Ako Capital LLP

Managed by AKO Capital. $6.6M disclosed long-equity portfolio across 22 positions.

#StockValue% of Portfolio
1FLUTTER ENTMT PLC$670K10.20%
2ALCON AG$609K9.28%
3VISA INC$504K7.68%
4MICROSOFT CORP$494K7.52%
5AMAZON COM INC$401K6.11%
6MOODYS CORP$376K5.73%
7FERRARI N V$352K5.35%
8GE AEROSPACE$342K5.20%
9ANALOG DEVICES INC$338K5.15%
10INTERCONTINENTAL EXCHANGE IN$338K5.14%
11WATERS CORP$286K4.36%
12MARSH & MCLENNAN COS INC$275K4.19%
13CISCO SYS INC$240K3.65%
14COPART INC$235K3.58%
15BOOKING HOLDINGS INC$229K3.49%
16CANADIAN PACIFIC KANSAS CITY$218K3.32%
17FAIR ISAAC CORP$191K2.90%
18EQUIFAX INC$166K2.53%
19INTUIT$158K2.41%
20SALESFORCE INC$83K1.26%
21MASTERCARD INCORPORATED$57K0.87%
22LINDE PLC$6K0.09%

For full quarterly history, transactions, and the investor profile, see AKO Capital's page →

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Ako Capital LLP — overview

AKO Capital runs Ako Capital LLP, a multi-strategy investment firm tracked here via SEC 13F filings. As of the Q4 2025 13F filing, the disclosed long-equity portfolio is valued at $7M across 22 positions. The largest holdings are FLUTTER ENTMT PLC, ALCON AG, and VISA INC (FLUTTER ENTMT PLC alone is 10.2% of the book).

Key takeaways

  • Disclosed Q4 2025 portfolio: $7M.
  • Top holdings: FLUTTER ENTMT PLC, ALCON AG, and VISA INC.