Fund HoldingsGRAND JEAN CAPITAL MANAGEMENT INC

Total Portfolio Value
$430.52M
Total Bought
$3.53M
Total Sold
$64.20M
Net Transaction
-$60.67M
Filing Period:
Securities
SharesValue ($K)
Q3 2024
Q4 2024
Change
Q3 2024
Q4 2024
Weight (%)
Change
Morgan Stanley(MS)169,385168,582-80317,65721,1944.92%+3,537
Amazon.com Inc.(AMZN)96,52595,675-85017,98620,9904.88%+3,005
JPMorgan Chase & Co.(JPM)95,95895,627-33120,23422,9235.32%+2,689
Blackstone Inc(BX)143,381142,506-87521,95624,5715.71%+2,615
VISA Inc(V)64,62464,420-20417,76820,3594.73%+2,591
Alphabet Inc(GOOG)92,48792,480-715,46317,6124.09%+2,149
Vertiv Holdings Co(VRT)153,825152,528-1,29715,30417,3294.03%+2,025
Palantir Technologies Inc(PLTR)018,383+18,38301,3900.32%+1,390
Goldman Sachs Group(GS)16,51716,493-248,1789,4442.19%+1,266
Docusign Inc(DOCU)010,947+10,94709850.23%+985
Apple Inc(AAPL)116,591112,394-4,19727,16628,1466.54%+980
Amphenol Corp183,870183,493-37711,98112,7442.96%+763
Comcast Corp(CCZ)017,000+17,00006380.15%+638
Ge Verona Inc(GEV)7,7767,752-241,9832,5500.59%+567
Shopify Inc.(SHOP)32,47029,503-2,9672,6023,1370.73%+535
Composecure Inc(GPGI)285,019285,769+7503,9964,3811.02%+385
Honeywell International(HON)14,10914,10902,9163,1870.74%+271
Enterprise Product Partners(EPD)112,554112,55403,2763,5300.82%+253
Bank of America Corp.40,00040,00001,5871,7580.41%+171
Charter Communications(CHTR)3,7753,77501,2231,2940.30%+71
Emerson Electric Co.(EMR)4,2404,24004645250.12%+62
Teledyne Technologies Inc.(TDY)65065002843020.07%+17
Compass Diversified(CODI)14,90014,90003303440.08%+14
Costco Wholesale Corp(COST)32532502882980.07%+10
SPDR S&P 500 ETF TR(SPY)40040002302340.05%+5
Fastenal Co(FAST)8,8088,80806296330.15%+4
Accenture PLC
SHS CLASS A
4,4024,417+151,5561,5540.36%-2
Oracle Corp(ORCL)3,4153,41505825690.13%-13
Starbucks Corp(SBUX)2,4432,445+22382230.05%-15
KKR and Co. Inc.(KKR)56,83250,067-6,7657,4217,4051.72%-16
Johnson & Johnson Co.(JNJ)2,1732,17303523140.07%-38
Arch Cap Group Ltd
ORD
3,7503,75004203460.08%-73
Procter & Gamble Co(PG)14,21214,21202,4622,3830.55%-79
Nice LTD(NICE)49,45349,898+4458,5898,4751.97%-114
T-Mobile US Inc.(TMUS)6,1535,153-1,0001,2701,1370.26%-132
Abbvie Inc.(ABBV)8,9988,99801,7771,5990.37%-178
Novanta Inc(NOVT)1,2000-1,2002150-215
Coty Inc.(COTY)25,0000-25,0002350-235
HCA Healthcare Inc.(HCA)4,6284,62801,8811,3890.32%-492
Pepsico Inc(PEP)42,33242,232-1007,1996,4191.49%-780
BERKSHIRE HATHAWAY I95,67695,283-39344,03643,19010.03%-846
Union Pacific Corp(UNP)46,57445,719-85511,48010,4262.42%-1,054
Crown Holdings Inc(CCK)86,70386,70308,3137,1691.67%-1,144
Microsoft Inc.(MSFT)53,47651,127-2,34923,01121,5505.01%-1,461
Coca Cola Companies(KO)177,468176,331-1,13712,75310,9782.55%-1,774
ServiceNow Inc.(NOW)10,8596,806-4,0539,7127,2151.68%-2,497
NVIDIA Corp(NVDA)198,865161,239-37,62624,15021,6535.03%-2,497
Nike Inc(NKE)167,967159,276-8,69114,84812,0522.80%-2,796
Meta Platforms Incl(META)42,36534,683-7,68224,25120,3074.72%-3,944
American Tower Corp(AMT)81,07474,777-6,29718,85513,7153.19%-5,140
Thermo Fisher Scientific Inc.(TMO)25,01219,134-5,87815,4729,9542.31%-5,518
Constellation Brand CL(STZ)48,7880-48,78812,5720-12,572
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