AKO CAPITAL LLP
All 13F Filings
- Location
- London, X0
- Most recent 13F
- Q4 2025
- Holdings value ($000)
- 6,568,399
- Description
- London London based research oriented capital manager with a partnership governance model and a research first and risk aware investment mandate. The approach emphasizes valuation discipline and downside awareness, fundamental research depth, and active stewardship and governance oversight for risk aware portfolio mandates. The process prioritizes downside control, mandate clarity, and consistent execution standards through portfolio design accountability and governance clarity.
- Website
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- Founded
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- Chairman
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- CEO
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- All SEC filings
- View on sec.gov
Sector allocation over time (stocks only)
Stacked by quarter. Hover to see detailed sector breakdown for any quarter.
| Quarter | Date Filed | Holdings | Value ($000) | Form Type | Name |
|---|---|---|---|---|---|
| Q4 2025 | 2/17/2026 | 22 | 6,568,399 | 13F-HR | AKO CAPITAL LLP |
| Q3 2025 | 11/13/2025 | 23 | 7,033,749 | 13F-HR | AKO CAPITAL LLP |
| Q2 2025 | 8/13/2025 | 25 | 7,923,718 | 13F-HR | AKO CAPITAL LLP |
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Money flow by instrument (QoQ, ex-options)
| Type | Value ($000) | Share % | Inflow | Outflow | Net |
|---|---|---|---|---|---|
| Stocks | 6.568 M | 100.0% | 0 | 465.4 K | -465.4 K |
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Fund Snapshot
Q4 2025
Latest filed
2/17/2026
Total value ($000)
6,568,399
Holdings
22
QoQ value change ($000)
-465,350
(-6.6%)
Value = total reported 13F value ($000), Holdings = number of positions.
13F Value over time
Holdings count over time
Sector allocation (latest, stocks only)
Methodology:
sector allocation is stocks-only;
instrument flow table is ex-options;
options exposure is shown separately.
Details.