13F Portfolios

ABRAMS CAPITAL MANAGEMENT, L.P. — WILLIS TOWERS WATSON PLC LTD WTW: Quarterly 13F Position History

ABRAMS CAPITAL MANAGEMENT, L.P. has reported WILLIS TOWERS WATSON PLC LTD (WTW) on 38 13F-HR filings in Pactolio's tracked window, first appearing in Q4 2016. As of Q1 2026, the position is sized at 720,779 shares ($209.5M market value, 4.52% of the equity book).

Quarterly 13F-HR Disclosure History Source: SEC 13F-HR filings, 38 quarter s

Quarter Shares QoQ Share Change Share Change (%) Market Value Weight Implied Price
Q1 2026 720,779 0 $209.5M 4.52% $290.70
Q4 2025 720,779 0 $236.8M 4.17% $328.60
Q3 2025 720,779 0 $249.0M 4.04% $345.45
Q2 2025 720,779 0 $220.9M 3.61% $306.50
Q1 2025 720,779 0 $243.6M 4.32% $337.95
Q4 2024 720,779 0 $225.8M 3.63% $313.24
Q3 2024 720,779 0 $212.3M 3.41% $294.53
Q2 2024 720,779 0 $188.9M 3.69% $262.14
Q1 2024 720,779 86,057 -10.7% $198.2M 6.19% $275.00
Q4 2023 806,836 0 $194.6M 6.05% $241.20
Q3 2023 806,836 0 $168.6M 5.57% $208.96
Q2 2023 806,836 0 $190.0M 5.46% $235.50
Q1 2023 806,836 0 $187.5M 5.93% $232.38
Q4 2022 806,836 261,909 -24.5% $197.3M 7.04% $244.58
Q3 2022 1,068,745 0 $214.8M 6.19% $200.94
Q2 2022 1,068,745 0 $211.0M 5.67% $197.39
Q1 2022 1,068,745 0 $252.5M 5.89% $236.22
Q4 2021 1,068,745 25,256 -2.3% $253.8M 5.57% $237.49
Q3 2021 1,094,001 0 $254.3M 5.55% $232.46
Q2 2021 1,094,001 0 $251.6M 5.59% $230.02
Q1 2021 1,094,001 0 $250.4M 5.64% $228.88
Q4 2020 1,094,001 0 $230.5M 6.50% $210.68
Q3 2020 1,094,001 0 $228.4M 7.22% $208.82
Q2 2020 1,094,001 0 $215.5M 6.96% $196.95
Q1 2020 1,094,001 0 $185.8M 7.31% $169.85
Q4 2019 1,094,001 15,810 -1.4% $220.9M 6.86% $201.94
Q3 2019 1,109,811 0 $214.2M 6.00% $192.97
Q2 2019 1,109,811 0 $212.6M 5.77% $191.54
Q1 2019 1,109,811 0 $194.9M 5.47% $175.65
Q4 2018 1,109,811 73,476 -6.2% $168.5M 6.96% $151.86
Q3 2018 1,183,287 0 $166.8M 4.41% $140.94
Q2 2018 1,183,287 0 $179.4M 4.99% $151.60
Q1 2018 1,183,287 0 $180.1M 5.65% $152.19
Q4 2017 1,183,287 0 $178.3M 6.00% $150.69
Q3 2017 1,183,287 0 $182.5M 7.12% $154.23
Q2 2017 1,183,287 0 $172.1M 6.84% $145.46
Q1 2017 1,183,287 0 $154.9M 5.94% $130.89
Q4 2016 1,183,287 $144.7M 5.31% $122.28

Methodology & FAQ

How This Position History Is Sourced

Each row is one SEC Form 13F-HR filing disclosing this position. Share count, market value, and reported quarter are taken verbatim from the filing; portfolio weight is recomputed against the same filing's total reported equity book. Implied price-per-share is market value divided by shares — a quarter-end mark, not the manager's cost basis. See the full methodology document for the normalization rules.

When did ABRAMS CAPITAL MANAGEMENT, L.P. first disclose a WTW position in 13F-HR filings?

ABRAMS CAPITAL MANAGEMENT, L.P. first reported WILLIS TOWERS WATSON PLC LTD (WTW) on its 13F-HR filing for the period ending 2016-12-31 (Q4 2016). The position has appeared on 38 reported quarters within Pactolio's tracked window.

What was ABRAMS CAPITAL MANAGEMENT, L.P.'s most recent quarter-over-quarter share-count change in WTW?

ABRAMS CAPITAL MANAGEMENT, L.P. held the same 720,779 shares of WTW between Q4 2025 and Q1 2026 — the reported share count was unchanged quarter-over-quarter.

Does the implied price-per-share represent ABRAMS CAPITAL MANAGEMENT, L.P.'s cost basis in WTW?

No. The implied price-per-share column is the 13F-HR reported market value divided by reported share count on the filing date (end of quarter). It is a quarter-end mark, not a cost basis or transaction price. Use it as a sanity check on the value column, not as an indicator of the manager's entry or exit price.