Form 13F manager

PERSHING SQUARE INC.

Latest quarter 2026-06-30 · filed 2026-08-14 · reported total $19,466M · filing combined

As filed on Form 13F — 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
1UBER · UBER TECHNOLOGIES INCCOM$2,477M12.7%SH 34,326,200
2BROOKFIELD CORPCL A LTD VT SH$2,448M12.6%SH 57,481,047
3MSFT · MICROSOFT CORPCOM$2,315M11.9%SH 6,206,730
4AMZN · AMAZON COM INCCOM$2,041M10.5%SH 8,563,857
5HHH · HOWARD HUGHES HOLDINGS INCCOM$1,991M10.2%SH 27,852,064
6RESTAURANT BRANDS INTL INCCOM$1,872M9.6%SH 25,821,284
7META · META PLATFORMS INCCL A$1,800M9.2%SH 3,196,062
8V · VISA INCCOM CL A$1,122M5.8%SH 3,270,470
9MA · MASTERCARD INCORPORATEDCL A$1,091M5.6%SH 2,124,646
10SPGI · S&P GLOBAL INCCOM$1,056M5.4%SH 2,593,155
11NFLX · NETFLIX INC.COM$934M4.8%SH 13,081,465
12PSUS · PERSHING SQUARE USA LTDCOM SHS$150M0.8%SH 4,000,000
13SEAPORT ENTMT GROUP INCCOMMON STOCK$134M0.7%SH 5,023,780
14HERTZ GLOBAL HLDGS INCCOM NEW$34M0.2%SH 14,991,599
Filed rows (15) — as filed

The filer reports some securities in multiple rows; rows are shown as filed.

RowIssuerClassPut/callValue% of totalSH/PRN qtySource
1UBER TECHNOLOGIES INCCOM$2,477M12.7%SH 34,326,2000001172661-26-003790
2BROOKFIELD CORPCL A LTD VT SH$2,448M12.6%SH 57,481,0470001172661-26-003790
3MICROSOFT CORPCOM$2,315M11.9%SH 6,206,7300001172661-26-003790
4AMAZON COM INCCOM$2,041M10.5%SH 8,563,8570001172661-26-003790
5RESTAURANT BRANDS INTL INCCOM$1,872M9.6%SH 25,821,2840001172661-26-003790
6META PLATFORMS INCCL A$1,800M9.2%SH 3,196,0620001172661-26-003790
7HOWARD HUGHES HOLDINGS INCCOM$1,348M6.9%SH 18,852,0640001172661-26-003790
8VISA INCCOM CL A$1,122M5.8%SH 3,270,4700001172661-26-003790
9MASTERCARD INCORPORATEDCL A$1,091M5.6%SH 2,124,6460001172661-26-003790
10S&P GLOBAL INCCOM$1,056M5.4%SH 2,593,1550001172661-26-003790
11NETFLIX INC.COM$934M4.8%SH 13,081,4650001172661-26-003790
12HOWARD HUGHES HOLDINGS INCCOM$643M3.3%SH 9,000,0000001172661-26-003790
13PERSHING SQUARE USA LTDCOM SHS$150M0.8%SH 4,000,0000001172661-26-003790
14SEAPORT ENTMT GROUP INCCOMMON STOCK$134M0.7%SH 5,023,7800001172661-26-003790
15HERTZ GLOBAL HLDGS INCCOM NEW$34M0.2%SH 14,991,5990001172661-26-003790

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.

13 new · ▲ 1 up · ▼ 0 down · 0 exited · 0 unchanged — by reported quantity, largest value change first

RowChangeIssuerClassPut/callValue changeQty change
1newUBER TECHNOLOGIES INCCOM+$2,477MSH +34,326,200
2newBROOKFIELD CORPCL A LTD VT SH+$2,448MSH +57,481,047
3newMICROSOFT CORPCOM+$2,315MSH +6,206,730
4newAMAZON COM INCCOM+$2,041MSH +8,563,857
5newRESTAURANT BRANDS INTL INCCOM+$1,872MSH +25,821,284
6newMETA PLATFORMS INCCL A+$1,800MSH +3,196,062
7▲ upHOWARD HUGHES HOLDINGS INCCOM+$1,422MSH +18,852,064 (+209.5%)
8newVISA INCCOM CL A+$1,122MSH +3,270,470
9newMASTERCARD INCORPORATEDCL A+$1,091MSH +2,124,646
10newS&P GLOBAL INCCOM+$1,056MSH +2,593,155
11newNETFLIX INC.COM+$934MSH +13,081,465
12newPERSHING SQUARE USA LTDCOM SHS+$150MSH +4,000,000
13newSEAPORT ENTMT GROUP INCCOMMON STOCK+$134MSH +5,023,780
14newHERTZ GLOBAL HLDGS INCCOM NEW+$34MSH +14,991,599

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

Filing details

CIK set: 0002026053

Filing history

2026-06-3013F-HR