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David Rolfe

Wedgewood Partners

Wedgewood Partners, David Rolfe's focused growth and letter-driven framework

Wedgewood is a focused growth manager whose letters often explain the balance between business quality, valuation, and portfolio concentration. David Rolfe's commentary is useful for studying both conviction and mistakes.

Focused growth / business quality CIK 859804
2026-03-31 Latest 13F 20 Current holdings 23 Last 1 periods Change 0 Public materials
Latest 13F snapshot 2026-03-31 · 22 disclosed positions · $484.3M Top five 39.2%: GOOGL, TSM, META, AAPL, MSI

Performance materials

  • Wedgewood publishes letters and performance materials. Official materials are the performance reference.

Firm and key people

  • Rolfe has long represented Wedgewood's focused approach to high-quality growth businesses.
  • The firm publishes letters that discuss holdings, sells, and process lessons.
  • The 13F shows how the focused public portfolio changes over time.

Investment style

  • Prefer durable growth, strong competitive advantages, and high returns on capital.
  • Concentration requires clear thesis quality and risk control.
  • Read major changes with shareholder letters and valuation discussion.

Public materials

View timeline
Shareholder letters / memos 0
Interview 0
Public video 0
Public Q&A / speeches / presentations 0

Current holdings

13F period 2026-03-31 · Filed 2026-05-15
Stocks Shares Value Weight
GOOGL 155,701 $44.8M 9.2%
TSM 129,353 $43.7M 9.0%
META 65,805 $37.6M 7.8%
AAPL 135,128 $34.3M 7.1%
MSI 67,941 $29.5M 6.1%
MSFT 73,919 $27.4M 5.7%
V 83,010 $25.1M 5.2%
BKNG 5,517 $23.2M 4.8%
ODFL 113,941 $22.3M 4.6%
AMZN 99,907 $20.8M 4.3%
TSCO 456,094 $20.7M 4.3%
URI 25,192 $18.4M 3.8%
CB 53,886 $17.6M 3.6%
CDW 144,870 $17.5M 3.6%
PGR 83,352 $16.5M 3.4%
ORLY 178,397 $16.5M 3.4%
CPRT 462,749 $15.4M 3.2%
SPGI 32,371 $13.8M 2.8%
EW 170,969 $13.7M 2.8%
ZTS 113,541 $13.4M 2.8%

Last 1 quarters US 13F new / increased / reduced / sold-out positions

As of 13F 2026-03-31 · Filed 2026-05-15
Stocks Action 13F period Current shares Previous shares Share change 13F value change
PGR New 2026-03-31 Filed 2026-05-15 83,352 0 - +$16.5M
PYPL Sold out 2026-03-31 Filed 2026-05-15 0 215,900 -100.0% -$12.6M
TSM Major reduction 2026-03-31 Filed 2026-05-15 129,353 184,661 -30.0% -$12.4M
TOL New 2026-03-31 Filed 2026-05-15 88,275 0 - +$12.0M
MSFT Minor reduction 2026-03-31 Filed 2026-05-15 73,919 77,496 -4.6% -$10.1M
META Minor reduction 2026-03-31 Filed 2026-05-15 65,805 69,135 -4.8% -$8.0M
BKNG Minor reduction 2026-03-31 Filed 2026-05-15 5,517 5,817 -5.2% -$7.9M
AMZN Major increase 2026-03-31 Filed 2026-05-15 99,907 58,266 71.5% +$7.4M
GOOGL Minor reduction 2026-03-31 Filed 2026-05-15 155,701 163,913 -5.0% -$6.5M
V Minor reduction 2026-03-31 Filed 2026-05-15 83,010 87,151 -4.8% -$5.5M
IWF Major reduction 2026-03-31 Filed 2026-05-15 524 12,019 -95.6% -$5.5M
AAPL Minor reduction 2026-03-31 Filed 2026-05-15 135,128 142,920 -5.5% -$4.6M
SPGI Minor reduction 2026-03-31 Filed 2026-05-15 32,371 33,764 -4.1% -$3.9M
CPRT Minor reduction 2026-03-31 Filed 2026-05-15 462,749 486,085 -4.8% -$3.7M
ODFL Minor reduction 2026-03-31 Filed 2026-05-15 113,941 120,051 -5.1% +$3.4M
TSCO Minor reduction 2026-03-31 Filed 2026-05-15 456,094 481,023 -5.2% -$3.4M
CDW Minor reduction 2026-03-31 Filed 2026-05-15 144,870 151,871 -4.6% -$3.2M
URI Minor reduction 2026-03-31 Filed 2026-05-15 25,192 26,514 -5.0% -$3.1M
MSI Minor reduction 2026-03-31 Filed 2026-05-15 67,941 71,724 -5.3% +$2.0M
EW Minor reduction 2026-03-31 Filed 2026-05-15 170,969 180,882 -5.5% -$1.7M
ORLY Minor reduction 2026-03-31 Filed 2026-05-15 178,397 188,726 -5.5% -$745,871
ZTS Minor increase 2026-03-31 Filed 2026-05-15 113,541 104,701 8.4% +$248,186
CB Minor reduction 2026-03-31 Filed 2026-05-15 53,886 56,526 -4.7% -$79,722

Public video / Interview / Shareholder letter / Public Q&A

No viewpoint records yet.