Hedge Funds Similar to CHILTON INVESTMENT

13F Portfolio OverlapQ1 2026CHILTON INVESTMENT portfolio →
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Most similar hedge funds by 13F overlap

CHILTON INVESTMENT CO INC. is an institutional investor managing $4.3B across 280 U.S. equity positions as of Q1 2026. Based on the overlap of conviction holdings in their latest 13F filings, the hedge funds with portfolios most similar to CHILTON INVESTMENT are Obion, Bristol Gate Partners, Reliant Investment ,, with shared positions in $SHW, $AJG, $MCO, $AZO, $ORLY, $APH. The full ranking of 25 similar funds is below.

Notable overlap · 5 shared positions
$101M
15 positions
Notable overlap · 5 shared positions
$1.6B
31 positions
Notable overlap · 6 shared positions
$207M
53 positions
Notable overlap · 4 shared positions
$202M
95 positions
Notable overlap · 6 shared positions
$4.5B
92 positions
Notable overlap · 7 shared positions
$2.2B
82 positions
Notable overlap · 5 shared positions
$193M
50 positions
Notable overlap · 7 shared positions
$405M
73 positions
Notable overlap · 9 shared positions
$1.3B
100 positions
Notable overlap · 3 shared positions
$731M
24 positions
Notable overlap · 7 shared positions
$1.6B
323 positions
Notable overlap · 5 shared positions
$1.2B
30 positions
Notable overlap · 3 shared positions
$348M
20 positions
Notable overlap · 5 shared positions
$1.3B
60 positions
Notable overlap · 3 shared positions
$2.7B
226 positions
Notable overlap · 3 shared positions
$300M
62 positions
Notable overlap · 6 shared positions
$1.2B
81 positions
Notable overlap · 5 shared positions
$696M
70 positions
Notable overlap · 4 shared positions
$139M
62 positions
Notable overlap · 3 shared positions
$967M
249 positions
Notable overlap · 3 shared positions
$105M
81 positions
Notable overlap · 5 shared positions
$3.0B
58 positions
Notable overlap · 4 shared positions
$1.3B
49 positions
Notable overlap · 5 shared positions
$4.6B
32 positions
Notable overlap · 6 shared positions
$1.8B
269 positions

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Similarity is derived from each fund’s latest 13F-HR filing with the SEC. Funds are ranked by the overlap of distinctive conviction holdings; near-universal mega-cap positions are excluded so the ranking reflects shared strategy, not common index exposure. Data is informational only and not investment advice.