Smart Money Radar / Whales / Bill Nygren
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Bill Nygren

Harris Associates L P · Holdings as of Mar 31, 2026, filed by May 16, 2026 · US long stock positions only

Oakmark value at scale.

Reported value?Total value of the US long stock positions in the latest SEC filing. Not the fund's full size: cash, shorts, bonds and foreign listings never appear in these filings.
$75B
60 positions shown
Copycat since 2016?What $1 became if you bought this exact filed book at every filing deadline since 2016 and rebalanced quarterly. Price returns, dividends excluded. A copy of public filings, not the fund's actual performance.
3.06x
12% per year
vs SPY?The same $1 in SPY over the same window. Ahead means copying the filings beat the market; behind means the boring index won.
behind
SPY 3.57x same window
Top position?Largest holding by reported value and its share of the filed book.
CRM
4% of book

Copying these filings vs SPY?Each line is $1 buying the filed book at every quarterly deadline. Hover for values at any quarter. Dividends excluded on both lines.

$1 at every deadline since 2016
SPY 3.57x Bill Nygren 3.06x
Price returns, dividends excluded on both lines. A copycat of public filings traded at each deadline, not the fund's actual performance.
Mar 2026 Dec 2025 Sep 2025 Jun 2025 Mar 2025 Dec 2024 Sep 2024 Jun 2024 Mar 2024 Dec 2023 Sep 2023 Jun 2023

The book

tile = share of the filed book · tap a tile for the ticker · Mar 2026
CRM 4% ICE 3% KDP 3% ABNB 3% GOOGL 3% COP 3% TRGP 3% IQV 3% SCHW 3% COF 3% FCNCA 2% WTW 2% PSX 2% AIG 2% MRK 2%
Top 15 positions shown, 42% of the book; 141 smaller names hold the rest.
SymbolValue% of bookvs prior quarter
CRM $2.8B 4% added
ICE $2.6B 3% added
KDP $2.5B 3% added
ABNB $2.4B 3% added
GOOGL $2.4B 3% trimmed
COP $2.3B 3% trimmed
TRGP $2.2B 3% trimmed
IQV $2.1B 3% added
SCHW $2.0B 3% unchanged
COF $1.9B 3% trimmed
FCNCA $1.8B 2% added
WTW $1.7B 2% added
PSX $1.7B 2% trimmed
AIG $1.5B 2% trimmed
MRK $1.5B 2% trimmed
ELV $1.4B 2% unchanged
CTVA $1.4B 2% trimmed
EFX $1.4B 2% unchanged
DAL $1.2B 2% trimmed
ZBH $1.2B 2% added
GEHC $1.1B 1% unchanged
FISV $1.1B 1% added
C $1.1B 1% trimmed
ALLY $1.0B 1% trimmed
GM $1.0B 1% trimmed
AMZN $992M 1% added
RGA $990M 1% added
NFLX $948M 1% added
BAC $922M 1% trimmed
UNP $918M 1% added
WBD $903M 1% trimmed
MRSH $897M 1% new
WFC $874M 1% trimmed
CBRE $870M 1% trimmed
CHTR $861M 1% trimmed
AER $810M 1% unchanged
CG $802M 1% added
GPN $798M 1% added
SYY $785M 1% added
NKE $780M 1% unchanged
STT $778M 1% trimmed
CMCSA $759M 1% trimmed
SUNB $759M 1% new
MPC $685M 1% trimmed
NDAQ $680M 1% trimmed
CDW $651M 1% added
unlisted $639M 1% trimmed
AMRZ $636M 1% unchanged
ROP $612M 1% new
EOG $597M 1% trimmed
CRBG $596M 1% added
TEL $589M 1% trimmed
ACN $573M 1% new
ADBE $558M 1% new
MAS $519M 1% trimmed
IT $497M 1% added
RJF $496M 1% new
LAD $489M 1% unchanged
STZ $485M 1% unchanged
ICLR $482M 1% added
Positions built under SEC confidential treatment appear only after the SEC releases them. Cash, foreign listings and shorts never appear in these filings.