Filer Name: CHILTON INVESTMENT CO INC.
CIK: 1332632
Period: 2024-12-31
Filed At: 2025-02-14
Number of Holdings: 189
Portfolio Value: $3.89B

Chilton Investment Co Inc. Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
MSFT US MICROSOFT CORP 878,490 $370M 9.51% 0.4% -
COST US COSTCO WHOLESALE CORP 379,135 $347M 8.93% -0.4% -
SHW US SHERWIN-WILLIAMS CO/THE 924,321 $314M 8.07% 0.1% -
RSG US REPUBLIC SERVICES INC 1,295,652 $261M 6.70% 0.5% -
HD US HOME DEPOT INC 595,409 $232M 5.95% 0.4% -
MA US MASTERCARD INC - A 377,747 $199M 5.11% 0.0% -
AJG US ARTHUR J GALLAGHER & CO 636,499 $181M 4.64% 9.9% -
CTAS US CINTAS CORP 718,858 $131M 3.37% -0.5% -
PGR US PROGRESSIVE CORP 486,691 $117M 3.00% 2.1% -
BRO US BROWN & BROWN INC 1,032,325 $105M 2.71% 35.7% -
MCO US MOODY'S CORP 213,023 $101M 2.59% -0.1% -
IBM US INTL BUSINESS MACHINES CORP 448,670 $99M 2.53% 0.1% -
WRB US WR BERKLEY CORP 1,578,321 $92M 2.37% 11.4% -
NFLX US NETFLIX INC 96,286 $86M 2.20% 5.9% -
ETN US EATON CORP PLC 194,282 $64M 1.66% -1.8% -
AAPL US APPLE INC 252,330 $63M 1.62% -0.6% -
BRK/B US BERKSHIRE HATHAWAY INC-CL B 138,141 $63M 1.61% 4.4% -
MUSA US MURPHY USA INC 120,588 $61M 1.55% -8.7% -
NOW US SERVICENOW INC 55,535 $59M 1.51% -1.5% -
CSX US CSX CORP 1,480,956 $48M 1.23% 3.1% -
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