Mark Hillman (Trades, Portfolio), the seasoned investor and president of Hillman Capital Management, has made notable changes to his investment portfolio in the third quarter of 2024. With a career that spans decades, Hillman's investment strategy focuses on identifying undervalued companies with strong competitive advantages and temporary market mispricings. His approach emphasizes thorough analysis of cash flow, dividends, sales, earnings, book value, and growth projections.
During the third quarter, Hillman strategically expanded his portfolio by adding three new stocks:
Mark Hillman (Trades, Portfolio) also significantly increased his stakes in several existing holdings:
Significant exits were made from several stocks, including:
Reductions were also notable in Hillman's portfolio adjustments:
As of the third quarter of 2024, Mark Hillman (Trades, Portfolio)'s portfolio comprised 52 stocks. The top holdings included 3.61% in International Flavors & Fragrances Inc (IFF, Financial), 3.49% in Microsoft Corp (MSFT, Financial), 3.48% in AT&T Inc (T, Financial), 3.46% in DuPont de Nemours Inc (DD, Financial), and 3.28% in Simon Property Group Inc (SPG). The portfolio is primarily concentrated across nine industries, including Healthcare, Communication Services, Consumer Defensive, Consumer Cyclical, Technology, Financial Services, Basic Materials, Industrials, and Real Estate.
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