Follow-The-Filings

What the superinvestors bought and sold in 2025 Q4

137 of 137 filedholdings as of 31 Dec 2025as of today

2025 Q4

137 of 137 filed
Pick managers

Combine any featured managers. A manager counts once it has a book in both quarters.

2026 Q3 filings are coming in 0 of 137 filed · due 16 Nov See the early read

The quarter at a glance

87 of 136 managers were net sellers. Setting price aside, they took $12.7B out, led by Information Technology (−$6.1B), while adding to Energy (+$4.9B). BN was the most widely bought stock (12 bought, 0 sold); GOOGL / GOOG the most widely sold (36 sold, 17 bought).

Net buyers 46 of 136 managers 87 sold more than they bought · 3 about even
Net bought −$12.7B Price moves taken out; prices alone moved the book +$37.7B.
Positions opened 766 747 closed out. IPOs, spin-offs and mergers left out.
Combined book, last quarter +2.1% SPY +2.4%, 0.2 pts behind. Price only.

Most bought and sold

Ranked by how many managers bought minus how many sold, with price moves taken out. Open a stock to see who.

Most bought

  1. 1 BN Brookfield Corp. 12 bought · 0 sold +$3B

    Bought by

    and 4 more

    Sold by

    No manager sold.

    BN: every holder and its history

  2. 2 DASH Doordash Inc. 11 bought · 0 sold +$1.6B
  3. 3 NVDA Nvidia Corporation 19 bought · 10 sold +$1.6B
  4. 4 RKT Rocket Cos Inc. 9 bought · 0 sold +$1.1B

    Bought by

    and 1 more

    Sold by

    No manager sold.

    RKT: every holder and its history

  5. 5 GEHC Ge Healthcare Technologies, Inc. 7 bought · 0 sold +$920M

    Bought by

    Sold by

    No manager sold.

    GEHC: every holder and its history

  6. 6 SPY Spdr S&P 500 ETF Tr 9 bought · 2 sold +$226M

    Bought by

    and 1 more

    Sold by

    SPY: every holder and its history

  7. 7 TXN Texas Instrs Inc. 7 bought · 0 sold +$192M
  8. 8 NFLX Netflix Inc. 11 bought · 4 sold −$1.1B
  9. 9 SPOT Spotify Technology S A 6 bought · 0 sold +$765M

    Bought by

    Sold by

    No manager sold.

    SPOT: every holder and its history

  10. 10 ISRG Intuitive Surgical Inc. 6 bought · 0 sold +$726M

    Bought by

    Sold by

    No manager sold.

    ISRG: every holder and its history

Not counted as buying: 179 IPOs, spin-offs and new listings.

Most sold

  1. 1 GOOGL / GOOG Alphabet 17 bought · 36 sold −$3.1B

    Sold by

    and 28 more

    GOOGL / GOOG: every holder and its history

  2. 2 BAC Bank America Corp. 0 bought · 13 sold −$4.9B
  3. 3 INTU Intuit 3 bought · 14 sold −$2.1B
  4. 4 META Meta Platforms Inc. 13 bought · 23 sold −$1.5B
  5. 5 C Citigroup Inc. 0 bought · 9 sold −$935M
  6. 6 AAPL Apple Inc. 2 bought · 10 sold −$3.6B
  7. 7 AXP American Express Co. 0 bought · 8 sold −$132M

    Sold by

    Bought by

    No manager bought.

    AXP: every holder and its history

  8. 8 APP Applovin Corp. 2 bought · 9 sold −$1.3B
  9. 9 BABA Alibaba Group Holding, Ltd. 5 bought · 12 sold −$1.2B
  10. 10 SCHW The Charles Schwab Corp. 1 bought · 8 sold −$970M

    Sold by

    Bought by

    SCHW: every holder and its history

Not counted as selling: 178 mergers and delistings.

Opened and closed

New positions started from zero, and positions sold down to zero. IPOs, spin-offs and mergers are left out.

Opened by the most managers

  1. AMZN Amazon.com, Inc. 8 managers avg 4.0% of book · Seth Klarman - Baupost Group, Estuary Capital Management and 6 more
  2. DASH Doordash Inc. 6 managers avg 1.7% of book · Ram Parameswaran - Octahedron Capital Management, Stephen Mandel - Lone Pine Capital and 4 more
  3. AVGO Broadcom Inc. 6 managers avg 1.6% of book · Estuary Capital Management, Farallon Capital Management and 4 more
  4. GOOGL / GOOG Alphabet 6 managers avg 1.3% of book · John Armitage - Egerton Capital (UK), Andreas Halvorsen - Viking Global Investors and 4 more
  5. LYV Live Nation Entertainment In 5 managers avg 5.2% of book · Pat Dorsey - Dorsey Asset Management, Spencer Waxman - Shannon River Fund Management and 3 more
  6. LPLA Lpl Financial Holdings, Inc. 5 managers avg 1.7% of book · King Street Capital Management, Senator Investment Group and 3 more
  7. RKT Rocket Cos Inc. 4 managers avg 3.5% of book · Leon Cooperman - Omega Advisors, Philippe Laffont - Coatue Management and 2 more
  8. AMD Advanced Micro Devices Inc. 4 managers avg 2.5% of book · Estuary Capital Management, Nehal Chopra - Ratan Capital Management and 2 more
  9. FISV Fiserv, Inc. 4 managers avg 2.2% of book · Jana Partners Management, Samantha Mclemore - Patient Capital Management and 2 more
  10. ISRG Intuitive Surgical Inc. 4 managers avg 1.6% of book · Mala Gaonkar - Surgocap Partners, Polen Capital Management and 2 more

    Opened by

    ISRG: every holder and its history

Closed out by the most managers

  1. META Meta Platforms Inc. 10 managers was avg 3.0% of book · Stephen Mandel - Lone Pine Capital, Grant Wonders - Voyager Global Management and 8 more
  2. BABA Alibaba Group Holding, Ltd. 7 managers was avg 1.6% of book · Glen Kacher - Light Street Capital Management, Guy Spier - Aquamarine Zurich AG and 5 more
  3. SE Sea Ltd 7 managers was avg 1.3% of book · Alex Sacerdote - Whale Rock Capital Management, Stephen Mandel - Lone Pine Capital and 5 more
  4. FISV Fiserv, Inc. 7 managers was avg 1.3% of book · Francois Rochon - Giverny Capital, David Tepper - Appaloosa and 5 more
  5. FLUT Flutter Entmt PLC 6 managers was avg 2.4% of book · John Armitage - Egerton Capital (UK), Stephen Mandel - Lone Pine Capital and 4 more
  6. INTU Intuit 6 managers was avg 1.2% of book · Henry Ellenbogen - Durable Capital Partners, Gavin Baker - Atreides Management and 4 more
  7. KMX Carmax Inc. 5 managers was avg 2.7% of book · Claude Leveille - Courant Investment Management, Francois Rochon - Giverny Capital and 3 more
  8. VST Vistra Corp. 5 managers was avg 2.0% of book · Situational Awareness, Ryan Packard - Hiddenite Capital Partners and 3 more
  9. MDB Mongodb Inc. 5 managers was avg 1.5% of book · Glen Kacher - Light Street Capital Management, Ram Parameswaran - Octahedron Capital Management and 3 more
  10. ZTS Zoetis Inc. 5 managers was avg 0.80% of book · Jensen Investment Management, Ako Capital and 3 more

Where the money went

Net bought by sector, with price moves taken out. Pick a sector to see its names.

Communication Services gained weight (+0.3 pts) even though managers sold $5B of it: weight follows price, not buying. Names without a sector (funds, foreign listings, private shares): +$687M.

Who moved the most

The biggest new positions, measured against each manager’s own book, and the managers that traded the most of theirs.

Biggest new bets

  1. Leon Cooperman - Omega Advisors opened RKT · Rocket Cos Inc. 13.5% of book
  2. Sachem Head Capital Management opened SATS · Echostar Corp. 13.3% of book
  3. Alex Roepers - Atlantic Investment Management opened FLS · Flowserve Corp. 12.3% of book
  4. Valueact Capital - Valueact Holdings opened BLK · Blackrock Inc. 10.6% of book
  5. Dennis Hong - Shawspring Partners opened BABA · Alibaba Group Holding, Ltd. 10.4% of book
  6. Seth Klarman - Baupost Group opened AMZN · Amazon.com, Inc. 9.3% of book

Most active managers

  1. Estuary Capital Management 13 opened · 8 closed · −$33M net 141% of book traded
  2. Nehal Chopra - Ratan Capital Management 10 opened · 2 closed · +$185M net 109% of book traded
  3. Spencer Waxman - Shannon River Fund Management 10 opened · 5 closed · −$82M net 95% of book traded
  4. Sachem Head Capital Management 6 opened · 5 closed · +$465M net 86% of book traded
  5. Ram Parameswaran - Octahedron Capital Management 6 opened · 13 closed · −$30M net 81% of book traded
  6. Stanley Druckenmiller - Duquesne Family Office 20 opened · 26 closed · −$387M net 78% of book traded

What they hold

Most owned counts managers, with the change since last quarter. Largest is the share of the combined book, each manager counting once. Highest conviction is the average position among holders, three or more.

Most owned

  1. 1 GOOGL / GOOG Alphabet 75 managers +5
  2. 2 MSFT Microsoft Corp. 64 managers +1
  3. 3 AMZN Amazon.com, Inc. 61 managers +8
  4. 4 META Meta Platforms Inc. 43 managers −9
  5. 5 TSM Taiwan Semiconductor Mfg Ltd 42 managers −1
  6. 6 NVDA Nvidia Corporation 40 managers +3
  7. 7 V Visa Inc. 36 managers +1
  8. 8 BRK.B / BRK.A Berkshire Hathaway 35 managers no change
  9. 9 DIS Disney Walt Co. 32 managers no change
  10. 10 UNH Unitedhealth Group, Inc. 31 managers −1

Largest

  1. 1 GOOGL / GOOG Alphabet 3.6% held by 75
  2. 2 AMZN Amazon.com, Inc. 2.6% held by 61
  3. 3 MSFT Microsoft Corp. 2.6% held by 64
  4. 4 BRK.B / BRK.A Berkshire Hathaway 2.5% held by 35
  5. 5 CVNA Carvana Co. Cl A 1.5% held by 15
  6. 6 NVDA Nvidia Corporation 1.3% held by 40
  7. 7 META Meta Platforms Inc. 1.3% held by 43
  8. 8 TSM Taiwan Semiconductor Mfg Ltd 1.2% held by 42
  9. 9 V Visa Inc. 0.99% held by 36
  10. 10 AAPL Apple Inc. 0.91% held by 30

Highest conviction

  1. 1 HHH Howard Hughes Holdings Inc. avg 20.1% held by 5
  2. 2 CVNA Carvana Co. Cl A avg 13.9% held by 15
  3. 3 JHG Janus Henderson Group PLC avg 13.1% held by 3
  4. 4 EQH Equitable Hldgs Inc. avg 11.3% held by 3
  5. 5 MDGL Madrigal Pharmaceuticals Inc. avg 10.2% held by 3
  6. 6 SNX Td Synnex Corporation avg 10.0% held by 5
  7. 7 BRK.B / BRK.A Berkshire Hathaway avg 9.5% held by 35
  8. 8 RIG Transocean Ltd avg 9.3% held by 3
  9. 9 TDG Transdigm Group Inc. avg 9.1% held by 8
  10. 10 IBKR Interactive Brokers Group In avg 8.4% held by 6

See all 2,506 names

Did the combined book beat SPY?

Each quarter’s combined book held to the next quarter-end, at the 13Fs’ own prices. Price only, no dividends, and today’s managers throughout. Nobody could have copied it: 13Fs arrive about 45 days after the quarter ends.

Combined book, 8 quarters +44.2% SPY +37.2% Difference +6.9 pts
2024 Q2, the start +0.0% Combined book +0.0% SPY 2024 Q3, since 2024 Q2 +7.5% Combined book +5.4% SPY That quarter: book +7.5%, SPY +5.4% 2024 Q4, since 2024 Q2 +10.2% Combined book +7.7% SPY That quarter: book +2.6%, SPY +2.1% 2025 Q1, since 2024 Q2 +6.0% Combined book +2.8% SPY That quarter: book −3.8%, SPY −4.6% 2025 Q2, since 2024 Q2 +18.3% Combined book +13.5% SPY That quarter: book +11.6%, SPY +10.5% 2025 Q3, since 2024 Q2 +29.0% Combined book +22.4% SPY That quarter: book +9.1%, SPY +7.8% 2025 Q4, since 2024 Q2 +31.8% Combined book +25.3% SPY That quarter: book +2.1%, SPY +2.4% 2026 Q1, since 2024 Q2 +25.9% Combined book +19.5% SPY That quarter: book −4.4%, SPY −4.6% 2026 Q2, since 2024 Q2 +44.2% Combined book +37.2% SPY That quarter: book +14.5%, SPY +14.8%
Quarter by quarter
Quarter Each manager once By dollars SPY Book − SPY Managers
2026 Q2 +14.5% +11.5% +14.8% −0.4 pts 133
2026 Q1 −4.4% −4.2% −4.6% +0.2 pts 136
2025 Q4 +2.1% +2.6% +2.4% −0.2 pts 136
2025 Q3 +9.1% +6.3% +7.8% +1.2 pts 136
2025 Q2 +11.6% +8.0% +10.5% +1.1 pts 136
2025 Q1 −3.8% −2.0% −4.6% +0.7 pts 136
2024 Q4 +2.6% +1.1% +2.1% +0.4 pts 134
2024 Q3 +7.5% +6.9% +5.4% +2.1 pts 133

All 2,506 names

Download CSV

Showing 300 of 2,700 names. The CSV has every name.

Ticker Company Sector Held by Weight Net bought Bought / sold Opened / closed
GOOGL / GOOG Alphabet Communication Services 75 +5 3.6% −$3.1B 17 / 36 6 / 1
MSFT Microsoft Corp. Information Technology 64 +1 2.6% −$1.4B 19 / 22 2 / 1
AMZN Amazon.com, Inc. Consumer Discretionary 61 +8 2.6% −$457M 23 / 17 8 / 0
META Meta Platforms Inc. Communication Services 43 −9 1.3% −$1.5B 13 / 23 1 / 10
TSM Taiwan Semiconductor Mfg Ltd Information Technology 42 −1 1.2% +$126M 12 / 17 1 / 2
NVDA Nvidia Corporation Information Technology 40 +3 1.3% +$1.6B 19 / 10 3 / 0
V Visa Inc. Financials 36 +1 0.99% +$445M 8 / 7 2 / 1
BRK.B / BRK.A Berkshire Hathaway Financials 35 2.5% −$196M 4 / 6 0 / 0
DIS Disney Walt Co. Communication Services 32 0.48% −$61M 8 / 10 0 / 0
UNH Unitedhealth Group, Inc. Health Care 31 −1 0.29% +$53M 8 / 11 2 / 3
AAPL Apple Inc. Information Technology 30 −1 0.91% −$3.6B 2 / 10 0 / 1
AVGO Broadcom Inc. Information Technology 29 +5 0.49% −$414M 10 / 9 6 / 1
MA Mastercard Incorporated Financials 28 +1 0.78% −$49M 4 / 9 2 / 1
COF Capital One Finl Corp. Financials 23 −1 0.65% −$1.6B 6 / 11 0 / 1
JPM Jpmorgan Chase & Co. Financials 22 0.34% −$1.1B 2 / 7 1 / 1
BAC Bank America Corp. Financials 22 −3 0.31% −$4.9B 0 / 13 0 / 3
TMO Thermo Fisher Scientific Inc. Health Care 22 +1 0.23% −$99M 5 / 10 2 / 1
DHR Danaher Corporation Health Care 19 −1 0.26% −$862M 4 / 10 2 / 3
WFC Wells Fargo & Co. Financials 19 0.19% −$453M 4 / 6 0 / 0
PEP Pepsico Inc. Consumer Staples 19 −1 0.15% −$149M 1 / 6 0 / 1
MCO Moodys Corp. Financials 18 +2 0.54% +$148M 2 / 5 2 / 0
CRM Salesforce Inc. Information Technology 18 +1 0.33% +$2.9B 6 / 6 2 / 1
AXP American Express Co. Financials 18 0.32% −$132M 0 / 8 0 / 0
AMAT Applied Matls Inc. Information Technology 18 +1 0.32% +$118M 6 / 7 3 / 2
SPY Spdr S&P 500 ETF Tr — 18 +2 0.15% +$226M 9 / 2 2 / 0
CMCSA Comcast Corp. Communication Services 18 0.11% −$69M 5 / 8 3 / 3
ORCL Oracle Corp. Information Technology 17 +1 0.14% −$587M 6 / 7 3 / 2
JNJ Johnson & Johnson Health Care 17 +1 0.12% −$61M 2 / 5 2 / 1
SCHW The Charles Schwab Corp. Financials 16 0.41% −$970M 1 / 8 0 / 0
SPGI S&P Global Inc. Financials 16 +3 0.33% +$578M 4 / 2 3 / 0
UBER Uber Technologies Inc. Industrials 16 −1 0.31% +$162M 7 / 5 1 / 2
UNP Union Pac Corp. Industrials 16 −1 0.22% +$790M 6 / 4 0 / 1
CVNA Carvana Co. Cl A Consumer Discretionary 15 1.5% −$504M 4 / 8 1 / 1
MELI Mercadolibre Inc. Consumer Discretionary 15 +1 0.24% +$710M 8 / 2 1 / 0
TXN Texas Instrs Inc. Information Technology 15 +3 0.12% +$192M 7 / 0 3 / 0
RTX Rtx Corp. Industrials 15 +1 0.10% −$494M 1 / 4 1 / 0
XOM Exxon Mobil Corp. Energy 15 0.07% −$132K 3 / 1 0 / 0
CVS Cvs Health Corp. Health Care 14 −1 0.36% −$823M 2 / 6 0 / 1
ASML Asml Holding N V Information Technology 14 +2 0.36% +$652M 5 / 7 3 / 1
ELV Elevance Health Inc. Formerly Health Care 14 0.32% +$320M 2 / 4 0 / 0
NU Nu Hldgs Ltd Financials 14 −3 0.30% −$356M 4 / 8 0 / 3
INTU Intuit Information Technology 14 −5 0.25% −$2.1B 3 / 14 1 / 6
FISV Fiserv, Inc. Information Technology 14 −3 0.23% −$2B 8 / 13 4 / 7
PM Philip Morris Intl Inc. Consumer Staples 14 −1 0.18% −$1.2B 3 / 6 1 / 2
EFX Equifax Inc. Industrials 14 +2 0.14% +$563M 3 / 3 2 / 0
CVX Chevron Corp. New Energy 14 0.10% +$1.2B 3 / 2 0 / 0
GE Ge Aerospace Industrials 13 0.50% −$403M 0 / 4 0 / 0
BN Brookfield Corp. Real Estate 13 +1 0.47% +$3B 12 / 0 1 / 0
TSLA Tesla Inc. Consumer Discretionary 13 +1 0.27% −$303M 2 / 6 1 / 0
LYV Live Nation Entertainment In Communication Services 13 +5 0.26% +$496M 8 / 2 5 / 0
BABA Alibaba Group Holding, Ltd. Consumer Discretionary 13 −5 0.24% −$1.2B 5 / 12 2 / 7
FERG Ferguson Enterprises Inc. Industrials 13 0.20% −$406M 4 / 3 0 / 0
DASH Doordash Inc. Consumer Discretionary 13 +6 0.18% +$1.6B 11 / 0 6 / 0
AON Aon PLC Financials 13 0.15% +$1.1B 2 / 3 0 / 0
COST Costco Wholesale Corp. Consumer Staples 13 +1 0.15% +$8M 3 / 2 1 / 0
PG Procter And Gamble Co. Consumer Staples 13 −2 0.12% −$79M 3 / 5 0 / 2
ACN Accenture PLC Ireland Information Technology 13 +2 0.12% +$714M 6 / 3 2 / 0
GEHC Ge Healthcare Technologies, Inc. Health Care 13 +3 0.10% +$920M 7 / 0 3 / 0
GS The Goldman Sachs Group, Inc. Financials 13 −1 0.05% −$529M 1 / 8 1 / 2
CHTR Charter Communications, Inc. Communication Services 12 +1 0.35% +$1.3B 5 / 3 1 / 0
C Citigroup Inc. Financials 12 −2 0.31% −$935M 0 / 9 0 / 2
CPNG Coupang, Inc. Consumer Discretionary 12 +1 0.30% +$613M 6 / 2 2 / 1
LPLA Lpl Financial Holdings, Inc. Financials 12 +5 0.22% +$393M 6 / 4 5 / 0
AMD Advanced Micro Devices Inc. Information Technology 12 +2 0.18% −$480M 4 / 7 4 / 2
SE Sea Ltd Consumer Discretionary 12 −5 0.18% −$91M 6 / 10 2 / 7
ADI Analog Devices Inc. Information Technology 12 −1 0.17% −$438M 1 / 7 0 / 1
FDX Fedex Corp. Industrials 12 0.12% −$300M 2 / 4 1 / 1
NFLX Netflix Inc. Communication Services 12 0.12% −$1.1B 11 / 4 3 / 3
CI The Cigna Group Health Care 12 0.12% +$550M 6 / 2 0 / 0
MRK Merck & Co. Inc. Health Care 12 0.10% +$437M 1 / 2 0 / 0
PFE Pfizer Inc. Health Care 12 0.10% −$10M 1 / 4 0 / 0
CSCO Cisco Sys Inc. Information Technology 12 +1 0.07% +$219M 1 / 5 1 / 0
ADBE Adobe, Inc. Information Technology 12 0.07% +$164M 5 / 5 1 / 1
MCD Mcdonalds Corp. Consumer Discretionary 12 −1 0.06% +$31M 3 / 4 1 / 2
WMT Walmart Inc. Consumer Staples 12 +2 0.05% −$61M 4 / 1 2 / 0
ABBV Abbvie Inc. Health Care 12 −1 0.04% −$12M 1 / 4 0 / 1
DEO Diageo PLC Consumer Staples 12 0.03% +$3M 1 / 5 1 / 1
BA Boeing Co. Industrials 11 +2 0.35% +$286M 5 / 2 2 / 0
BKNG Booking Holdings, Inc. Consumer Discretionary 11 −2 0.27% −$100M 2 / 8 0 / 2
GM General Mtrs Co. Consumer Discretionary 11 0.24% −$1.5B 2 / 7 0 / 0
COHR Coherent Corp. Information Technology 11 −1 0.20% +$333M 7 / 5 0 / 1
KKR Kkr & Co. L P Del Financials 11 −1 0.19% −$333M 5 / 6 3 / 4
PYPL Paypal Hldgs Inc. Financials 11 −1 0.19% −$373M 2 / 8 1 / 2
BSX Boston Scientific Corp. Health Care 11 +2 0.18% +$311M 3 / 4 2 / 0
KO Coca Cola Co. Consumer Staples 11 −2 0.11% +$104M 1 / 4 0 / 2
LLY Eli Lilly & Co. Health Care 11 +1 0.11% −$625M 1 / 2 1 / 0
MDT Medtronic PLC Health Care 11 0.11% −$270M 0 / 4 0 / 0
SLB Slb Limited Energy 11 +1 0.10% −$119M 3 / 4 2 / 1
GEV Ge Vernova Inc. Industrials 11 −1 0.09% −$260M 1 / 7 0 / 1
BK The Bank Of New York Mellon Corp. Financials 11 0.08% −$1.6B 0 / 6 0 / 0
BMY Bristol-Myers Squibb Co. Health Care 11 0.07% +$165M 5 / 5 2 / 2
INTC Intel Corp. Information Technology 11 0.06% −$46M 3 / 6 1 / 1
NKE Nike Inc. Consumer Discretionary 11 0.06% −$191M 5 / 6 2 / 2
ABT Abbott Labs Health Care 11 0.05% −$507M 0 / 2 0 / 0
VZ Verizon Communications Inc. Communication Services 11 −1 0.05% −$49M 2 / 2 0 / 1
HD Home Depot Inc. Consumer Discretionary 11 0.04% −$21M 1 / 3 0 / 0
HDB Hdfc Bank, Ltd. Financials 11 +1 <0.01% −$28M 3 / 5 1 / 0
PDD Pdd Holdings Inc. Consumer Discretionary 10 −1 0.35% +$648M 3 / 3 1 / 2
RKT Rocket Cos Inc. Financials 10 +4 0.23% +$1.1B 9 / 0 4 / 0
PGR Progressive Corp. Financials 10 +2 0.23% −$230M 3 / 2 3 / 1
UAL United Airls Hldgs Inc. Industrials 10 +2 0.23% +$66M 3 / 3 2 / 0
OXY Occidental Pete Corp. Energy 10 −1 0.22% −$29M 1 / 3 0 / 1
FLUT Flutter Entmt PLC Information Technology 10 −6 0.18% −$1.2B 4 / 8 0 / 6
WTW Willis Towers Watson PLC Financials 10 0.17% +$1.5B 3 / 4 0 / 0
MSCI Msci Inc. Financials 10 0.14% +$104M 3 / 2 0 / 0
LOW Lowes Cos Inc. Consumer Discretionary 10 +1 0.12% +$219M 3 / 1 1 / 0
BLK Blackrock Inc. Financials 10 −1 0.12% +$71M 2 / 4 1 / 2
KLAC Kla Corporation Information Technology 10 −3 0.12% −$56M 3 / 7 1 / 4
ICLR Icon PLC Health Care 10 0.12% +$53M 3 / 4 2 / 2
LRCX Lam Research Corp. Information Technology 10 +1 0.11% −$74M 5 / 2 1 / 0
WST West Pharmaceutical Svsc Inc. Health Care 10 0.11% −$47M 3 / 7 3 / 3
QCOM Qualcomm Inc. Information Technology 10 0.11% −$19M 2 / 3 1 / 1
CAT Caterpillar Inc. Industrials 10 −1 0.10% −$16M 1 / 3 0 / 1
SPOT Spotify Technology S A Communication Services 10 +4 0.10% +$765M 6 / 0 4 / 0
SNOW Snowflake Inc. Information Technology 10 +1 0.09% +$47M 5 / 4 2 / 1
DE Deere & Co. Industrials 10 0.09% +$504M 3 / 0 0 / 0
ZBH Zimmer Biomet Holdings, Inc. Health Care 10 −1 0.08% +$667M 3 / 6 0 / 1
COP Conocophillips Energy 10 0.07% +$492M 3 / 2 0 / 0
SNPS Synopsys Inc. Information Technology 10 −2 0.06% +$293M 5 / 6 1 / 3
UPS United Parcel Service Inc. Industrials 10 −1 0.06% −$7M 4 / 5 0 / 1
LIN Linde PLC Materials 10 +2 0.06% +$234M 3 / 3 3 / 1
TGT Target Corp. Consumer Discretionary 10 +1 0.03% −$6M 2 / 5 2 / 1
APP Applovin Corp. Information Technology 9 −3 0.49% −$1.3B 2 / 9 0 / 3
FICO Fair Isaac Corp. Information Technology 9 −1 0.35% −$13M 2 / 6 0 / 1
CSGP Costar Group Inc. Real Estate 9 0.27% −$99M 2 / 3 0 / 0
NTRA Natera Inc. Health Care 9 0.17% +$185M 1 / 7 0 / 0
HCA Hca Healthcare Inc. Health Care 9 0.15% −$441M 1 / 3 0 / 0
WBD Warner Bros Discovery Inc. Communication Services 9 +2 0.14% −$608M 3 / 5 2 / 0
USB U.s. Bancorp Financials 9 0.13% +$132M 1 / 4 0 / 0
CRH Crh PLC Materials 9 0.11% −$460M 4 / 4 0 / 0
APH Amphenol Corp. New Information Technology 9 +1 0.10% −$130M 1 / 5 1 / 0
CBRE Cbre Group Inc. Real Estate 9 −1 0.10% −$289M 0 / 4 0 / 1
BAX Baxter Intl Inc. Health Care 9 0.09% +$305M 4 / 3 1 / 1
SHW Sherwin Williams Co. Materials 9 +1 0.09% +$338M 2 / 3 1 / 0
PNC Pnc Finl Svcs Group Inc. Financials 9 0.08% −$134M 3 / 1 0 / 0
TCOM Trip Com Group Ltd Consumer Discretionary 9 −1 0.07% +$28M 2 / 2 1 / 2
IQV Iqvia Hldgs Inc. Health Care 9 +1 0.07% −$159M 3 / 2 2 / 1
CME Cme Group Inc. Financials 9 0.07% +$129M 3 / 0 0 / 0
MDLN Medline Inc. IPO or spin-off Health Care 9 +9 0.07% +$1.2B 9 / 0 9 / 0
GLW Corning Inc. Information Technology 9 0.06% +$118M 3 / 2 0 / 0
URI United Rentals Inc. Industrials 9 +1 0.06% +$10M 2 / 2 2 / 1
CSX Csx Corp. Industrials 9 +1 0.05% −$157M 4 / 3 1 / 0
HON Honeywell Intl Inc. Industrials 9 −1 0.05% −$20M 3 / 6 1 / 2
LMT Lockheed Martin Corp. Industrials 9 −1 0.04% +$295M 5 / 2 1 / 2
STZ Constellation Brands Inc. Consumer Staples 9 0.03% +$190M 5 / 2 1 / 1
CL Colgate Palmolive Co. Consumer Staples 9 0.02% −$454K 0 / 1 0 / 0
TDG Transdigm Group Inc. Industrials 8 +1 0.54% +$276M 4 / 2 2 / 1
MKL Markel Group, Inc. Financials 8 0.37% −$54M 3 / 3 0 / 0
FIG Figma Inc. Information Technology 8 −2 0.37% −$68M 1 / 5 1 / 3
DG Dollar Gen Corp. New Consumer Staples 8 0.20% −$478M 0 / 5 0 / 0
TEVA Teva Pharmaceutical Inds Ltd Health Care 8 −2 0.19% −$769M 1 / 8 0 / 2
BE Bloom Energy Corp. Energy 8 +3 0.19% +$749M 5 / 3 3 / 0
SATS Echostar Corp. Communication Services 8 +1 0.17% −$651M 4 / 4 2 / 1
ICE Intercontinental Exchange In Financials 8 0.16% +$1.5B 3 / 2 1 / 1
CHYM Chime Finl Inc. Financials 8 −1 0.15% +$106M 4 / 5 2 / 3
FWONK Liberty Media Corp. Del Industrials 8 +1 0.13% +$343M 4 / 1 2 / 1
PSX Phillips 66 Energy 8 −1 0.13% +$43M 0 / 1 0 / 1
KHC Kraft Heinz Co. Consumer Staples 8 0.13% +$7M 2 / 3 0 / 0
BDX Becton Dickinson & Co. Health Care 8 0.12% +$408M 2 / 4 0 / 0
SHOP Shopify Inc. Information Technology 8 +2 0.12% −$1.1B 3 / 4 3 / 1
RBLX Roblox Corp. Communication Services 8 +2 0.12% −$59M 5 / 3 2 / 0
U Unity Software Inc. Information Technology 8 +2 0.11% +$102M 4 / 3 2 / 0
BX Blackstone Inc. Financials 8 +1 0.10% +$71M 3 / 1 1 / 0
CEG Constellation Energy Corp. Utilities 8 +2 0.10% +$171M 4 / 2 2 / 0
MMC Marsh & Mclennan Cos Inc. Financials 8 0.09% −$297M 2 / 2 0 / 0
HEI Heico Corp. New Industrials 8 0.09% −$647K 1 / 1 0 / 0
VMC Vulcan Matls Co. Materials 8 +1 0.08% +$393M 3 / 1 1 / 0
TSN Tyson Foods Inc. Consumer Staples 8 +1 0.08% +$252M 4 / 1 1 / 0
MSI Motorola Solutions Inc. Information Technology 8 0.07% +$97M 3 / 1 1 / 1
DAL Delta Air Lines Inc. Del Industrials 8 +1 0.07% +$375M 2 / 3 1 / 0
GSK Gsk PLC Health Care 8 0.07% −$555M 1 / 5 0 / 0
ISRG Intuitive Surgical Inc. Health Care 8 +4 0.06% +$726M 6 / 0 4 / 0
GD General Dynamics Corp. Industrials 8 0.05% −$19M 0 / 1 0 / 0
GLD Spdr Gold Tr — 8 0.05% −$25M 0 / 2 0 / 0
AMGN Amgen Inc. Health Care 8 0.05% −$4M 0 / 1 0 / 0
GNRC Generac Hldgs Inc. Industrials 8 +2 0.04% +$75M 3 / 2 2 / 0
GPC Genuine Parts Co. Consumer Discretionary 8 −2 0.03% +$168M 3 / 3 1 / 3
IBM International Business Machines Corp. Information Technology 8 +1 0.02% −$155K 1 / 2 1 / 0
NVS Novartis AG Health Care 8 +1 0.02% −$216M 2 / 2 1 / 0
LAD Lithia Mtrs Inc. Consumer Discretionary 7 −1 0.32% +$3M 2 / 2 0 / 1
GPN Global Pmts Inc. Information Technology 7 +1 0.18% +$468M 3 / 3 1 / 0
CP Canadian Pacific Kansas City Industrials 7 −2 0.18% −$234M 3 / 4 0 / 2
CRS Carpenter Technology Corp. Industrials 7 −1 0.16% +$206M 3 / 4 1 / 2
TRU Transunion Industrials 7 +1 0.16% +$451M 3 / 4 2 / 1
THC Tenet Healthcare Corp. Health Care 7 +1 0.16% +$279M 1 / 3 1 / 0
VST Vistra Corp. Utilities 7 −4 0.14% −$328M 4 / 8 1 / 5
VRT Vertiv Holdings Co. Industrials 7 0.13% +$31M 2 / 5 1 / 1
FIS Fidelity National Information Services, Inc. Information Technology 7 0.13% +$433M 3 / 1 0 / 0
SN Sharkninja Inc. Consumer Discretionary 7 0.13% −$148M 2 / 6 1 / 1
TLN Talen Energy Corp. Utilities 7 0.12% +$57M 4 / 3 1 / 1
APO Apollo Global Mgmt Inc. Financials 7 0.12% −$118M 2 / 1 1 / 1
GBTC Fidelity Wise Origin Bitcoin — 7 +1 0.12% −$240M 2 / 4 1 / 0
EQT Eqt Corp. Energy 7 −1 0.12% −$399M 3 / 2 1 / 2
IDXX Idexx Labs Inc. Health Care 7 0.11% −$683M 0 / 4 0 / 0
BIIB Biogen Inc. Health Care 7 +1 0.11% +$73M 2 / 2 1 / 0
KVUE Kenvue Inc. Consumer Staples 7 0.11% −$647M 2 / 4 1 / 1
EPD Enterprise Prods Partners L Utilities 7 0.11% +$3M 0 / 1 0 / 0
REGN Regeneron Pharmaceuticals, Inc. Health Care 7 0.10% +$89M 2 / 1 0 / 0
CPRT Copart Inc. Industrials 7 0.09% +$41M 4 / 1 0 / 0
JCI Johnson Controls International PLC Industrials 7 0.09% −$420M 3 / 5 1 / 1
ABNB Airbnb Inc. Consumer Discretionary 7 0.09% +$348M 4 / 3 1 / 1
EBAY Ebay Inc. Consumer Discretionary 7 +1 0.08% −$51M 1 / 2 1 / 0
CB Chubb Limited Financials 7 +2 0.08% +$1.3B 4 / 0 2 / 0
WCC Wesco Intl Inc. Industrials 7 0.08% −$37M 1 / 4 0 / 0
B Barrick Mng Corp. Materials 7 0.08% −$661M 1 / 4 0 / 0
TECH Bio-Techne Corp. Health Care 7 0.08% +$26M 3 / 1 0 / 0
TEL Te Connectivity PLC Information Technology 7 +1 0.07% −$746M 1 / 5 1 / 0
ADP Automatic Data Processing In Industrials 7 0.07% −$108M 1 / 3 0 / 0
NSC Norfolk Southern Corp. Industrials 7 −1 0.06% −$729M 1 / 4 0 / 1
SIRI Sirius Xm Holdings Inc. Communication Services 7 0.06% +$12M 3 / 2 0 / 0
JLL Jones Lang Lasalle Inc. Real Estate 7 +1 0.06% −$53M 1 / 5 1 / 0
ENTG Entegris Inc. Information Technology 7 +1 0.06% +$140M 5 / 1 2 / 1
SBUX Starbucks Corp. Consumer Discretionary 7 −3 0.05% −$655M 0 / 5 0 / 3
MDLZ Mondelez Intl Inc. Consumer Staples 7 −1 0.05% +$140M 2 / 3 0 / 1
CAH Cardinal Health Inc. Health Care 7 0.05% +$66M 1 / 2 0 / 0
KMX Carmax Inc. Consumer Discretionary 7 −5 0.05% −$82M 3 / 5 0 / 5
TRV Travelers Companies Inc. Financials 7 0.05% +$6M 1 / 1 0 / 0
LULU Lululemon Athletica Inc. Consumer Discretionary 7 +2 0.05% +$58M 2 / 2 2 / 0
LHX L3harris Technologies, Inc. Industrials 7 −1 0.04% +$22M 1 / 1 0 / 1
Q Qnity Electronics Inc. IPO or spin-off Information Technology 7 +7 0.03% +$355M 7 / 0 7 / 0
VRSK Verisk Analytics Inc. Industrials 7 −1 0.02% +$22M 2 / 1 0 / 1
AZNN Astrazeneca PLC — 7 +2 0.02% +$343M 2 / 2 2 / 0
NVO Novo-Nordisk A S Health Care 7 +1 0.02% +$44M 4 / 1 1 / 0
DGX Quest Diagnostics Inc. Health Care 7 0.02% +$41M 2 / 0 0 / 0
WY Weyerhaeuser Co. Mtn Be Real Estate 7 +1 0.02% +$565M 3 / 1 1 / 0
EFA Ishares Msci Eafe ETF — 7 0.02% −$468M 2 / 2 1 / 1
MMM 3M Co. Industrials 7 0.01% +$332K 0 / 0 0 / 0
VUG Vanguard Index Fds — 7 +1 <0.01% +$9M 2 / 3 1 / 0
VTI Vanguard Index Fds — 7 +1 <0.01% +$2M 2 / 0 1 / 0
MO Altria Group Inc. Consumer Staples 7 <0.01% −$2M 0 / 2 0 / 0
IBKR Interactive Brokers Group In Financials 6 0.37% −$3M 1 / 2 0 / 0
ILMN Illumina Inc. Health Care 6 −1 0.19% −$6M 1 / 1 0 / 1
QSR Restaurant Brands Intl Inc. Consumer Discretionary 6 0.19% +$21M 2 / 0 0 / 0
SOLV Solventum Corporation Health Care 6 0.17% +$41M 2 / 1 0 / 0
MCK Mckesson Corp. Health Care 6 0.14% −$58M 1 / 4 0 / 0
NEM Newmont Corp. Materials 6 0.13% −$193M 0 / 1 0 / 0
CRWV Coreweave Inc. Information Technology 6 0.13% +$339M 6 / 2 2 / 2
OSK Oshkosh Corp. (OSK) Industrials 6 0.12% −$212K 1 / 0 0 / 0
CNI Canadian Natl Ry Co. Industrials 6 +2 0.12% −$878M 3 / 1 2 / 0
AEM Agnico Eagle Mines Ltd Materials 6 0.12% −$13M 0 / 2 0 / 0
IFF International Flavors & Fragrances, Inc. Materials 6 0.11% +$86M 2 / 1 0 / 0
WDAY Workday Inc. Information Technology 6 0.10% +$64M 2 / 2 0 / 0
LUV Southwest Airls Co. Industrials 6 +1 0.10% −$265K 2 / 1 1 / 0
LAMR Lamar Advertising Co. New Real Estate 6 0.10% −$5M 1 / 1 0 / 0
ET Energy Transfer LP Energy 6 −1 0.10% −$38M 1 / 2 0 / 1
DKS Dicks Sporting Goods Inc. Consumer Discretionary 6 0.09% +$573M 3 / 2 1 / 1
SSNC SS&C Technologies Hldgs Inc. Information Technology 6 0.09% +$206M 2 / 1 1 / 1
CTVA Corteva Inc. Materials 6 0.09% +$750M 2 / 1 0 / 0
NOW Servicenow Inc. Information Technology 6 −1 0.09% +$1B 6 / 1 0 / 1
ALLY Ally Finl Inc. Financials 6 0.08% +$43M 1 / 1 0 / 0
FLEX Flex Ltd Information Technology 6 0.08% −$79M 0 / 4 0 / 0
CIGI Colliers Intl Group Inc. Financials 6 0.08% −$49M 1 / 2 0 / 0
PLD Prologis Inc. Real Estate 6 0.08% −$201M 1 / 2 0 / 0
WIX Wix Com Ltd Information Technology 6 −2 0.08% −$42M 3 / 5 2 / 4
MU Micron Technology Inc. Information Technology 6 +1 0.08% +$108M 3 / 2 2 / 1
TEAM Atlassian Corporation Information Technology 6 −1 0.08% −$315M 4 / 4 1 / 2
BP Bp PLC Sponsored Adr Energy 6 +1 0.07% +$68M 1 / 1 1 / 0
FROG Jfrog Ltd Information Technology 6 0.07% +$104M 3 / 3 1 / 1
MAR Marriott Intl Inc. New Consumer Discretionary 6 +1 0.07% −$89M 2 / 2 1 / 0
WAB Wabtec Industrials 6 0.07% +$59M 1 / 0 0 / 0
CNC Centene Corp. Del Health Care 6 +1 0.06% +$103M 4 / 0 1 / 0
ABM Abm Inds Inc. Industrials 6 +2 0.05% +$14M 2 / 0 2 / 0
ADSK Autodesk Inc. Information Technology 6 0.05% −$449M 2 / 3 1 / 1
SEI Solaris Energy Infras Inc. Energy 6 +2 0.05% +$82M 4 / 2 3 / 1
ECL Ecolab Inc. Materials 6 0.05% −$24M 1 / 2 1 / 1
AFRM Affirm Hldgs Inc. Information Technology 6 +1 0.05% +$180M 3 / 1 1 / 0
AEP American Electric Power Co., Inc. Utilities 6 +1 0.05% −$144M 1 / 1 1 / 0
Z Zillow Group Inc. Consumer Discretionary 6 −4 0.05% −$21M 4 / 6 1 / 5
FTV Fortive Corp. Information Technology 6 +1 0.05% +$20M 1 / 1 1 / 0
AMRZ Amrize Ltd Industrials 6 +2 0.05% +$760M 3 / 2 2 / 0
LKQ Lkq Corp. Consumer Discretionary 6 0.04% +$21M 1 / 2 0 / 0
FBIN Fortune Brands Innovations I Industrials 6 +1 0.04% +$77M 4 / 0 1 / 0
FUN Six Flags Entertainment Corp. Consumer Discretionary 6 +3 0.04% +$43M 3 / 0 3 / 0
VEEV Veeva Sys Inc. Health Care 6 0.04% −$106M 0 / 3 0 / 0
BUD Anheuser-Busch Inbev SA/NV Consumer Staples 6 0.04% −$215M 2 / 3 0 / 0
NEE Nextera Energy Inc. Utilities 6 0.04% −$622K 0 / 0 0 / 0
CMI Cummins Inc. Industrials 6 0.04% −$343M 1 / 2 0 / 0
APD Air Products & Chemicals, Inc. Materials 6 0.03% +$304M 4 / 1 1 / 1
ALKS Alkermes PLC Health Care 6 0.03% −$192K 2 / 1 0 / 0
VOO Vanguard Index Funds — 6 0.03% +$519K 0 / 1 0 / 0
PTGX Protagonist Therapeutics Inc. Health Care 6 +2 0.03% +$5M 2 / 0 2 / 0
IWF Ishares Tr — 6 +1 0.03% +$266M 5 / 1 2 / 1
SYY Sysco Corp. Consumer Staples 6 0.03% −$32M 0 / 1 0 / 0
EMR Emerson Elec Co. Industrials 6 −1 0.03% −$34M 0 / 2 0 / 1
TFC Truist Finl Corp. Financials 6 −2 0.02% −$71M 1 / 3 0 / 2
IVZ Invesco Ltd. Financials 6 +1 0.02% −$308M 1 / 3 1 / 0
BIDU Baidu Inc. Communication Services 6 −1 0.02% −$540M 2 / 4 0 / 1
LPX Louisiana Pac Corp. Industrials 6 0.02% −$50M 2 / 2 1 / 1
MSGS Madison Square Grdn Sprt Cor Communication Services 6 0.02% −$8M 0 / 2 0 / 0
AMT American Tower Corp. New Real Estate 6 −2 0.02% −$78M 0 / 5 0 / 2
T AT&T Inc. Com Communication Services 6 +1 0.02% +$8M 2 / 1 1 / 0
TROW Price T Rowe Group Inc. Financials 6 0.02% −$488K 0 / 1 0 / 0
ROIV Roivant Sciences Ltd Health Care 6 +2 0.01% −$376M 3 / 2 2 / 0
VEA Vanguard Ftse Developed Markets ETF — 6 +1 0.01% −$6M 3 / 3 1 / 0
KSPI Kaspi Kz Jsc Financials 6 0.01% +$93M 5 / 1 0 / 0
BWXT Bwx Technologies Inc. Industrials 6 +2 0.01% +$20M 2 / 2 2 / 0
CCK Crown Hldgs Inc. Materials 6 <0.01% +$1M 3 / 1 0 / 0
IWM Ishares Tr — 6 +1 <0.01% −$21M 2 / 1 2 / 1
IVV Ishares Tr — 6 +2 <0.01% +$10M 3 / 1 2 / 0
SHEL Shell PLC Energy 6 <0.01% +$8M 1 / 0 0 / 0

How the numbers work

Same managers in both quarters

Changes compare only managers with a 13F in both 2025 Q3 and 2025 Q4: 136 this time. New in 2025 Q4: Ning Jin - Avantyr Capital Partners.

Buying versus price

Each holding’s dollar change splits into price (what last quarter’s shares earned by this quarter’s 13F price) and net bought (shares added or cut, times this quarter’s price), using each 13F’s own values. The two add back to the change exactly. Stock splits are adjusted first.

Who counts as a buyer or a seller

A manager bought a stock if it opened a position, or added at least 5% to its shares or a trade worth 0.25% of its book; it sold if it closed the position or cut it by the same amounts. Smaller changes count as holding, and a stock split never counts. A manager was a net buyer for the quarter when its trading added up to at least 0.25% of its book. GOOG and GOOGL count once.

IPOs, spin-offs and mergers

A stock no tracked manager held last quarter (an IPO, a spin-off, a new share class) is not counted as buying, and one nobody holds now (a merger, a delisting) is not counted as selling. Choose them under All names to see them.

Each manager once, or by dollars

By default every manager counts the same, so a list leads with what the most managers did. By dollars ranks by money moved and weighs holdings by size, so the largest books set the order.

Sectors

GICS sectors where the company has one. Funds, foreign listings and private shares have none; their buying is shown on its own, never filed under Other. Sector weights are shares of the names that have a sector.

The combined book against SPY

Each quarter-end’s combined book is held to the next quarter-end at the 13Fs’ own prices: price only, no dividends, and today’s featured managers for every quarter. SPY is the same filings’ price for SPY. It is a record of what the managers held, not something anyone could have copied, because 13Fs arrive about 45 days after the quarter ends.

What a 13F leaves out

Long US-listed stock only: no shorts, cash, bonds or foreign listings, and options are left out here.