13F Filings History of Stillwater Investment Management, L.P.

Latest 13F report
Q3 2017 - 08 Nov 2017
Value $
$207,021,000
Signature - Title
Rhett Bennett - President
Location
Palo Alto, CA
Summary
This page shows a list of all the recent 13F filings made by Stillwater Investment Management, L.P.. Form 13F is required to be filed within 45 days of the end of a calendar quarter. Stillwater Investment Management, L.P. reported 13 stock holdings with total value $207,021,000 as of Q3 2017. Top holdings included CMCSA, FWONK, QSR, APD, and THS.

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Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Filing Time
Q3 2017 13 $207,021,000 +$3,036,116 -$126,498,603 -$123,462,487 CMCSA, FWONK, QSR, APD, THS 13F-HR 08 Nov 2017, 15:17
Q2 2017 17 $326,348,000 +$100,101,374 -$67,400,946 +$32,700,428 CMCSA, QSR, FWONK, EXPE, APD 13F-HR 11 Aug 2017, 16:21
Q1 2017 14 $274,062,000 +$67,115,642 -$65,180,400 +$1,935,242 CMCSA, QSR, EXPE, APD, STZ 13F-HR 15 May 2017, 12:21
Q4 2016 20 $276,138,000 +$102,225,909 -$90,612,686 +$11,613,223 CMCSA, QSR, SEE, APD, CB 13F-HR 09 Feb 2017, 17:03
Q3 2016 22 $256,709,000 +$110,825,475 -$31,320,594 +$79,504,881 QSR, CMCSA, CB, BRKA, MDLZ 13F-HR 10 Nov 2016, 15:18
Q2 2016 14 $173,022,000 +$53,492,680 -$87,733,383 -$34,240,703 CMCSA, QSR, CB, BRKA, SFM 13F-HR 12 Aug 2016, 08:39
Q1 2016 13 $208,465,000 +$103,712,725 -$67,579,483 +$36,133,242 QSR, CMCSA, CB, SFM, AAPL 13F-HR 11 May 2016, 15:08
Q4 2015 14 $165,268,000 $0 $0 $0 CMCSA, YUM, ACE, AAPL, PYPL Restatement 18 Apr 2016, 13:45