Glenn Greenberg

Brave Warrior Advisors

Glenn Greenberg (Brave Warrior Advisors) is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This Glenn Greenberg (Brave Warrior Advisors) portfolio page tracks Brave Warrior Advisors holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies Brave Warrior Advisors owns and how disclosed positions change over time. Glenn Greenberg (Brave Warrior Advisors)'s public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include ICON plc - Ordinary Shares (ICLR), OneMain Holdings Inc (OMF), Elevance Health, Inc. Common Stock (ELV), Capital One Financial Corporation Common Stock (COF), and SLM Corp (SLM). Investors use Brave Warrior Advisors 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

Latest Trades

CompanyValueActionChangePriceCurrent Price
ICON plc - Ordinary SharesICLR$332M3M sharesOtherQ1 2026 13F$332M$95.34$118.45
OneMain Holdings IncOMF$412M7.7M sharesTrimQ1 2026 13F$111M$53.49$54.28
Elevance Health, Inc. Common StockELV$329M1.1M sharesTrimQ1 2026 13F$110M$307.30$418.15
Capital One Financial Corporation Common StockCOF$183M1M sharesTrimQ1 2026 13F$61M$194.62$204.00
SLM CorpSLM$291M13.6M sharesTrimQ1 2026 13F$56M$21.41$21.88
MPLX LP Common Units Representing Limited Partner InterestsMPLX$186M3.3M sharesTrimQ1 2026 13F$53M$57.95$56.41
Builders FirstSource IncBLDR$195M2.4M sharesTrimQ1 2026 13F$49M$106.79$73.12
Ryanair Holdings plcRYAAY$176M3M sharesTrimQ1 2026 13F$45M$63.22$56.33
TD SYNNEX CORPSNX$515M3.1M sharesAddQ1 2026 13F$40M$168.71$246.76
Lennar CorpLEN$209M2.4M sharesTrimQ1 2026 13F$39M$119.25$93.52
F&G Annuities & Life, Inc.FG$136M5.4M sharesTrimQ1 2026 13F$30M$25.32$27.95
Fidelity National FinancialFNF$162M3.5M sharesTrimQ1 2026 13F$30M$51.92$48.07
Primerica IncPRI$220M879.3k sharesAddQ1 2026 13F$19M$254.25$263.01
Millrose Properties, Inc. Class A Common StockMRP$238M8.5M sharesTrimQ1 2026 13F$18M$28.00$28.06
AutoNation IncAN$302M1.5M sharesTrimQ1 2026 13F$18M$195.26$194.94
Antero Midstream CorporationAM$42M1.8M sharesAddQ1 2026 13F$9.1M$22.80$21.31
D.R. Horton IncDHI$95M693.6k sharesTrimQ1 2026 13F$5.9M$150.14$144.28
Sunbelt Rentals Holdings IncSUNB$1.5M23.8k sharesOtherQ1 2026 13F$1.5M$65.09$79.04
HCA Healthcare IncHCA$631k1.3k sharesTrimQ1 2026 13F$1.2M$518.22$361.32
U.S. BancorpUSB$-800.4KExitQ1 2026 13F$800k$54.26$55.35
Bank of America CorpBAC$708k14.5k sharesTrimQ1 2026 13F$751k$51.60$57.88
Ares Management CorpARES$546k5k sharesOtherQ1 2026 13F$546k$115.08$126.87
Alphabet IncGOOGL$5.8M20.3k sharesTrimQ1 2026 13F$515k$314.21$337.39
Apollo Global Management IncAPO$501k4.5k sharesOtherQ1 2026 13F$501k$123.95$118.29
Microsoft CorpMSFT$750k2k sharesAddQ1 2026 13F$496k$418.44$372.97
First American Financial CorporationFAF$301k5k sharesOtherQ1 2026 13F$301k$60.29$67.25
Energy Transfer LPET$290k15k sharesOtherQ1 2026 13F$290k$18.31$19.34
Visa IncV$-216.7KExitQ1 2026 13F$217k$313.35$336.23
S&P Global IncSPGI$-209.6KExitQ1 2026 13F$210k$427.37$417.09
JPMorgan Chase & Co.JPM$1.7M5.6k sharesTrimQ1 2026 13F$158k$303.48$333.45
Alphabet Cl CGOOG$1.1M3.8k sharesTrimQ1 2026 13F$102k$314.16$334.69
Applied Materials, Inc. - Common StockAMAT$328k961 sharesAddQ1 2026 13F$81k$336.38$592.92
The Progressive CorpPGR$355k1.8k sharesTrimQ1 2026 13F$43k$206.39$215.69
Comcast CorpCMCSA$893k31.1k sharesTrimQ1 2026 13F$37k$30.46$23.76
Moody's Corporation Common StockMCO$205k471 sharesTrimQ1 2026 13F$35k$473.05$450.01
Amazon.com IncAMZN$292k1.4k sharesTrimQ1 2026 13F$32k$220.17$232.69
Mastercard Incorporated Common StockMA$211k422 sharesTrimQ1 2026 13F$30k$511.38$499.02
Marriott International - Class A Common StockMAR$391k1.2k sharesAddQ1 2026 13F$20k$334.77$391.42
Meta Platforms IncMETA$213k373 sharesTrimQ1 2026 13F$9.7k$640.86$585.39