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Bill Ackman

Pershing Square

Institutional

Portfolio (13F)

$13.71B

Holdings

11

As of

Mar 31, 2026

Latest moves — news scan (AI)

A daily AI scan of news & filings — beyond the official (lagged) 13F.

Scanning recent news…

AI insight on these moves

New buys

1

Microsoft CORP

5.65M shares · 15.26% of port.

$2.09B

New

Sold out

1

Hilton Worldwide Hldgs INC

0 shares

$869.98M

Exited

Added

1

Amazon COM INC

11.45M shares · 17.39% of port.

$2.39B

+19.19%

Trimmed

6

Brookfield CORP

59.70M shares · 17.62% of port.

$2.42B

-2.78%

Uber Technologies INC

29.96M shares · 15.71% of port.

$2.15B

-0.82%

Restaurant Brands Intl INC

22.65M shares · 12.20% of port.

$1.67B

-0.97%

Meta Platforms INC

2.66M shares · 11.10% of port.

$1.52B

-0.48%

Alphabet INC

311.73K shares · 0.65% of port.

$89.42M

-94.94%

Alphabet INC

32.38K shares · 0.07% of port.

$9.31M

-95.23%

Top holdings

11

Brookfield CORP

59.70M shares · 17.62% of port.

$2.42B

-2.78%

Amazon COM INC

11.45M shares · 17.39% of port.

$2.39B

+19.19%

Uber Technologies INC

29.96M shares · 15.71% of port.

$2.15B

-0.82%

Microsoft CORP

5.65M shares · 15.26% of port.

$2.09B

Restaurant Brands Intl INC

22.65M shares · 12.20% of port.

$1.67B

-0.97%

Meta Platforms INC

2.66M shares · 11.10% of port.

$1.52B

-0.48%

Howard Hughes Holdings INC

18.85M shares · 8.70% of port.

$1.19B

0.00%

Seaport Entmt Group INC

5.02M shares · 0.79% of port.

$107.91M

0.00%

Alphabet INC

311.73K shares · 0.65% of port.

$89.42M

-94.94%

Hertz Global Hldgs INC

15.24M shares · 0.51% of port.

$70.26M

0.00%

Alphabet INC

32.38K shares · 0.07% of port.

$9.31M

-95.23%

13F data from SEC EDGAR: a snapshot of US long equity positions, lagged up to ~45 days after quarter-end. Excludes shorts, cash, bonds and non-US holdings. For research only — not investment advice.