Aerarium

SEC EDGAR Form 13F

Akre Capital Management

Akre Capital Management is an institutional investment manager identified in SEC EDGAR Form 13F data.

Latest Form 13F: 19 long U.S. equity positions, $6.1B reported value for the period ended Mar 31, 2026, led by MASTERCARD INCORPORATED, BROOKFIELD CORP, and KKR & CO L P DEL.

CIK: 1112520 · Filed: May 14, 2026 · Period: Mar 31, 2026

Reported value
$6.1B
Positions
19
Key person
13F reporting manager
Style
Institutional 13F
Top holding
MA · MASTERCARD INCORPORATED
Period
Mar 31, 2026
Filed
May 14, 2026
CIK
1112520

What a 13F does not show

Form 13F covers many reportable long U.S. equity positions at quarter end. It does not show every asset type, short positions, hedges, intraperiod trades, or current holdings after the report date. Use it as ownership context, not investment advice.

Read the 13F guide →
MA
MASTERCARD INCORPORATED
Portfolio weight
18.58%
BN
BROOKFIELD CORP
Portfolio weight
11.23%
--
KKR & CO L P DEL
Portfolio weight
10.13%
MCO
MOODYS CORP
Portfolio weight
8.86%
V
VISA INC
Portfolio weight
8.07%

Top reported holdings

Showing the top 19 positions by reported value. Source: SEC EDGAR Form 13F; period 2026-03-31; filed 2026-05-14.

#TickerCompanySharesValuePortfolio %QoQ change
1MAMASTERCARD INCORPORATED2.3M$1.1B18.58%-24.1%
2BNBROOKFIELD CORP17.0M$689M11.23%-36.6%
3--KKR & CO L P DEL6.7M$621M10.13%-17.1%
4MCOMOODYS CORP1.2M$544M8.86%-28.2%
5VVISA INC1.6M$495M8.07%-38.8%
6ROPROPER TECHNOLOGIES INC1.3M$445M7.25%+13.8%
7CSGPCOSTAR GROUP INC10.3M$417M6.80%+7.6%
8FICOFAIR ISAAC CORP363.8K$388M6.33%+31.1%
9ORLYOREILLY AUTOMOTIVE INC3.9M$359M5.85%-42.2%
10CPRTCOPART INC8.0M$266M4.33%+1.7%
11ABNBAIRBNB INC2.0M$257M4.19%-41.4%
12CCCCCC INTELLIGENT SOLUTIONS HL31.5M$189M3.08%+26.9%
13CRMSALESFORCE INC817.8K$153M2.49%--
14NOWSERVICENOW INC1.1M$115M1.87%--
15GSHDGOOSEHEAD INS INC443.4K$19M0.31%+19.5%
16SOPHSOPHIA GENETICS SA3.7M$18M0.30%+0.0%
17AMTAMERICAN TOWER CORP NEW50.8K$9M0.14%-80.1%
18PRMPERIMETER SOLUTIONS INC250.0K$6M0.10%--
19BRKBBERKSHIRE HATHAWAY INC DEL10.3K$5M0.08%-13.1%

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