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Mark Hillman — CEO & CIO — portfolio photo

Mark Hillman
Portfolio: Top Holdings & Stock Picks

Hillman Capital Management, Inc.

Mark Hillman (Hillman Capital Management, Inc.) disclosed 54 total holdings in its latest 13F filing dated 06/30/2026, with a portfolio value of $138.15 M and a turnover rate of 3.6%.

Portfolio Value
$138.15 M
Total Holdings
54
Latest Filing
Q2 2026
August 14, 2026
Turnover Rate
3.56%

Mark Hillman Top Holdings of Q2 2026

Mark Hillman Top Holdings of Q2 2026
Ticker Name Shares Value % of Portfolio Time Held % Change
CVS
55,475 $5.74 M 4.15% 6.5 Years -17.77%
23,993 $5.18 M 3.75% 6.5 Years -18.78%
DD
37,745 $5.12 M 3.71% New Buy -3.96%
WBD
189,986 $5.07 M 3.67% 4 Years -3.22%
BAX
236,032 $5.03 M 3.64% 2.7 Years -4.56%
IFF
62,875 $4.98 M 3.61% 3 Years -13.60%
GSK
92,383 $4.84 M 3.51% 3.7 Years -5.18%
KMX
91,385 $4.83 M 3.50% 4 Years -16.30%
BA
21,574 $4.67 M 3.38% >10 Years -3.37%
ZBH
53,943 $4.64 M 3.36% 4.7 Years -3.15%

Recent Moves

Significant New Position
+14,008 Shares | +$2.49 M Value
Continues to build a major stake in the Healthcare sector
Q2 2026
Added to Core Holding
+33,089 Shares | +$445,377.96 Value
Modest increase in Consumer Staples
Q2 2026
Reduced Exposure to Position
-22,292 Shares | -$2.53 M Value
Reduced exposure to Financials
Q2 2026
Complete Exit
-1,282 Shares | -$363,793 Value
Cleared GE, sector remains in portfolio
Q2 2026

Mark Hillman's Historical Top Holdings Overview

Portfolio Date:

Mark Hillman Top Stock Picks

Ticker Name Date Activity Shares Shares Change Value Change
06/30/2026 Reduce -86.1% 3,610 -22,292 $2.53 M
06/30/2026 New Buy 14,008 14,008 $2.49 M
CVS
06/30/2026 Reduce -17.8% 55,475 -11,987 $1.24 M
06/30/2026 Reduce -18.8% 23,993 -5,547 $1.2 M
TSM
06/30/2026 Reduce -29.6% 5,608 -2,354 $1.12 M
KMX
06/30/2026 Reduce -16.3% 91,385 -17,796 $941,230.51
UNH
06/30/2026 Reduce -27.0% 5,405 -2,000 $831,259.94
IFF
06/30/2026 Reduce -13.6% 62,875 -9,898 $784,119.64
06/30/2026 Reduce -28.2% 16,387 -6,438 $761,035.87
USB
06/30/2026 Reduce -21.5% 41,252 -11,276 $681,070.45

Mark Hillman's Portfolio Sector Breakdown

Portfolio Date:

About Mark Hillman

Mark Hillman is a portfolio manager and investment analyst, notably associated with managing funds at T. Rowe Price. As a key figure within a large asset management organization, he contributes to and implements the firm's established, research-intensive investment process. His work involves deep fundamental analysis and security selection within specific mandates, such as small-cap or value-oriented funds.

Frequently Asked Questions

As of 06/30/2026, Mark Hillman holds 54 stocks. Top positions include CVS, BIIB, DD, WBD, BAX. For full portfolio details, please visit Mark Hillman’s portfolio.

In Q2 2026, Mark Hillman’s largest purchase by dollar amount was VEEV. For complete transaction details, please visit Mark Hillman’s portfolio.

According to the 13F filing for Q2 2026, Mark Hillman increased their stake in CAG.

Mark Hillman's firm may occasionally request confidential treatment under SEC rule 13F-HR, which allows temporary non-disclosure of certain positions.