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Akre Capital Management LLC – ‘13F-HR’ for 12/31/22 – ‘INFO-TABLE’

On:  Monday, 2/13/23, at 1:28pm ET   ·   Effective:  2/13/23   ·   For:  12/31/22   ·   Accession #:  1112520-23-6   ·   File #s:  28-06599, 28-17748

Previous ‘13F-HR’:  ‘13F-HR’ on 11/14/22 for 9/30/22   ·   Next:  ‘13F-HR’ on 5/12/23 for 3/31/23   ·   Latest:  ‘13F-HR’ on 5/13/24 for 3/31/24

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  As Of               Filer                 Filing    For·On·As Docs:Size

 2/13/23  Akre Capital Management LLC       13F-HR     12/31/22    2:13K

Quarterly Holdings and Combination Report by a Money Manager   —   Form 13F

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 13F-HR      Quarterly Holdings and Combination Report by a      HTML      5K 
                Money Manager -- primary_doc.xml/2.2                             
 2: INFO-TABLE  Portfolio Securities Holdings Info Table --         HTML     11K 
                infotable.xml                                                    


‘INFO-TABLE’   —   Portfolio Securities Holdings Info Table — infotable.xml




        

This ‘INFO-TABLE’ Document is an XML Data File that may be rendered in various formats:

  Information Table    –   Plain Text   –  SEC Website  –  EDGAR System  –    XML Data    –  <?xml?> File
 

 
Plain Text rendering:  Portfolio Securities Holdings Info Table
 
                                                                                                                                                                                
Information Table
 
Info Table:
Name of Issuer:  ADOBE SYSTEMS INCORPORATED
Title of Class:  COM
CUSIP:  00724F-10-1
Figi:  BBG000BB5006
Value:  417,148,454
Shrs or Prn Amt:
Ssh Prnamt:  1239558
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  1239558
Shared:  0
None:  0
Info Table:
Name of Issuer:  ALARM COM HLDGS INC
Title of Class:  COM
CUSIP:  011642-10-5
Figi:  BBG007GNPYY7
Value:  13,059,702
Shrs or Prn Amt:
Ssh Prnamt:  263939
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  263939
Shared:  0
None:  0
Info Table:
Name of Issuer:  AMERICAN TOWER CORP NEW
Title of Class:  COM
CUSIP:  03027X-10-0
Figi:  BBG000B9Y2N0
Value:  1,481,627,444
Shrs or Prn Amt:
Ssh Prnamt:  6993427
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  6993427
Shared:  0
None:  0
Info Table:
Name of Issuer:  BERKSHIRE HATHAWAY INC DEL
Title of Class:  CL B NEW
CUSIP:  084670-70-2
Figi:  BBG000DWG505
Value:  5,286,515
Shrs or Prn Amt:
Ssh Prnamt:  17114
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  17114
Shared:  0
None:  0
Info Table:
Name of Issuer:  BROOKFIELD ASSET MANAGMT LTD
Title of Class:  CL A LMT VTG SHS
CUSIP:  113004-10-5
Figi:  BBG01BPHNXZ3
Value:  105,840,580
Shrs or Prn Amt:
Ssh Prnamt:  3691684
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  3691684
Shared:  0
None:  0
Info Table:
Name of Issuer:  BROOKFIELD CORP
Title of Class:  CL A LTD VT SH
CUSIP:  11271J-10-7
Figi:  BBG000C9KL89
Value:  546,358,049
Shrs or Prn Amt:
Ssh Prnamt:  17366753
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  17366753
Shared:  0
None:  0
Info Table:
Name of Issuer:  CARMAX INC
Title of Class:  COM
CUSIP:  143130-10-2
Figi:  BBG000BLMZK6
Value:  322,170,330
Shrs or Prn Amt:
Ssh Prnamt:  5291022
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  5291022
Shared:  0
None:  0
Info Table:
Name of Issuer:  COSTAR GROUP INC
Title of Class:  COM
CUSIP:  22160N-10-9
Figi:  BBG000D7JKW9
Value:  549,571,310
Shrs or Prn Amt:
Ssh Prnamt:  7111430
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  7111430
Shared:  0
None:  0
Info Table:
Name of Issuer:  DANAHER CORPORATION
Title of Class:  COM
CUSIP:  235851-10-2
Figi:  BBG000BH3JF8
Value:  474,624,044
Shrs or Prn Amt:
Ssh Prnamt:  1788200
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  1788200
Shared:  0
None:  0
Info Table:
Name of Issuer:  DIGITALBRIDGE GROUP INC
Title of Class:  CL A COM
CUSIP:  25401T-60-3
Figi:  BBG00D30HGP6
Value:  54,609,417
Shrs or Prn Amt:
Ssh Prnamt:  4991720
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  4991720
Shared:  0
None:  0
Info Table:
Name of Issuer:  DOLLAR TREE INC
Title of Class:  COM
CUSIP:  256746-10-8
Figi:  BBG000BSC0K9
Value:  4,305,292
Shrs or Prn Amt:
Ssh Prnamt:  30439
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  30439
Shared:  0
None:  0
Info Table:
Name of Issuer:  GOOSEHEAD INS INC
Title of Class:  COM CL A
CUSIP:  38267D-10-9
Figi:  BBG00KHHBMC5
Value:  8,367,696
Shrs or Prn Amt:
Ssh Prnamt:  243672
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  243672
Shared:  0
None:  0
Info Table:
Name of Issuer:  KKR & CO L P DEL
Title of Class:  COM UNITS
CUSIP:  48251w-10-4
Figi:  BBG000BCQ6J8
Value:  701,077,433
Shrs or Prn Amt:
Ssh Prnamt:  15102918
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  15102918
Shared:  0
None:  0
Info Table:
Name of Issuer:  MASTERCARD INCORPORATED
Title of Class:  CL A
CUSIP:  57636Q-10-4
Figi:  BBG000F1ZSQ2
Value:  2,039,793,221
Shrs or Prn Amt:
Ssh Prnamt:  5866026
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  5866026
Shared:  0
None:  0
Info Table:
Name of Issuer:  MOODYS CORP
Title of Class:  COM
CUSIP:  615369-10-5
Figi:  BBG000F86GP6
Value:  1,589,188,577
Shrs or Prn Amt:
Ssh Prnamt:  5703785
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  5703785
Shared:  0
None:  0
Info Table:
Name of Issuer:  OREILLY AUTOMOTIVE INC
Title of Class:  COM
CUSIP:  67103H-10-7
Figi:  BBG000BGYWY6
Value:  997,882,320
Shrs or Prn Amt:
Ssh Prnamt:  1182283
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  1182283
Shared:  0
None:  0
Info Table:
Name of Issuer:  ROPER TECHNOLOGIES INC
Title of Class:  COM
CUSIP:  776696-10-6
Figi:  BBG000F1ZSN5
Value:  715,379,006
Shrs or Prn Amt:
Ssh Prnamt:  1655625
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  1655625
Shared:  0
None:  0
Info Table:
Name of Issuer:  VERISK ANALYTICS INC
Title of Class:  CL A
CUSIP:  92345Y-10-6
Figi:  BBG000BCZL41
Value:  3,347,746
Shrs or Prn Amt:
Ssh Prnamt:  18976
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  18976
Shared:  0
None:  0
Info Table:
Name of Issuer:  VISA INC
Title of Class:  COM CL A
CUSIP:  92826C-83-9
Figi:  BBG000PSKYX7
Value:  1,022,623,391
Shrs or Prn Amt:
Ssh Prnamt:  4922138
Ssh Prnamt Type:  SH
Investment Discretion:  SOLE
Voting Authority:
Sole:  4922138
Shared:  0
None:  0
Info Table:
Name of Issuer:  ALPHABET INC
Title of Class:  COM
CUSIP:  02079K-10-7
Figi:  BBG009S3NB30
Value:  8,873,000
Shrs or Prn Amt:
Ssh Prnamt:  100000
Ssh Prnamt Type:  SH
Put Call:  Call
Investment Discretion:  SOLE
Voting Authority:
Sole:  100000
Shared:  0
None:  0
Info Table:
Name of Issuer:  MASTERCARD INCORPORATED
Title of Class:  COM
CUSIP:  57636Q-10-4
Figi:  BBG000F1ZSQ2
Value:  3,474,300
Shrs or Prn Amt:
Ssh Prnamt:  10000
Ssh Prnamt Type:  SH
Put Call:  Call
Investment Discretion:  SOLE
Voting Authority:
Sole:  10000
Shared:  0
None:  0


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