RTO-L

RTO-L

RTO-L

Letters With This Ticker

Quarter Letter Date Fund Name QTD YTD Tickers Keywords/Themes Theme Commentary Pitches Letter
2024 Q2 Aug 6, 2024 GreenWood Investors 0.0% 16.6% CTT.LS, LDO.MI, MEIP, ODET.PA, PDD, RACE, ROL, RTO.L Biotechnology, Buybacks, defense, E-Commerce, Europe, Governance, value ODET.PA
RTO.L
PDD
CTT.LS
MEIP
LDO.MI
2024 Q1 Jun 8, 2024 Voss Value Offshore Fund 7.4% 8.9% ALTG, GENI, IMXI, PAR, RCM, RTO.L, SLCA, SWI Long/Short, M&A, small caps, special situations, technology, value
2024 Q1 Jun 8, 2024 Voss Value Fund 9.2% 9.2% ALTG, GENI, IMXI, PAR, RCM, RTO.L, SLCA, SWI AI, Long/Short, M&A, small caps, sports betting, technology, value
2025 Q1 May 22, 2025 Brown Advisors Global Leaders Strategy - -0.4% ABNB, AMZN, BKNG, EVD.DE, GE, GOOGL, LSEG.L, NFLX, PTON, RTO.L, SHW, WKL, ZM Capital Allocation, compounders, Concentration, global, narratives, Quality
2026 Q1 May 13, 2026 Broyhill Asset Management -8.9% -8.9% AVTR, BALL, CACI, FMS, FND, IQV, KW, LEG, MAS, MC.PA, MSFT, PM, RKT.L, RTO.L, SHC, SMWT, VVV, WOSG.L AI, Defensive, Europe, healthcare, Quality, value FND
MAS
SW
MSFT
SHC
AVTR
IQV
RB.L
BALL
RTO
VVV
2026 Q1 Apr 28, 2026 Diamond Hill Small-Mid Cap Strategy -2.5% -2.5% AR, AVTR, CIEN, HII, HUM, ICLR, LAMR, LPLA, PNFP, RKT, RRX, RTO.L, SSNC, WTW AI, defense, energy, healthcare, mid cap, Quality, small cap, volatility
2026 Q1 Apr 28, 2026 Diamond Hill International 3.5% 3.5% 005930 KS, 028260 KS, 0700.HK, CFR SW, CNQ.TO, DGE.L, HDFCBANK.NS, IMO.TO, RTO.L AI, energy, Geopolitical, international, semiconductors, technology, value 9435.T
RTO.L
028260.KS
DEO
IMO.TO
CNQ.TO
005930.KS
2025 Q1 Mar 31, 2025 Harris Associates International Equity Strategy 7.7% 7.7% 2502.T, 8802.T, BABA, BNP.PA, FLTR.L, GLEN.L, KER.PA, MC.PA, RTO.L, TKA.DE, WPP.L Asia, Cloud, defense, Europe, Gambling, international, Luxury, real estate, value MC.PA
8802.T
RTO.L
FLTR.L
2502.T
TKA.DE
BABA
BNP.PA
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Small Cap -7.3% 1.3% AMZN, CCK, CG, CRM, EG, ELV, FBHS, GOOGL, HEIA.AS, LYV, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH Building Products, discount, Europe, Foodservice, Margin Of Safety, small caps, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Large Cap -0.1% 17.5% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.PA, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH Alternative Asset Managers, global, healthcare, large cap, Margin Of Safety, technology, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Small Cap -2.5% 13.6% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.AS, KKR, LYV, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SW.ST, UNH Alternative Asset Managers, Concentration, healthcare, insurance, international, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Focus Plus 6.3% 26.1% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.AS, KKR, LYV, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH concentrated, Intrinsic Value, large cap, long-term, Margin Of Safety, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Focus Plus 7.4% 27.5% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.AS, KKR, LYV, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH Alternative Asset Managers, Cloud, Concentration, Discipline, insurance, large cap, value
2024 Q4 Dec 31, 2024 Brown Advisors Global Leaders Strategy - - 1299.HK, ASML, AZO, B3SA3.SA, BBRI.JK, BKNG, EL, EW, GOOGL, HDB, ILMN, META, MRVL, MSFT, NVDA, RHHBY, RTO.L, TSM, ZTS AI, Concentration, emerging markets, global, healthcare, Quality, semiconductors RTO.L
AZO
ZTS
ILMN
2024 Q4 Dec 31, 2024 Lansdowne Partners European Fund -1.6% 7.3% AHT.L, ASML.AS, CAP.PA, CFR.SW, CPG.L, EL.PA, FER.MC, INF.L, ISP.MI, KBC.BR, LDO.MI, LIN, ML.PA, NOVO-B.CO, REL.L, RTO.L, SAMPO.HE, SHEL.L, SIKA.SW, SU.PA, TEL2B.ST, WTB.L concentrated, Europe, industrials, materials, value ML.PA
LIN
CAP.PA
SIKA.SW
LDO.MI
EL.PA
CPG.L
2023 Q3 Dec 10, 2023 Cooper Investors Global Equities Fund (Unhedged) 5.5% 5.4% 6758.T, 8035.T, 8113.T, ADYEN.AS, AHT.L, AJG, AON, APG, BKNG, BME.L, CDW, COST, CRM, DHR, ERF.PA, FER.MC, FERG.L, G24.DE, HDB, HLMA.L, HLN.L, IQV, LBRDK, LSEG.L, RELX.L, RTO.L, TSM, ULTA, UNP, URI, YUMC China, cyclicals, Equipment Rental, global, infrastructure, Railroads, value SUNP IN
AHT.L
ANDURIL
MELI|NFLX|ORCL|TCOM|VRTX|YUMC
2024 Q3 Nov 5, 2024 Broyhill Asset Management 6.0% 0.0% AVTR, BAX, BN.PA, DG, EPAM, EVO.ST, FI, NICE, PM, PYPL, ROL, RTO.L, SCHW consumer, financials, gaming, healthcare, technology, value NICE
EVO.ST
RTO.L
2024 Q3 Oct 21, 2024 White Falcon Capital Management 6.0% 8.5% AMZN, CVO.TO, DAVA, EPAM, FNV, NU, PGO, RTO.L AI, Cloud, digital transformation, gold, IT Services, Precious Metals, value DAVA
2025 Q4 Jan 26, 2026 Brown Advisors Global Leaders Strategy 0.0% 15.2% ADBE, ALLE, ASML, AZO, EFX, EXPN.L, GE, GOOG, ILMN, LSEG.L, MA, MRVL, MSFT, ROG.SW, RTO.L, TSM, V, WDAY, WKL.AS, ZTS AI, Data, global, infrastructure, Quality, technology
2025 Q4 Jan 21, 2026 White Falcon Capital Management 5.6% 28.4% AFN.TO, AMD, AMZN, ATZ.TO, CSIQ, EPAM, FNV, GRFS, HUN, NFI.TO, NU, RGLD, RTO.L, TFPM, W AI, Chemicals, Cyclical, gold, semiconductors, Solar, technology, value HUN
NFI
NU
EPAM
AMD
2024 Q3 Sep 30, 2024 Cooper Investors Global Equities Fund (Unhedged) 5.5% 5.4% BKNG, ERF.PA, FYBR, GOOGL, LSEG.L, NFLX, RSG, RTO.L, TKO, V, VZ Global Equities, healthcare, long-term, Media, Quality, Telecommunications, Value Investing
2024 Q3 Sep 30, 2024 Aristotle International Equity Fund 10.5% 13.3% 005930.KS, 3064.T, 4578.T, 6758.T, 7532.T, 9433.T, ACN, AHT.L, BN, CCO, DEO, GSK, HEIA.AS, NEM.DE, ROG.SW, RTO.L, SAF.PA, TTE Asia, Diversified, Europe, international, Quality, value 3064.T
DGE.L
9681.T
RTO.L
BN.TO
2024 Q3 Sep 30, 2024 Aristotle/Saul Global Equity Fund 6.4% 11.6% 1357.HK, ADBE, AMGN, CCJ, D05.SI, LEN, MCHP, MLM, MSFT, QCOM, RTO.L, SMSN.L Diversified, fundamentals, global, long-term, Quality, value 8439.T
RTO.L
MCHP
BN.TO
8058.T
2024 Q3 Sep 30, 2024 ClearBridge Investments International Growth ADR Strategy 5.7% 0.0% 0992.HK, 1299.HK, 4091.T, 4543.T, 7936.T, 8035.T, 8766.T, ARGX, ASML, BN.PA, CPG.L, EL.PA, HLN.L, ICLR, ITX.MC, LSEG.L, NESN.SW, NVO, RTO.L, SAP, SPOT China, cyclicals, growth, international, Japan, Stimulus, Value rotation BN.PA
0992.HK
4091.T
8766.T
7936.T
4543.T
2024 Q3 Sep 30, 2024 Lansdowne Partners European Fund 1.1% 9.1% ASML, CAP.PA, CPG.L, DG.PA, EL.PA, IBE.MC, INF.L, ISP.MI, KBC.BR, LDO.MI, LIN, ML.PA, NESN.SW, NVO, REL.L, RTO.L, SCHN.PA, SHEL.L, SIKA.SW, TELE2.ST Europe, industrials, infrastructure, Logistics, materials, value NOVO-B.CO
ML.PA
SGRO.L
FER.MC
SIKA.SW
2024 Q2 Jul 17, 2024 White Falcon Capital Management 6.0% 8.5% AMZN, ATZ.TO, CTS, CVX, DAVA, EPAM, FTRE, NU, NVDA, OXY, RTO.L, WBD AI, IT Services, Quality, small caps, technology, value RTO.L
ATZ.TO
2024 Q2 Jul 15, 2024 Cooper Investors Global Equities Fund (Unhedged) 5.5% 5.4% ACN, AER, BKNG, CDW, CRM, ERF.PA, FER.MC, FERG.L, GEHC, GOOGL, HDB, LPX, LSEG.L, REL.L, ROL, RTO.L, SONY, TSM, ULTA, YUMC AI, global, growth, Quality, semiconductors, value
2024 Q2 Jun 30, 2024 Lansdowne Partners European Fund 0.8% 7.9% ASML, BOL.ST, CBK.DE, CPG.L, DG.PA, EL.PA, HLMA.L, INF.L, ISP.MI, KBC.BR, LIN, ML.PA, NVO, REL.L, RTO.L, RYA.L, SHEL.L, SIKA.SW, SU.PA, TEL2B.ST Europe, industrials, technology, Telecom, value TEL2B.ST
EL.PA
ASML.AS
2025 Q1 Apr 21, 2025 White Falcon Capital Management -6.7% -6.7% CTS.TO, DAVA, EPAM, GRFS, NFI.TO, NU, RTO.L Biotechnology, global, gold, IT Services, small caps, tariffs, Trade Policy, value GRFS
2023 Q1 Apr 18, 2023 Brasada Focused Equity Strategy 0.0% 0.0% CP, GOOGL, KSU, ROL, RTO.L Concentration, Mergers, Pest Control, Railroads, technology, value GOOGL
ACP.WA
RTO.L
2023 Q1 Apr 18, 2023 Cooper Investors Global Equities Fund (Unhedged) 5.5% 5.4% 7741.T, AON, APG, BKNG, CRH, CRM, DHR, ERF.PA, FERG.L, FTR, LSEG.L, RTO.L, SNPS, SONY global, semiconductors, Stalwarts, technology, Travel, value LSEG.L
RTO.L
BKNG
2023 Q4 Mar 2, 2024 GreenWood Investors 0.0% 16.6% BOL.PA, CTT.LS, LDO.MI, MEIP, NXE, PDD, RTO.L, UMG.AS activism, defense, E-Commerce, Europe, Music, Owner-Operators, uranium, value
2023 Q4 Feb 26, 2024 Aristotle International Equity Fund 10.5% 13.3% 6367.T, 6594.T, EXPN.L, NEM.DE, RTO.L Energy Efficiency, international, Japan, Quality, software, value 6367.T
2023 Q4 Feb 26, 2024 Aristotle/Saul Global Equity Fund 6.4% 11.6% 3064.T, FMC, KUB, LEN, NMET.DE, RTO.L Agriculture, global, Homebuilders, Industrial, Quality, technology, value 3064.T
FMC
RTO.L
GLEN
2024 Q4 Jan 17, 2025 White Falcon Capital Management 5.5% 14.4% AMD, AMZN, ATZ.TO, CTS.TO, DAVA, EPAM, NFI.TO, NU, PRGO, RTO.L, VALE, XEQT.TO Brazil, Pharmaceuticals, small caps, technology, turnaround, value
2023 Q4 Jan 15, 2024 Cooper Investors Global Equities Fund (Unhedged) 5.5% 5.4% 6758.T, 8035.T, ADYEN.AS, AIT.L, AON, CDW, CRM, DHR, EUFI.PA, FER.MC, FTV, GEHC, GOOGL, HLN.L, LSEG.L, MSFT, RTO.L, URI, WDAY, YUMC cyclicals, global, healthcare, technology, Turnarounds, value ADYEN.AS
LSEG.L
GEHC
2023 Q4 Jan 13, 2024 ClearBridge Investments International Growth ADR Strategy 5.7% 0.0% 0700.HK, 4911.T, 6098.T, 6273.T, 7741.T, 8035.T, 9449.T, ACN, ADYEN.AS, ASML, CLNX.MC, CRH, III.L, NVO, RELX, RTO.L, SAP, SEDG, SHOP.TO, TRI AI, Europe, growth, international, Japan, semiconductors

Pitches With This Ticker

Date Pitch Type Author Company Industry Sub Industry Bull / Bear Stock Exchange Keywords Action
Apr 29, 2026 Fund Letters Diamond Hill International Rentokil Initial Specialty Business Services Commercial Services & Supplies Bull New York Stock Exchange acquisition integration, business services, Global, pest control, recurring revenue, resilient demand, turnaround
Apr 28, 2026 Fund Letters Aristotle/Saul Global Equity Fund Rentokil Initial plc Industrials Commercial Services & Supplies Bull LSE business services, Cost synergies, defensive business, M&A Integration, market consolidation, North America, pest control, recurring revenue
Apr 27, 2026 Fund Letters Brasada Focused Equity Strategy Rentokil Initial Commercial & Professional Services Environmental & Facilities Services Bull London Stock Exchange acquisition, defensive, market consolidation, Operational Turnaround, pest control, Recession-resistant, synergies, UK, Value
Apr 27, 2026 Fund Letters Cooper Investors Global Equities Fund (Unhedged) Rentokil Initial plc Industrials Commercial Services & Supplies Bull London Stock Exchange defensive, margin expansion, market leader, Non-Discretionary, pest control, Route Density, synergies, Terminix Acquisition
Apr 13, 2026 Fund Letters White Falcon Capital Management Rentokil Initial plc Industrials Commercial Services & Supplies Bull London Stock Exchange asymmetric risk-reward, business services, defensive, Hygiene Services, M&A Integration, pest control, Recession-resistant, Value
Apr 13, 2026 Fund Letters Harris Associates International Equity Strategy Rentokil Initial PLC Industrials Commercial Services & Supplies Bull London Stock Exchange Acquisitions, cash flow generation, Defensive growth, market leader, pest control, Scale Advantages, Terminix integration
Apr 13, 2026 Fund Letters GreenWood Investors Rentokil Initial plc Industrials Commercial Services & Supplies Bull London Stock Exchange acquisition integration, competitive moat, customer retention, Management transformation, organic growth, pest control, Technician retention, Terminix
Apr 13, 2026 Fund Letters Aristotle International Equity Fund Rentokil Initial Industrials Commercial Services & Supplies Bull London Stock Exchange customer retention, Hygiene Services, M&A Integration, market consolidation, operational synergies, pest control, technology, Terminix
Apr 13, 2026 Fund Letters Aristotle/Saul Global Equity Fund Rentokil Initial Industrials Commercial Services & Supplies Bull London Stock Exchange Branch Network, customer retention, Hygiene Services, market consolidation, operational synergies, pest control, Technology Utilization, Terminix integration
Apr 13, 2026 Fund Letters Broyhill Asset Management Rentokil Initial Commercial & Professional Services Environmental & Facilities Services Bull London Stock Exchange acquisition, activist investor, Climate Tailwinds, Fragmented Industry, Integration, pest control, UK, Value
Apr 13, 2026 Fund Letters Brown Advisors Global Leaders Strategy Rentokil Commercial & Professional Services Commercial Services & Supplies Bull LSE acquisition integration, Commercial Services, consolidation, market leadership, Network Optimization, Non-Deferrable Services, pest control, Route Density, Scale economies, Structural Growth

BSD Shareholders of RTO-L

This report provides a detailed summary of investor holdings for a specified stock ticker, highlighting key metrics such as fund name, total assets under management (AUM), invested value, portfolio weight, and shares owned. It also tracks changes in share ownership during the last quarter, including the percentage of shares bought or sold and the percentage of outstanding shares owned. The data is generated using an API that processes investor holdings and calculates these values for each fund. This report helps investors and analysts monitor the stock positions of major funds, identify investment trends, and assess the influence of large investors on individual stocks.

Filing Date: September 30, 2025
Manager Name Fund Name Fund AUM Invested Value Portfolio Weight Shares Owned Shares Bought / Sold During Quarter % Bought / Sold During Quarter % of Shares Outstanding Owned
No investor data available.