WLC

Wing Lake Capital Portfolio holdings

AUM $175M
This Quarter Return
-2.22%
1 Year Return
+20.43%
3 Year Return
5 Year Return
10 Year Return
AUM
$175M
AUM Growth
+$175M
Cap. Flow
+$7.32M
Cap. Flow %
4.17%
Top 10 Hldgs %
43.02%
Holding
32
New
5
Increased
8
Reduced
16
Closed
3

Sector Composition

1 Consumer Staples 24.99%
2 Industrials 20.37%
3 Consumer Discretionary 19.51%
4 Technology 14.15%
5 Financials 7.67%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NLSN
1
DELISTED
Nielsen Holdings plc
NLSN
$9.69M 5.52% 218,472 +79,487 +57% +$3.52M
DG icon
2
Dollar General
DG
$23.9B
$9.59M 5.47% 156,897 -44,621 -22% -$2.73M
AON icon
3
Aon
AON
$79.1B
$8.18M 4.66% 93,264 +8,863 +11% +$777K
WOOF
4
DELISTED
VCA Inc.
WOOF
$8.13M 4.63% 206,658 -33,307 -14% -$1.31M
STZ icon
5
Constellation Brands
STZ
$28.5B
$7.74M 4.41% 88,741 -10,365 -10% -$903K
ADSK icon
6
Autodesk
ADSK
$67.3B
$7.07M 4.03% 128,277 +35,591 +38% +$1.96M
CCEP icon
7
Coca-Cola Europacific Partners
CCEP
$40.4B
$6.59M 3.76% 148,570 +4,340 +3% +$193K
QVCGA
8
QVC Group, Inc. Series A Common Stock
QVCGA
$69.2M
$6.23M 3.55% 218,406 -1,924 -0.9% -$54.9K
ST icon
9
Sensata Technologies
ST
$4.74B
$6.19M 3.53% 138,932 -1,224 -0.9% -$54.5K
MIC
10
DELISTED
Macquarie Infrastructure Holdings, LLC
MIC
$6.08M 3.47% 91,166 -803 -0.9% -$53.6K
PARA
11
DELISTED
Paramount Global Class B
PARA
$6.01M 3.42% 112,272 -22,174 -16% -$1.19M
ALLE icon
12
Allegion
ALLE
$14.6B
$5.96M 3.4% 125,096 +46,174 +59% +$2.2M
CDNS icon
13
Cadence Design Systems
CDNS
$95.5B
$5.94M 3.39% 345,211 +62,531 +22% +$1.08M
TAP icon
14
Molson Coors Class B
TAP
$9.98B
$5.9M 3.37% 79,301 -699 -0.9% -$52K
DLTR icon
15
Dollar Tree
DLTR
$22.8B
$5.89M 3.36% +105,000 New +$5.89M
BIN
16
DELISTED
PROGRESSIVE WASTE SOLUTIONS LTD COM
BIN
$5.72M 3.26% 222,265 -1,958 -0.9% -$50.4K
ABG icon
17
Asbury Automotive
ABG
$4.95B
$5.67M 3.23% +88,000 New +$5.67M
EQIX icon
18
Equinix
EQIX
$76.9B
$5.63M 3.21% 26,514 -5,010 -16% -$1.06M
G icon
19
Genpact
G
$7.9B
$5.63M 3.21% 345,124 -3,041 -0.9% -$49.6K
BEAV
20
DELISTED
B/E Aerospace Inc
BEAV
$5.62M 3.21% +67,000 New +$5.62M
INXN
21
DELISTED
Interxion Holding N.V.
INXN
$5.62M 3.2% 202,961 +24,591 +14% +$681K
FNF icon
22
Fidelity National Financial
FNF
$16.3B
$5.29M 3.01% 190,547 -2,420 -1% -$67.1K
MHK icon
23
Mohawk Industries
MHK
$8.24B
$5.02M 2.86% 37,238 -5,372 -13% -$724K
HRB icon
24
H&R Block
HRB
$6.74B
$4.97M 2.83% 160,180 -1,411 -0.9% -$43.8K
KAR icon
25
Openlane
KAR
$3.07B
$4.79M 2.73% 167,190 -68,018 -29% -$1.95M