Ako Capital Portfolio 2023
Nicolai Tangen
AKO Capital LLP Holdings Strategy: Long Term InvestorAKO Capital goal is to follow an evidence-based process and seek to achieve returns for their clients which materially outperforms the equity markets over time. The company was founded by Nicolai Tangen. Alcon Inc., a global medical company specializing in eye care products, represents a primary investment in AKO Capital's portfolio, exemplifying their commitment to healthcare innovation and steady market growth potential. Visa Inc., with its Class A ordinary shares, underscores AKO Capitalβs strategy in investing in robust payment processing networks, tapping into the ever-expanding digital transaction sector.Microsoft Corporation, a leading technology firm, reflects AKO Capital's focus on companies with strong software and cloud services ecosystems, signaling confidence in continuous tech advancements and long-term value creation. Intercontinental Exchange Inc., as part of the financial exchange and clearing house landscape, is indicative of AKO Capital's approach towards firms positioned at the core of global markets, offering stability and an edge in finance-related investments.Booking Holdings Inc., a top player in the online travel industry, rounds out AKO Capital's high-conviction holdings, aligning with consumer trends and digital commerce evolution. Each stock within this curated selection showcases strategic exposure to diverse sectors such as healthcare, fintech, technology, financial services, and online retail, portraying AKO Capital's diversified yet selective investment philosophy. Potential investors looking at AKO Capital's portfolio can discern a bias towards industry leaders with sustainable competitive advantages and proven track records, hinting at both visionary and pragmatic market insightsβthe hallmark of prudent investing.
Track Ako, It's Free!Performance
1 Year
+7.29%
3 Years
+5.23%
5 Years
+63.17%
10 years
+201.34%
Sectors
Largest Holdings
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Trades
- Alcon Inc. - Registered Shares (ALC)
- Sector: Medical Specialties
- % of Portfolio: 8.6%
- (Buy) $64.42 β +39.1% β$89.61 (Now)
- Microsoft Corporation (MSFT)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 6.5%
- (Buy) $264.17 β +49.6% β$395.15 (Now)
- Intercontinental Exchange Inc (ICE)
- Sector: Securities and Commodity Exchanges
- % of Portfolio: 5.8%
- (Buy) $111.89 β +33.0% β$148.78 (Now)
- Fair Isaac Corp. (FICO)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 5.8%
- (Buy) $236.51 β +568.8% β$1,581.82 (Now)
- GE Aerospace (GE)
- Sector: Aircraft Engine and Engine Parts Manufacturing
- % of Portfolio: 5.7%
- (Buy) $113.38 β +39.7% β$158.36 (Now)
- Visa Inc - Ordinary Shares - Class A (V)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 4.8%
- (Buy) $171.67 β +49.4% β$256.44 (Now)
- Intuit Inc (INTU)
- Sector: Software Publishers
- % of Portfolio: 4.6%
- (Buy) $442.84 β +36.2% β$602.97 (Now)
- Moody`s Corp. (MCO)
- Sector: Credit Bureaus
- % of Portfolio: 4.6%
- (Buy) $238.14 β +84.8% β$440.17 (Now)
- Zoetis Inc - Ordinary Shares - Class A (ZTS)
- Sector: Pharmaceutical Preparation Manufacturing
- % of Portfolio: 4.5%
- (Buy) $155.69 β +12.3% β$174.82 (Now)
- Ferrari N.V. (RACE)
- Sector: Automobile Manufacturing
- % of Portfolio: 4.3%
- (Buy) $61.06 β +592.4% β$422.78 (Now)
- Booking Holdings Inc (BKNG)
- Sector: Tobacco Manufacturing
- % of Portfolio: 4.3%
- (Buy) $2,054.40 β +64.7% β$3,383.43 (Now)
- Waters Corp. (WAT)
- Sector: Analytical Laboratory Instrument Manufacturing
- % of Portfolio: 4.1%
- (Buy) $280.46 β +17.2% β$328.83 (Now)
- Marsh & McLennan Cos., Inc. (MMC)
- Sector: Insurance Agencies and Brokerages
- % of Portfolio: 4.1%
- (Buy) $184.62 β +17.2% β$216.29 (Now)
- Thermo Fisher Scientific Inc. (TMO)
- Sector: Testing Laboratories
- % of Portfolio: 4.1%
- (Buy) $489.93 β +22.1% β$598.03 (Now)
- Estee Lauder Cos., Inc. - Ordinary Shares - Class A (EL)
- Sector: All Other Miscellaneous Chemical Product and Preparation Manufacturing
- % of Portfolio: 3.7%
- (Buy) $140.24 β -34.3% β$92.20 (Now)
- MSCI Inc (MSCI)
- Sector: Miscellaneous Financial Investment Activities
- % of Portfolio: 3.4%
- (Buy) $552.67 β -6.4% β$517.43 (Now)
- Equifax, Inc. (EFX)
- Sector: All Other Information Services
- % of Portfolio: 2.7%
- (Buy) $218.65 β +27.4% β$278.47 (Now)
- Procter & Gamble Co. (PG)
- Sector: Soap and Other Detergent Manufacturing
- % of Portfolio: 2.5%
- (Buy) $118.26 β +42.1% β$168.06 (Now)
- Accenture plc - Ordinary Shares - Class A (ACN)
- Sector: Data Processing, Hosting, and Related Services
- % of Portfolio: 2.3%
- (Buy) $328.81 β -4.6% β$313.74 (Now)
- Linde Plc. (LIN)
- Sector:
- % of Portfolio: 2.3%
- (Buy) $199.83 β +121.9% β$443.50 (Now)
- Analog Devices Inc. (ADI)
- Sector: Semiconductor and Related Device Manufacturing
- % of Portfolio: 2.1%
- (Buy) $192.27 β +4.3% β$200.56 (Now)
- Copart, Inc. (CPRT)
- Sector: Used Car Dealers
- % of Portfolio: 2.1%
- (Buy) $70.55 β -27.8% β$50.93 (Now)
- Nike, Inc. - Ordinary Shares - Class B (NKE)
- Sector: Footwear Manufacturing
- % of Portfolio: 1.6%
- (Buy) $107.46 β -33.5% β$71.42 (Now)
- Cadence Design Systems, Inc. (CDNS)
- Sector: Software Publishers
- % of Portfolio: 1.1%
- (Buy) $234.06 β +5.5% β$246.84 (Now)
- Otis Worldwide Corp (OTIS)
- Sector: Iron and Steel Forging
- % of Portfolio: 1.0%
- (Buy) $54.42 β +71.7% β$93.42 (Now)
- Marriott International, Inc. - Ordinary Shares - Class A (MAR)
- Sector: Travel Agencies
- % of Portfolio: 0.8%
- (Buy) $113.53 β +86.2% β$211.35 (Now)
- Ambev S.A. - ADR (ABEV)
- Sector: Breweries
- % of Portfolio: Sold
- (Buy) $4.42 β -52.7% β$2.09 (Now)
- Resmed Inc. (RMD)
- Sector: Surgical and Medical Instrument Manufacturing
- % of Portfolio: Sold
- (Buy) $199.39 β +8.2% β$215.68 (Now)
- Diageo plc - ADR (DEO)
- Sector: Wineries
- % of Portfolio: Sold
- (Buy) $180.50 β -33.5% β$120.02 (Now)
- Alphabet Inc - Ordinary Shares - Class C (GOOG)
- Sector: All Other Telecommunications
- % of Portfolio: Sold
- (Buy) $79.56 β +101.9% β$160.64 (Now)
Stock |
% of portfolio |
Average Buy Price |
Current Price |
Position | ||
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Options
Can't find any put or calls that Nicolai Tangen has in Ako Capital
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Metrics
Performance
1 Year
+7.29%
3 Years
+5.23%
5 Years
+63.17%
10 years
+201.34%
Averaged Ratio's of Portfolio Stocks
- Market Cap: $366 Billion
- Dividend Yield 0.78 %
- Beta 1.0263
- P/E Ratio 43.64
- Negative P/E Ratio NaN
- Profit Margin 22.20%
- PEG 352.1
- Price to Sales Ratio 9.51
- Price to Book Ratio 1.91
- Enterprise Value to EBIT: 33.15
- Enterprise Value to Revenue 10.18
- Total Debt to Enterprise Value 0.09
- Debt to Equity -0.0671
- Quarterly Earnings Growth (YoY) -
- Return on Equity 4.07%
- Return on Assets 12.73%
- Return on Invested Capital 23.68%
Track Ako
Don't miss a trade. Get notified when Nicolai Tangen makes his next trade, It's Free!
About Ako Capital
AKO Capital goal is to follow an evidence-based process and seek to achieve returns for their clients which materially outperforms the equity markets over time. The company was founded by Nicolai Tangen. Alcon Inc., a global medical company specializing in eye care products, represents a primary investment in AKO Capital's portfolio, exemplifying their commitment to healthcare innovation and steady market growth potential. Visa Inc., with its Class A ordinary shares, underscores AKO Capitalβs strategy in investing in robust payment processing networks, tapping into the ever-expanding digital transaction sector.Microsoft Corporation, a leading technology firm, reflects AKO Capital's focus on companies with strong software and cloud services ecosystems, signaling confidence in continuous tech advancements and long-term value creation. Intercontinental Exchange Inc., as part of the financial exchange and clearing house landscape, is indicative of AKO Capital's approach towards firms positioned at the core of global markets, offering stability and an edge in finance-related investments.Booking Holdings Inc., a top player in the online travel industry, rounds out AKO Capital's high-conviction holdings, aligning with consumer trends and digital commerce evolution. Each stock within this curated selection showcases strategic exposure to diverse sectors such as healthcare, fintech, technology, financial services, and online retail, portraying AKO Capital's diversified yet selective investment philosophy. Potential investors looking at AKO Capital's portfolio can discern a bias towards industry leaders with sustainable competitive advantages and proven track records, hinting at both visionary and pragmatic market insightsβthe hallmark of prudent investing.
Track Ako
Don't miss a trade. Get notified when Nicolai Tangen makes his next trade, It's Free!