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Focused investors/Vulcan Value Partners

Vulcan Value Partners

As of Q1 2026, this manager reported 33 long-equity positions worth $3.77B in aggregate.

As of Q1 2026, Vulcan Value Partners's Vulcan Value Partners held 33 long-equity positions with a reported value of $3.77B.

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Updated 2026-05-30 from SEC 13F data.

Live quotes available for 40 of 47 rows. Rows without a quote are marked unavailable.

1AMZNAMAZON COM INC7.35%Reduce -14.4%2,490,807$481.61M$193.3652w: $118.35 - $199.84; reported $193.36
2SWKSSKYWORKS SOLUTIONS INC7.35%Add +38.8%4,518,451$481.55M$106.5752w: $85.06 - $115.69; reported $106.57
3CRMSALESFORCE INC5.79%Add +76.1%1,476,111$379.47M$257.0752w: $193.68 - $318.71; reported $257.07
4MSFTMICROSOFT CORP5.65%Reduce -20.5%826,752$369.75M$447.2352w: $309.45 - $456.17; reported $447.23
5GOOGALPHABET INC5.55%Reduce -22.3%1,980,905$363.4M$183.4552w: $115.83 - $187.50; reported $183.45
6KKRKKR & CO INC4.70%Reduce -45.6%2,924,461$307.7M$105.2252w: $52.95 - $113.91; reported $105.22
7CSGPCOSTAR GROUP INC4.68%Add +90.1%4,138,987$306.83M$74.1352w: $67.35 - $100.38; reported $74.13
8MAMASTERCARD INCORPORATED4.64%Reduce -2.0%688,998$303.89M$441.0752w: $359.77 - $490.00; reported $441.07
9CGCARLYLE GROUP INC4.59%Reduce -3.8%7,495,229$300.77M$40.1352w: $27.13 - $48.52; reported $40.13
10TDGTRANSDIGM GROUP INC4.30%Reduce -34.7%220,570$281.63M$1276.8552w: $802.46 - $1369.58; reported $1276.85
11VVISA INC4.09%Reduce -2.7%1,020,377$267.84M$262.4952w: $227.68 - $290.96; reported $262.49
12LYVLIVE NATION ENTERTAINMENT IN3.86%Add +46.5%2,694,463$252.66M$93.7752w: $76.48 - $107.24; reported $93.77
13QRVOQORVO INC3.77%Add +35.0%2,123,936$246.67M$116.1452w: $80.62 - $121.65; reported $116.14
14CBRECBRE GROUP INC3.62%Add +4.8%2,666,141$237.32M$89.0152w: $64.63 - $98.65; reported $89.01
15NICENICE LTD3.12%Add +49.7%1,188,371$204.17M$171.8052w: $149.54 - $270.73; reported $171.80
16JLLJONES LANG LASALLE INC2.95%Reduce -6.4%943,391$193.22M$204.8152w: $119.46 - $213.33; reported $204.81
17ELVELEVANCE HEALTH INC2.85%Reduce -11.5%344,938$186.75M$541.3952w: $412.00 - $550.34; reported $541.39
18ARESARES MANAGEMENT CORPORATION2.33%Reduce -15.7%1,143,671$152.64M$133.4652w: $92.95 - $150.12; reported $133.46
19KMXCARMAX INC2.04%Add +299.7%1,827,139$133.77M$73.2152w: $59.66 - $88.22; reported $73.21
20HEI-AHEICO CORP NEW1.99%Reduce -11.8%734,063$130.21M$177.3852w: $124.33 - $182.10; reported $177.38
21SSNCSS&C TECHNOLOGIES HLDGS INC1.83%Reduce -5.5%1,918,399$120.18M$62.6552w: $46.61 - $65.86; reported $62.65
22FIFISERV INC1.36%Reduce -7.3%600,318$89.39MNo quoteNo quote
23UNHUNITEDHEALTH GROUP INC1.30%Reduce -6.6%167,470$85.12M$508.2552w: $436.38 - $554.70; reported $508.25
24LFUSLITTELFUSE INC0.94%Reduce -6.1%241,365$61.69M$255.5952w: $212.80 - $309.94; reported $255.59
25ABMABM INDS INC0.90%Reduce -16.9%1,168,048$59.07M$50.5752w: $37.61 - $53.05; reported $50.57
26ABTABBOTT LABS0.79%Reduce -11.9%500,469$51.98M$103.8652w: $89.67 - $121.64; reported $103.86
27CIGICOLLIERS INTL GROUP INC0.78%Add +4.6%454,181$50.77M$111.7852w: $83.38 - $131.05; reported $111.78
28SBUXSTARBUCKS CORP0.77%Reduce -17.7%651,366$50.68M$77.8052w: $71.80 - $107.66; reported $77.80
29CWKCUSHMAN WAKEFIELD PLC0.76%Reduce -6.5%4,765,752$49.56M$10.4052w: $6.24 - $11.83; reported $10.40
30DNBDUN & BRADSTREET HLDGS INC0.74%Add +26.8%5,206,280$48.21MNo quoteNo quote
31ITRNITURAN LOCATION AND CONTROL0.54%Reduce -7.6%1,410,937$35.18M$24.9352w: $22.36 - $31.01; reported $24.93
32MARMARRIOTT INTL INC NEW0.52%Reduce -0.7%140,475$33.94M$241.6252w: $178.24 - $260.57; reported $241.62
33MLKNMILLERKNOLL INC0.47%Reduce -8.6%1,164,023$31.06M$26.6852w: $14.50 - $31.33; reported $26.68
34SEESEALED AIR CORP NEW0.47%Reduce -15.7%878,918$30.58M$34.7952w: $28.50 - $47.12; reported $34.79
35VRTSVIRTUS INVT PARTNERS INC0.44%Reduce -18.1%128,890$29.11MNo quoteNo quote
36PRGPROG HOLDINGS INC0.42%Reduce -19.4%789,920$27.39M$34.6852w: $26.39 - $44.81; reported $34.68
37SMRTSMARTRENT INC0.33%Reduce -6.8%8,995,284$21.5M$2.3952w: $2.20 - $4.12; reported $2.39
38TKRTIMKEN CO0.31%Reduce -24.1%257,129$20.6M$80.1352w: $65.71 - $95.08; reported $80.13
39MEDPMEDPACE HLDGS INC0.24%Reduce -49.5%38,600$15.9M$411.8452w: $227.21 - $437.39; reported $411.84
40ENSENERSYS0.22%Reduce -40.4%138,507$14.34M$103.5252w: $83.27 - $113.34; reported $103.52
41PKPARK HOTELS & RESORTS INC0.21%Reduce -52.6%920,427$14.02M$15.2352w: $11.05 - $18.05; reported $15.23
42CCKCROWN HLDGS INC0.21%Add +162.1%183,368$13.64M$74.3952w: $69.61 - $96.35; reported $74.39
43PLNTPLANET FITNESS INC0.11%New97,386$7.17MNo quoteNo quote
44AYIACUITY BRANDS INC0.10%Reduce -20.5%27,828$6.72M$241.4552w: $155.34 - $272.74; reported $241.45
47GGENPACT LIMITED-Sold0$0No quoteNo quote
46GEGENERAL ELECTRIC CO-Sold0$0No quoteNo quote
45BALLBALL CORP-Sold0$0No quoteNo quote