Chuck Akre profile

Chuck Akre | Akre Capital Management Llc

Fund Stats for Q2 2017Chuck Akre is the managing partner of Akre Capital Management Llc. The 13F filing for 2017 Q2 included $6.15B in managed 13F securities and a top 10 holdings concentration of 78.94%. Akre Capital Mana...

About Chuck AkreChuck founded Akre Capital Management in 1989 after 21 years in the securities business at NYSE member firm Johnston, Lemon & Co. At Johnston, Lemon & Co., he managed various parts of the business, in...

Company
Ticker
Market Value
% Portfolio
Shares
Change
Chg. Shares
Quarter End Price
Current Price
Yearly High
Yearly Low
Market Cap
% Owned
AMT
901.22M
14.65%
6.81M
1.67%
111.81K
$132.32
$245.06
$297.55
$220
114.10B
1.46%
MCO
693.54M
11.27%
5.70M
0.35%
19.84K
$121.68
$282.31
$407.94
$251.01
51.80B
3.11%
MA
649.20M
10.55%
5.35M
0.30%
16.22K
$121.45
$316.96
$399.92
$303.65
306.30B
0.55%
MKL
503.65M
8.19%
516.11K
0.43%
2.20K
$975.86
$1,191.42
$1519.25
$1162
16.11B
3.82%
V
458.49M
7.45%
4.89M
0
$93.78
$195.37
$236.96
$185.91
411.72B
0.23%
ROP
362.89M
5.90%
1.57M
0.32%
4.96K
$231.53
$384.00
$505
$369.51
40.71B
1.48%
DLTR
338.71M
5.51%
4.84M
15.45%
648.36K
$69.92
$137.94
$177.19
$84.26
30.89B
2.16%
332.53M
5.41%
2.46M
0
$134.90
KMX
326.06M
5.30%
5.17M
0.25%
13.12K
$63.06
$84.98
$155.98
$83.3
13.53B
3.25%
ESGR
289.49M
4.71%
1.46M
0.76%
10.99K
$198.65
$202.50
$286.89
$185.1
3.56B
8.29%
ORLY
260.96M
4.24%
1.19M
44.61%
368.02K
$218.74
$688.87
$750.88
$562.9
43.62B
1.88%
VRSK
219.78M
3.57%
2.60M
0.56%
14.50K
$84.37
$183.98
$231.57
$156.05
28.88B
1.66%
DHR
139.69M
2.27%
1.66M
0
$84.39
$281.91
$331.69
$233.71
205.07B
0.23%
139.28M
2.26%
2.68M
0
$51.97
AMTD
127.57M
2.07%
2.97M
0
$42.99
$1.88
$12.9
$1.01
736.96M
0.76%
LKQ
116.97M
1.90%
3.55M
0
$32.95
$48.88
$60.43
$42.36
13.41B
1.29%
MNRO
67.75M
1.10%
1.62M
1.57%
25.07K
$41.75
$44.38
$64.72
$37.49
1.43B
5.04%
66.22M
1.08%
390.97K
1.75%
6.72K
$169.37
62.40M
1.01%
514.75K
0
$121.23
DHIL
29.01M
0.47%
145.50K
0
$199.40
$170.99
$234.84
$163.9
529.88M
4.70%

Holdings Breakdown

Legend
AMT
MCO
MA
MKL
V
ROP
DLTR
Sba Communications Corp
KMX
ESGR
ORLY
VRSK
DHR
Ubiquiti Networks Inc
AMTD
LKQ
MNRO
Berkshire Hathaway Inc Del
American Tower Corp New
Other
Disclaimer: Investor holdings are derived from 13F filings which are required to be filed by all institutional investment managers with at least $100 million in assets under management. Limitations to this data include but are not limited to: (1) SEC does not review 13Fs for accuracy or completeness, (2) cash, foreign stocks, short positions, and a variety of other assets are not required to be reported, (3) 13Fs are often filed 45 days after the end of the quarter, by which time a manager's positions and outlook could have changed significantly, (4) the market value does not tell us at what price the manager acquired the asset, and (5) data is only available starting mid 2013. Please do your own research before drawing any conclusions from this data.