Hillman Capital Management

Hillman Capital Management

Echtzeit-Einblicke & Depot-Analyse
Gesamtwert (USD) $138 Mio.
Größte Position Cvs Health Corp
Letztes Update Q2 2026
Gesamtrendite · 1 Jahr +6,32 %
Gesamtrendite · 3 Jahre +27,76 %
Gesamtrendite · 5 Jahre +21,70 %
54 Positionen
Stand: 30.06.2026 | Vergleich: 31.03.2026 | Portfoliowert: $138.152.000
Aktie % Depot Market Value $ Shares Q2 vs. Q1 2026Last TransactionKurs
CVSCvs Health Corp
4,15%$5.738.88955.475
SOLD Q2 · 2026-17,8% · 12 Tsd. Stk.
$88,84
BIIBBiogen Inc
3,75%$5.183.92823.993
SOLD Q2 · 2026-18,8% · 6 Tsd. Stk.
$215,50
DDDupont De Nemours Inc
3,71%$5.119.73237.745
NEW Q2 · 202638 Tsd. Stk.
$129,01
WBDWarner Bros Discovery Inc
3,67%$5.065.027189.986
SOLD Q2 · 2026-3,2% · 6 Tsd. Stk.
$27,80
BAXBaxter Intl Inc
3,64%$5.032.202236.032
SOLD Q2 · 2026-4,6% · 11 Tsd. Stk.
$22,80
IFFInternational Flavors&Fragra
3,61%$4.980.95862.875
SOLD Q2 · 2026-13,6% · 10 Tsd. Stk.
$82,96
GSKGsk Plc
3,51%$4.842.71792.383
SOLD Q2 · 2026-5,2% · 5 Tsd. Stk.
$50,22
KMXCarmax Inc
3,50%$4.833.35391.385
SOLD Q2 · 2026-16,3% · 18 Tsd. Stk.
$57,21
BABoeing Co
3,38%$4.670.12421.574
SOLD Q2 · 2026-3,4% · 752 Stk.
$198,20
KHCKraft Heinz Co
3,36%$4.641.188196.494
SOLD Q2 · 2026-2,3% · 5 Tsd. Stk.
$24,43
ZBHZimmer Biomet Holdings Inc
3,36%$4.643.95353.943
SOLD Q2 · 2026-3,2% · 2 Tsd. Stk.
$95,36
BF-BBrown Forman Corp
3,33%$4.597.498172.514
SOLD Q2 · 2026-2,2% · 4 Tsd. Stk.
$25,94
PFEPfizer Inc
3,04%$4.204.609174.610
SOLD Q2 · 2026-7,1% · 13 Tsd. Stk.
$27,66
ELLauder Estee Cos Inc
2,87%$3.965.34350.226
SOLD Q2 · 2026-3,7% · 2 Tsd. Stk.
$93,43
FISVFiserv Inc
2,79%$3.848.26778.456
SOLD Q2 · 2026-2,8% · 2 Tsd. Stk.
$47,19
MSFTMicrosoft Corp
2,78%$3.840.61410.296
SOLD Q2 · 2026-4,9% · 532 Stk.
$493,78
CPBThe Campbells Company
2,60%$3.586.428161.043
SOLD Q2 · 2026-3,1% · 5 Tsd. Stk.
$20,69
ADBEAdobe Inc
2,57%$3.544.38617.288
BUY Q2 · 2026+6,7% · 1 Tsd. Stk.
$248,92
EFAIshares Tr
2,39%$3.297.47431.743
BUY Q2 · 2026+2,9% · 889 Stk.
$104,97
NKENike Inc
2,32%$3.210.64478.213
BUY Q2 · 2026+0,4% · 307 Stk.
$35,51
TSMTaiwan Semiconductor Mfg Ltd
1,94%$2.678.2135.608
SOLD Q2 · 2026-29,6% · 2 Tsd. Stk.
$434,67
BMYBristol-Myers Squibb Co
1,89%$2.606.44145.235
SOLD Q2 · 2026-14,8% · 8 Tsd. Stk.
$63,06
WSTWest Pharmaceutical Svsc Inc
1,85%$2.551.0547.106
SOLD Q2 · 2026-20,2% · 2 Tsd. Stk.
$362,31
USBUs Bancorp Del
1,80%$2.491.62141.252
SOLD Q2 · 2026-21,5% · 11 Tsd. Stk.
$60,06
VEEVVeeva Sys Inc
1,80%$2.486.00014.008
NEW Q2 · 202614 Tsd. Stk.
$260,21
CMCSAComcast Corp New
1,79%$2.475.696100.843
BUY Q2 · 2026+5,9% · 6 Tsd. Stk.
$22,74
DISDisney Walt Co
1,77%$2.443.30625.385
BUY Q2 · 2026+3,2% · 786 Stk.
$102,67
CAGConagra Brands Inc
1,76%$2.432.599180.728
BUY Q2 · 2026+22,4% · 33 Tsd. Stk.
$15,13
VZVerizon Communications Inc
1,75%$2.424.51557.263
SOLD Q2 · 2026-11,9% · 8 Tsd. Stk.
$48,09
UPSUnited Parcel Service Inc
1,74%$2.398.97022.316
SOLD Q1 · 2026-9,3% · 2 Tsd. Stk.
$99,06
BDXBecton Dickinson & Co
1,67%$2.305.96715.238
BUY Q2 · 2026+7,2% · 1 Tsd. Stk.
$180,94
UNHUnitedhealth Group Inc
1,63%$2.246.4805.405
SOLD Q2 · 2026-27,0% · 2 Tsd. Stk.
$376,90
DEODiageo Plc
1,60%$2.209.80727.492
SOLD Q2 · 2026-0,1% · 15 Stk.
$85,59
STZConstellation Brands Inc
1,58%$2.176.89815.651
SOLD Q2 · 2026-16,7% · 3 Tsd. Stk.
$118,97
CRMSalesforce Inc
1,55%$2.139.66213.658
BUY Q2 · 2026+24,7% · 3 Tsd. Stk.
$237,92
EFXEquifax Inc
1,44%$1.990.50812.541
SOLD Q2 · 2026-7,5% · 1 Tsd. Stk.
$158,87
AKAMAkamai Technologies Inc
1,40%$1.937.10716.387
SOLD Q2 · 2026-28,2% · 6 Tsd. Stk.
$104,52
HSYHershey Co
1,35%$1.861.17410.608
SOLD Q1 · 2026-20,3% · 3 Tsd. Stk.
$169,79
ORCLOracle Corp
1,22%$1.684.73911.496
SOLD Q2 · 2026-28,6% · 5 Tsd. Stk.
$147,61
IVVIshares Tr
0,86%$1.189.9861.589
BUY Q2 · 2026+27,1% · 339 Stk.
$764,92
MDTMedtronic Plc
0,32%$446.4595.707
BUY Q2 · 2026+55,6% · 2 Tsd. Stk.
$92,13
TROWPrice T Rowe Group Inc
0,30%$410.4213.610
SOLD Q2 · 2026-86,1% · 22 Tsd. Stk.
$104,16
ACNAccenture Plc Ireland
0,28%$380.1643.055
NEW Q2 · 20263 Tsd. Stk.
$181,29
APDAir Prods & Chems Inc
0,28%$382.8931.306
SOLD Q2 · 2026-2,5% · 33 Stk.
$284,18
RTXRtx Corporation
0,27%$367.1281.935
SOLD Q2 · 2026-2,0% · 40 Stk.
$194,00
TMOThermo Fisher Scientific Inc
0,27%$376.020750
BUY Q2 · 2026+14,3% · 94 Stk.
$651,45
GOOGAlphabet Inc
0,26%$363.9301.030
SOLD Q2 · 2026-8,6% · 97 Stk.
$344,41
NOWServicenow Inc
0,25%$339.0413.415
BUY Q2 · 2026+1,1% · 38 Stk.
$135,47
BLKBlackrock Inc
0,24%$329.815343
SOLD Q2 · 2026-1,2% · 4 Stk.
$1.069,78
CLXClorox Co Del
0,24%$336.9993.531
SOLD Q2 · 2026-0,7% · 24 Stk.
$83,10
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