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Portfolio overlap · pairwise 13F intersection

David Rolfe · William von Mueffling
what they both own

Both David Rolfe (Wedgewood Partners) and William von Mueffling (Cantillon Capital Management) hold 4 of the same stocks per their latest 13F filings — a Jaccard overlap of 8.2% across portfolios of 18 and 35 positions. Combined position weight in shared names: 49.7% of each investor's portfolio capacity.

4
Shared tickers
8.2%
Jaccard overlap
49.7%
Joint conviction

Shared positions, ranked by joint conviction

Joint conviction = David Rolfe's portfolio weight + William von Mueffling's portfolio weight. A stock that both investors size heavily ranks higher than one both hold marginally. Position weight reflects each investor's most recent 13F filing (45-day SEC lag applies; filings can be 1-3 months old).

TickerRolfeMuefflingJointConvictionScore
GOOGL9.5%7.4%16.9%0
TSM9.3%5.9%15.2%0
V5.3%3.6%8.9%0
MSFT5.8%2.9%8.7%0

Compare individually

Data note. Position percentages are derived from each investor's most recent SEC Form 13F filing (45-day lag), filtered to disclosed long positions only. 13F filings exclude short positions, options (mostly), foreign-domiciled holdings, and positions below the reporting threshold. Joint conviction is a descriptive sum, not a recommendation. Per HoldLens compliance: this page is factual portfolio comparison, not investment advice. Always verify against the source filing before acting.