EOG
-12.75%
-209,000
-0.55%
$110.44
19.57% $132.05
3.78%
APA
-18.16%
-1,008,000
-0.84%
$34.90
1.83% $34.26
3.79%
HUM
-100.00%
-97,000
-1.01%
$435.17
15.09% $369.49
0.00%
REGN
-100.00%
-224,000
-3.74%
$698.42
11.98% $614.73
0.00%
HLT
-100.00%
-196,475
-0.71%
$151.74
-
0.00%
STZ
-100.00%
-909,600
-5.01%
$230.32
37.43% $144.11
0.00%
42 of 439

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.