Earnings ยท 13F ยท About ยท Subscribe

Form 13F manager

Cantillon Capital Management LLC

Latest quarter 2026-06-30 ยท filed 2026-07-29 ยท reported total $665M ยท filing combined

As filed on Form 13F โ€” long US-listed positions only. No shorts, cash, bonds, or non-13F assets appear here.

Filed up to 45 days after quarter end; holdings may have changed since.

Combined report.

Positions

RowIssuerClassPut/callValue% of totalSH/PRN qty
1AVGO ยท BROADCOM INCCOMโ€”$71M10.6%SH 186,760
2GOOGL ยท ALPHABET INCCAP STK CL Aโ€”$61M9.2%SH 171,066
3TSM ยท TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADSโ€”$55M8.2%SH 114,820
4INTERACTIVE BROKERS GROUP INCOM CL Aโ€”$45M6.8%SH 517,833
5AMAT ยท APPLIED MATLS INCCOMโ€”$36M5.5%SH 50,176
6ADI ยท ANALOG DEVICES INCCOMโ€”$35M5.3%SH 88,014
7SPGI ยท S&P GLOBAL INCCOMโ€”$29M4.4%SH 71,249
8V ยท VISA INCCOM CL Aโ€”$29M4.3%SH 83,643
9MSFT ยท MICROSOFT CORPCOMโ€”$26M3.9%SH 68,901
10CBRE ยท CBRE GROUP INCCL Aโ€”$24M3.7%SH 181,083
11LIVE NATION ENTERTAINMENT INCOMโ€”$21M3.1%SH 113,503
12BLK ยท BLACKROCK INCCOMโ€”$20M3.0%SH 20,873
13FERGUSON ENTERPRISES INCCOMMON STOCK NEWโ€”$19M2.9%SH 80,548
14FAST ยท FASTENAL COCOMโ€”$18M2.7%SH 376,044
15ENTG ยท ENTEGRIS INCCOMโ€”$18M2.7%SH 99,756
16CANADIAN PACIFIC KANSAS CITYCOMโ€”$17M2.6%SH 199,860
17UBER ยท UBER TECHNOLOGIES INCCOMโ€”$17M2.6%SH 238,965
18A ยท AGILENT TECHNOLOGIES INCCOMโ€”$17M2.5%SH 126,437
19INTERCONTINENTAL EXCHANGE INCOMโ€”$17M2.5%SH 135,468
20ORCL ยท ORACLE CORPCOMโ€”$15M2.3%SH 105,457
21CME ยท CME GROUP INCCOMโ€”$14M2.1%SH 63,835
22YUM ยท YUM BRANDS INCCOMโ€”$13M2.0%SH 83,427
23TRADEWEB MKTS INCCL Aโ€”$11M1.6%SH 108,989
24SS&C TECH HLDGSCOMโ€”$11M1.6%SH 172,816
25SPOT ยท SPOTIFY TECHNOLOGY S ASHSโ€”$9.3M1.4%SH 20,216
26TRIP COM GROUP LTDADSโ€”$8.5M1.3%SH 214,242
27MCO ยท MOODYS CORPCOMโ€”$8.2M1.2%SH 18,075
Filed rows (27) โ€” as filed
RowIssuerClassPut/callValue% of totalSH/PRN qtySource
1BROADCOM INCCOMโ€”$71M10.6%SH 186,7600001279936-26-000005
2ALPHABET INCCAP STK CL Aโ€”$61M9.2%SH 171,0660001279936-26-000005
3TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADSโ€”$55M8.2%SH 114,8200001279936-26-000005
4INTERACTIVE BROKERS GROUP INCOM CL Aโ€”$45M6.8%SH 517,8330001279936-26-000005
5APPLIED MATLS INCCOMโ€”$36M5.5%SH 50,1760001279936-26-000005
6ANALOG DEVICES INCCOMโ€”$35M5.3%SH 88,0140001279936-26-000005
7S&P GLOBAL INCCOMโ€”$29M4.4%SH 71,2490001279936-26-000005
8VISA INCCOM CL Aโ€”$29M4.3%SH 83,6430001279936-26-000005
9MICROSOFT CORPCOMโ€”$26M3.9%SH 68,9010001279936-26-000005
10CBRE GROUP INCCL Aโ€”$24M3.7%SH 181,0830001279936-26-000005
11LIVE NATION ENTERTAINMENT INCOMโ€”$21M3.1%SH 113,5030001279936-26-000005
12BLACKROCK INCCOMโ€”$20M3.0%SH 20,8730001279936-26-000005
13FERGUSON ENTERPRISES INCCOMMON STOCK NEWโ€”$19M2.9%SH 80,5480001279936-26-000005
14FASTENAL COCOMโ€”$18M2.7%SH 376,0440001279936-26-000005
15ENTEGRIS INCCOMโ€”$18M2.7%SH 99,7560001279936-26-000005
16CANADIAN PACIFIC KANSAS CITYCOMโ€”$17M2.6%SH 199,8600001279936-26-000005
17UBER TECHNOLOGIES INCCOMโ€”$17M2.6%SH 238,9650001279936-26-000005
18AGILENT TECHNOLOGIES INCCOMโ€”$17M2.5%SH 126,4370001279936-26-000005
19INTERCONTINENTAL EXCHANGE INCOMโ€”$17M2.5%SH 135,4680001279936-26-000005
20ORACLE CORPCOMโ€”$15M2.3%SH 105,4570001279936-26-000005
21CME GROUP INCCOMโ€”$14M2.1%SH 63,8350001279936-26-000005
22YUM BRANDS INCCOMโ€”$13M2.0%SH 83,4270001279936-26-000005
23TRADEWEB MKTS INCCL Aโ€”$11M1.6%SH 108,9890001279936-26-000005
24SS&C TECH HLDGSCOMโ€”$11M1.6%SH 172,8160001279936-26-000005
25SPOTIFY TECHNOLOGY S ASHSโ€”$9.3M1.4%SH 20,2160001279936-26-000005
26TRIP COM GROUP LTDADSโ€”$8.5M1.3%SH 214,2420001279936-26-000005
27MOODYS CORPCOMโ€”$8.2M1.2%SH 18,0750001279936-26-000005

Changes from 2026-03-31 (rows of a security combined)

Reported change, not a confirmed trade: this compares quarter-end reports filed up to 45 days later, and the position may since have changed. Amendments, corporate actions, and changes in reporting scope can also move these rows. Value change compares period-end reported values; for continuing rows it includes market price movement.

0 new ยท โ–ฒ 0 up ยท โ–ผ 27 down ยท 11 exited ยท 0 unchanged โ€” by reported quantity, largest value change first

RowChangeIssuerClassPut/callValue changeQty change
1โ–ผ downBROADCOM INCCOMโ€”โˆ’$1,185MSH โˆ’3,869,242 (โˆ’95.4%)
2โ–ผ downALPHABET INCCAP STK CL Aโ€”โˆ’$1,007MSH โˆ’3,543,995 (โˆ’95.4%)
3โ–ผ downTAIWAN SEMICONDUCTOR MANUFACSPONSORED ADSโ€”โˆ’$788MSH โˆ’2,378,731 (โˆ’95.4%)
4โ–ผ downINTERACTIVE BROKERS GROUP INCOM CL Aโ€”โˆ’$709MSH โˆ’10,728,048 (โˆ’95.4%)
5โ–ผ downS&P GLOBAL INCCOMโ€”โˆ’$629MSH โˆ’1,476,054 (โˆ’95.4%)
6โ–ผ downANALOG DEVICES INCCOMโ€”โˆ’$573MSH โˆ’1,823,477 (โˆ’95.4%)
7โ–ผ downCBRE GROUP INCCL Aโ€”โˆ’$508MSH โˆ’3,750,893 (โˆ’95.4%)
8โ–ผ downVISA INCCOM CL Aโ€”โˆ’$491MSH โˆ’1,634,515 (โˆ’95.1%)
9โ–ผ downAPPLIED MATLS INCCOMโ€”โˆ’$484MSH โˆ’1,471,667 (โˆ’96.7%)
10โ–ผ downINTERCONTINENTAL EXCHANGE INCOMโ€”โˆ’$446MSH โˆ’2,806,486 (โˆ’95.4%)
11โ–ผ downBLACKROCK INCCOMโ€”โˆ’$416MSH โˆ’432,409 (โˆ’95.4%)
12โ–ผ downCME GROUP INCCOMโ€”โˆ’$395MSH โˆ’1,322,511 (โˆ’95.4%)
13โ–ผ downFERGUSON ENTERPRISES INCCOMMON STOCK NEWโ€”โˆ’$389MSH โˆ’1,668,754 (โˆ’95.4%)
14โ–ผ downMICROSOFT CORPCOMโ€”โˆ’$386MSH โˆ’1,043,364 (โˆ’93.8%)
15exitedTHERMO FISHER SCIENTIFIC INCCOMโ€”โˆ’$378MSH โˆ’769,698
16โ–ผ downFASTENAL COCOMโ€”โˆ’$361MSH โˆ’7,790,620 (โˆ’95.4%)
17โ–ผ downUBER TECHNOLOGIES INCCOMโ€”โˆ’$356MSH โˆ’4,954,899 (โˆ’95.4%)
18โ–ผ downLIVE NATION ENTERTAINMENT INCOMโ€”โˆ’$355MSH โˆ’2,351,556 (โˆ’95.4%)
19exitedAON PLCSHS CL Aโ€”โˆ’$354MSH โˆ’1,095,574
20โ–ผ downCANADIAN PACIFIC KANSAS CITYCOMโ€”โˆ’$324MSH โˆ’4,144,575 (โˆ’95.4%)
Remaining 18 reported changes
RowChangeIssuerClassPut/callValue changeQty change
21exitedEQUIFAX INCCOMโ€”โˆ’$323MSH โˆ’1,791,379
22โ–ผ downAGILENT TECHNOLOGIES INCCOMโ€”โˆ’$296MSH โˆ’2,619,392 (โˆ’95.4%)
23exitedIQVIA HLDGS INCCOMโ€”โˆ’$292MSH โˆ’1,710,896
24exitedAMERICAN TOWER CORPCOMโ€”โˆ’$278MSH โˆ’1,612,473
25โ–ผ downYUM BRANDS INCCOMโ€”โˆ’$268MSH โˆ’1,728,369 (โˆ’95.4%)
26โ–ผ downTRADEWEB MKTS INCCL Aโ€”โˆ’$268MSH โˆ’2,258,052 (โˆ’95.4%)
27exitedADOBE INCCOMโ€”โˆ’$248MSH โˆ’1,019,710
28โ–ผ downSS&C TECH HLDGSCOMโ€”โˆ’$243MSH โˆ’3,580,277 (โˆ’95.4%)
29โ–ผ downENTEGRIS INCCOMโ€”โˆ’$236MSH โˆ’2,066,672 (โˆ’95.4%)
30โ–ผ downTRIP COM GROUP LTDADSโ€”โˆ’$220MSH โˆ’4,375,379 (โˆ’95.3%)
31โ–ผ downSPOTIFY TECHNOLOGY S ASHSโ€”โˆ’$204MSH โˆ’419,137 (โˆ’95.4%)
32exitedALCON AGORD SHSโ€”โˆ’$189MSH โˆ’2,507,095
33โ–ผ downORACLE CORPCOMโ€”โˆ’$173MSH โˆ’1,177,728 (โˆ’91.8%)
34โ–ผ downMOODYS CORPCOMโ€”โˆ’$163MSH โˆ’374,438 (โˆ’95.4%)
35exitedFLUTTER ENTMT PLCSHSโ€”โˆ’$140MSH โˆ’1,375,776
36exitedTENCENT MUSIC ENTMT GROUPSPON ADSโ€”โˆ’$124MSH โˆ’13,382,595
37exitedLPL FINL HLDGS INCCOMโ€”โˆ’$98MSH โˆ’324,927
38exitedLIBERTY MEDIA CORP DELCOM LBTY ONE S Cโ€”โˆ’$88MSH โˆ’1,035,685

Changes appear only where the prior quarter's validated report exists.

Filing details

CIK set: 0001279936

Filing history

2026-06-3013F-HR