William von Mueffling - Cantillon Capital Management
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    38
Portfolio value:    $15,050,978,966
Holdings Activity Buys Sells    History
Holding/activity history for  S&P Global Inc. (SPGI)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2026   Q1 1,547,303 4.37 Reduce 11.87% 0.59 $425.34 $658,129,858 SEC
2025   Q4 1,755,624 4.96 Add 0.76% 0.04 $522.59 $917,471,546 SEC
2025   Q3 1,742,415 4.67 Reduce 1.09% 0.06 $486.71 $848,050,804 SEC
2025   Q2 1,761,604 5.37 Reduce 2.82% 0.17 $527.29 $928,876,173 SEC
2025   Q1 1,812,764 5.96 Reduce 3.00% 0.17 $508.10 $921,065,389 SEC
2024   Q4 1,868,814 5.62 Add 0.53% 0.03 $498.03 $930,725,436 SEC
2024   Q3 1,858,934 5.87 Reduce 2.89% 0.17 $516.62 $960,362,483 SEC
2024   Q2 1,914,339 5.71 Reduce 7.59% 0.42 $446.00 $853,795,194 SEC
2024   Q1 2,071,532 5.54 Reduce 1.97% 0.12 $425.45 $881,333,289 SEC
2023   Q4 2,113,064 6.22 Reduce 2.38% 0.14 $440.52 $930,846,953 SEC
2023   Q3 2,164,630 5.87 Reduce 0.39% 0.02 $365.41 $790,977,448 SEC
2023   Q2 2,173,131 6.09 Add 6.36% 0.36 $400.89 $871,186,487 SEC
2023   Q1 2,043,185 5.74 Reduce 1.62% 0.10 $344.77 $704,428,892 SEC
2022   Q4 2,076,852 5.89 Reduce 1.85% 0.11 $334.94 $695,620,808 SEC
2022   Q3 2,116,093 5.85 Reduce 0.88% 0.05 $305.35 $646,149,000 SEC
2022   Q2 2,134,871 6.01 Reduce 0.39% 0.02 $337.06 $719,580,000 SEC
2022   Q1 2,143,230 6.28 Add 2.82% 0.17 $410.18 $879,110,000 SEC
2021   Q4 2,084,527 6.50 Reduce 10.44% 0.70 $471.93 $983,751,000 SEC
2021   Q3 2,327,426 6.74 Reduce 1.68% 0.11 $424.89 $988,901,000 SEC
2021   Q2 2,367,081 6.54 Reduce 1.24% 0.08 $410.45 $971,569,000 SEC
2021   Q1 2,396,701 6.16 Reduce 7.67% 0.49 $352.87 $845,724,000 SEC
2020   Q4 2,595,713 6.40 Reduce 0.49% 0.04 $328.73 $853,289,000 SEC
2020   Q3 2,608,414 7.86 Reduce 1.16% 0.09 $360.60 $940,594,000 SEC
2020   Q2 2,638,926 7.55 Add 1.01% 0.08 $329.48 $869,474,000 SEC
2020   Q1 2,612,457 7.08 Reduce 0.21% 0.01 $245.05 $640,182,000 SEC
2019   Q4 2,617,857 6.65 Reduce 6.86% 0.46 $273.05 $714,805,000 SEC
2019   Q3 2,810,567 6.69 Reduce 0.67% 0.04 $244.98 $688,532,000 SEC
2019   Q2 2,829,604 6.51 Reduce 1.99% 0.13 $227.79 $644,556,000 SEC
2019   Q1 2,886,936 6.46 Reduce 0.47% 0.03 $210.55 $607,845,000 SEC
2018   Q4 2,900,459 5.95 Add 0.77% 0.05 $169.94 $492,904,000 SEC
2018   Q3 2,878,413 6.33 Reduce 6.03% 0.41 $195.39 $562,414,000 SEC
2018   Q2 3,063,265 6.72 Reduce 2.76% 0.19 $203.89 $624,569,000 SEC
2018   Q1 3,150,060 6.84 Reduce 2.43% 0.16 $191.06 $601,851,000 SEC
2017   Q4 3,228,525 6.48 Reduce 6.41% 0.40 $169.40 $546,912,000 SEC
2017   Q3 3,449,746 6.27 Reduce 3.06% 0.20 $156.31 $539,230,000 SEC
2017   Q2 3,558,733 6.49 Reduce 4.16% 0.26 $145.99 $519,539,000 SEC
2017   Q1 3,713,166 6.21 Reduce 0.78% 0.04 $130.74 $485,459,000 SEC
2016   Q4 3,742,482 5.64 Reduce 3.20% 0.22 $107.54 $402,467,000 SEC
2016   Q3 3,866,258 6.91 Reduce 0.46% 0.03 $126.56 $489,314,000 SEC
2016   Q2 3,884,258 7.02 Buy 7.02 $107.26 $416,625,000 SEC