Chilton Investment Co Llc Buys CSX Corp, Berkshire Hathaway Inc, Adient PLC, Sells Whirlpool Corp, C

Stamford, CT, based Investment company Chilton Investment Co Llc buys CSX Corp, Berkshire Hathaway Inc, Adient PLC, Heico Corp, Hasbro Inc, Costco Wholesale Corp, Bright Horizons Family Solutions Inc, Anheuser-Busch InBev SA/NV, Blackstone Group LP, Mettler-Toledo International Inc, sells Whirlpool Corp, Casey’s General Stores Inc, Dentsply Sirona Inc, The Timken Co, Allergan PLC during the 3-months ended 2017-12-31, according to the most recent filings of the investment company, Chilton Investment Co Llc. As of 2017-12-31, Chilton Investment Co Llc owns 121 stocks with a total value of $2.6 billion. These are the details of the buys and sells.

New Purchases: CSX, HAS, BFAM, BX, SUM, AXTA, PKG, ADSW, RSG, DUK, Added Positions: BRK.B, ADNT, HEI, COST, BUD, MTD, LMT, FBHS, MA, IDXX, Reduced Positions: WHR, CASY, XRAY, W, WRB, PM, FDX, CRI, ORLY, CMCSA, Sold Out: TKR, AGN, IT, BWLD, CRTO, DDD, GCP, CELG, RPM, MTCH,

For the details of CHILTON INVESTMENT CO LLC’s stock buys and sells, go to www.gurufocus.com/StockBuy.php?GuruName=CHILTON+INVESTMENT+CO+LLC

These are the top 5 holdings of CHILTON INVESTMENT CO LLCSherwin-Williams Co (SHW) – 476,090 shares, 7.56% of the total portfolio. Shares added by 0.68%The Home Depot Inc (HD) – 892,890 shares, 6.55% of the total portfolio. Shares added by 1.75%Microsoft Corp (MSFT) – 1,433,126 shares, 4.75% of the total portfolio. Shares added by 1.43%Ball Corp (BLL) – 2,795,519 shares, 4.1% of the total portfolio. Shares added by 0.46%Martin Marietta Materials Inc (MLM) – 476,868 shares, 4.08% of the total portfolio. Shares added by 2.87%New Purchase: CSX Corp (CSX)

Chilton Investment Co Llc initiated holdings in CSX Corp. The purchase prices were between $48.63 and $57.69, with an estimated average price of $53.09. The stock is now traded at around $53.82. The impact to the portfolio due to this purchase was 3.22%. The holdings were 1,512,073 shares as of 2017-12-31.

New Purchase: Hasbro Inc (HAS)

Chilton Investment Co Llc initiated holdings in Hasbro Inc. The purchase prices were between $88.69 and $98.19, with an estimated average price of $93.81. The stock is now traded at around $93.93. The impact to the portfolio due to this purchase was 0.76%. The holdings were 216,610 shares as of 2017-12-31.

New Purchase: Bright Horizons Family Solutions Inc (BFAM)

Chilton Investment Co Llc initiated holdings in Bright Horizons Family Solutions Inc. The purchase prices were between $84.91 and $94.71, with an estimated average price of $88.62. The stock is now traded at around $94.35. The impact to the portfolio due to this purchase was 0.65%. The holdings were 177,515 shares as of 2017-12-31.

New Purchase: Blackstone Group LP (BX)

Chilton Investment Co Llc initiated holdings in Blackstone Group LP. The purchase prices were between $30.92 and $34.72, with an estimated average price of $32.57. The stock is now traded at around $34.65. The impact to the portfolio due to this purchase was 0.54%. The holdings were 435,969 shares as of 2017-12-31.

New Purchase: Summit Materials Inc (SUM)

Chilton Investment Co Llc initiated holdings in Summit Materials Inc. The purchase prices were between $28.66 and $32.43, with an estimated average price of $30.59. The stock is now traded at around $29.76. The impact to the portfolio due to this purchase was 0.14%. The holdings were 115,476 shares as of 2017-12-31.

New Purchase: Packaging Corp of America (PKG)

Chilton Investment Co Llc initiated holdings in Packaging Corp of America. The purchase prices were between $109.23 and $120.92, with an estimated average price of $116.01. The stock is now traded at around $118.96. The impact to the portfolio due to this purchase was 0.07%. The holdings were 14,319 shares as of 2017-12-31.

Added: Berkshire Hathaway Inc (BRK.B)

Chilton Investment Co Llc added to the holdings in Berkshire Hathaway Inc by 95.91%. The purchase prices were between $181.06 and $199.56, with an estimated average price of $189.83. The stock is now traded at around $201.24. The impact to the portfolio due to this purchase was 1.35%. The holdings were 358,489 shares as of 2017-12-31.

Added: Adient PLC (ADNT)

Chilton Investment Co Llc added to the holdings in Adient PLC by 87.44%. The purchase prices were between $74.27 and $85.93, with an estimated average price of $80.7. The stock is now traded at around $63.51. The impact to the portfolio due to this purchase was 0.99%. The holdings were 696,931 shares as of 2017-12-31.

Added: Heico Corp (HEI)

Chilton Investment Co Llc added to the holdings in Heico Corp by 149.76%. The purchase prices were between $69.69 and $77.76, with an estimated average price of $72.9. The stock is now traded at around $77.32. The impact to the portfolio due to this purchase was 0.77%. The holdings were 548,611 shares as of 2017-12-31.

Added: Costco Wholesale Corp (COST)

Chilton Investment Co Llc added to the holdings in Costco Wholesale Corp by 30.28%. The purchase prices were between $154.61 and $192.73, with an estimated average price of $172.45. The stock is now traded at around $185.01. The impact to the portfolio due to this purchase was 0.76%. The holdings were 451,565 shares as of 2017-12-31.

Added: Anheuser-Busch InBev SA/NV (BUD)

Chilton Investment Co Llc added to the holdings in Anheuser-Busch InBev SA/NV by 426.95%. The purchase prices were between $110.5 and $126.02, with an estimated average price of $117.68. The stock is now traded at around $108.96. The impact to the portfolio due to this purchase was 0.56%. The holdings were 158,833 shares as of 2017-12-31.

Added: Mettler-Toledo International Inc (MTD)

Chilton Investment Co Llc added to the holdings in Mettler-Toledo International Inc by 24.34%. The purchase prices were between $606.8 and $689.11, with an estimated average price of $639.93. The stock is now traded at around $637.28. The impact to the portfolio due to this purchase was 0.35%. The holdings were 74,085 shares as of 2017-12-31.

Sold Out: The Timken Co (TKR)

Chilton Investment Co Llc sold out the holdings in The Timken Co. The sale prices were between $44.85 and $51.55, with an estimated average price of $48.38.

Sold Out: Allergan PLC (AGN)

Chilton Investment Co Llc sold out the holdings in Allergan PLC. The sale prices were between $163.58 and $210.98, with an estimated average price of $179.54.

Sold Out: Gartner Inc (IT)

Chilton Investment Co Llc sold out the holdings in Gartner Inc. The sale prices were between $115.99 and $125.6, with an estimated average price of $121.44.

Sold Out: Buffalo Wild Wings Inc (BWLD)

Chilton Investment Co Llc sold out the holdings in Buffalo Wild Wings Inc. The sale prices were between $99.9 and $156.75, with an estimated average price of $131.24.

Sold Out: Criteo SA (CRTO)

Chilton Investment Co Llc sold out the holdings in Criteo SA. The sale prices were between $22.49 and $47.2, with an estimated average price of $35.85.

Sold Out: 3D Systems Corp (DDD)

Chilton Investment Co Llc sold out the holdings in 3D Systems Corp. The sale prices were between $8.12 and $14.2, with an estimated average price of $10.31.

Here is the complete portfolio of CHILTON INVESTMENT CO LLC. Also check out:

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