Top 10 Stocks to Buy According to Charles Pollnow’s Triple Frond Partners
In this article, we discuss the top 10 stocks to buy according to Charles Pollnow’s Triple Frond Partners.
Triple Frond Partners LLC operates as an investment firm, offering investment advisory and portfolio management services. Based in San Francisco, the firm specializes in managing significant investment portfolios.
Charles F. Pollnow, who previously served as a Manager at Triple Frond Partners LLC, holds an MBA from Stanford Graduate School of Business (1987-1989).
As of Q1 2024, Triple Frond Partners reported managing $878,556,000 in 13F securities, with a top 10 holdings concentration of 97.91%. The firm's largest holding is Charter Communications Inc., with 461,645 shares.
| Fund Name: | Triple Frond Partners |
| Manager | Charles F. Pollnow |
| Portfolio Value | $962,175,000 |
| Change This QTR | +1.05% |
| No. | Security | Ticker | Shares | Value | Activity | % Port | History |
|---|---|---|---|---|---|---|---|
| 1. | MSFT | 352,504 | $170,478,000 | -9% | 17.72% | ||
| 2. | TDG | 103,894 | $138,163,000 | +83% | 14.36% | ||
| 3. | ASML | 106,778 | $114,238,000 | -5% | 11.87% | ||
| 4. | GOOGL | 353,459 | $110,915,000 | -36% | 11.53% | ||
| 5. | AMZN | 478,534 | $110,455,000 | -12% | 11.48% |