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Aristotle Capital Management, LLC

Los Angeles, CA · CIK 860644 · Declaraciones EDGAR ↗

Q2 2026 Q1 2026 Q4 2025 Dif. ⇄
$47.68BValor 13F declarado
212Posiciones
30.2%Ponderación del top 10
50.40Posiciones efectivas
8.0%Rotación est.
+29Nuevo
−4Cierres

El valor de cartera 13F declarado cubre únicamente posiciones largas estadounidenses sujetas a reporte — no incluye efectivo, bonos, posiciones cortas ni activos no estadounidenses. No equivale a activos bajo gestión.

Valor declarado por trimestre Q4 2025 → Q2 2026
Exposición sectorial
Servicios financieros 20.6% (+1.0pp)
Tecnología 19.7% (+2.0pp)
Materiales básicos 11.5% (-0.3pp)
Salud 9.5% (-0.2pp)
Consumo cíclico 9.1% (+1.1pp)
Industria 8.9% (+0.1pp)
Consumo defensivo 5.7% (-0.1pp)
Servicios de comunicación 5.6% (+0.1pp)
Energía 4.6% (-1.3pp)
Servicios públicos 3.6% (-2.2pp)
Inmobiliario 1.2% (+0.0pp)

Participación sobre el valor declarado de renta variable ordinaria; (±pp) respecto al trimestre anterior.

El portafolio · Q2 2026
#ValorPonderaciónValorAccionesΔ accionesMantenida
1 WSM Williams-Sonoma, Inc. 5.4% $2.58B 11.06M -0.8% ▼ Trim 3+
2 PH Parker-Hannifin Corporation 4.1% $1.96B 2.00M -5.8% ▼ Trim 3+
3 GOOG Alphabet Inc. 3.6% $1.71B 4.83M -5.9% ▼ Trim 3+
4 CTVA Corteva, Inc. 3.2% $1.50B 17.77M -5.7% ▼ Trim 3+
5 COF Capital One Financial… 2.7% $1.28B 6.40M -5.2% ▼ Trim 3+
6 MSFT Microsoft Corporation 2.5% $1.18B 3.16M -6.4% ▼ Trim 3+
7 USB U.S. Bancorp 2.2% $1.06B 17.59M -6.2% ▼ Trim 3+
8 MLM Martin Marietta Materials… 2.2% $1.06B 1.83M -6.3% ▼ Trim 3+
9 AMGN Amgen Inc. 2.2% $1.06B 2.92M -5.3% ▼ Trim 3+
10 QCOM QUALCOMM Incorporated 2.2% $1.03B 5.57M -7.5% ▼ Trim 3+
11 TDY Teledyne Technologies… 2.1% $1.01B 1.52M -5.2% ▼ Trim 3+
12 MCHP Microchip Technology… 2.1% $984.98M 10.80M -7.2% ▼ Trim 3+
13 ECL Ecolab Inc. 2.1% $979.84M 3.52M -5.2% ▼ Trim 3+
14 MUFG Mitsubishi UFJ Financial… 2.0% $958.10M 48.17M -6.6% ▼ Trim 3+
15 AMP Ameriprise Financial, Inc. 2.0% $955.76M 2.08M -5.8% ▼ Trim 3+
16 PNC The PNC Financial Services… 2.0% $949.34M 3.86M -6.2% ▼ Trim 3+
17 KO The Coca-Cola Company 2.0% $933.80M 11.49M -6.4% ▼ Trim 3+
18 MSI Motorola Solutions, Inc. 1.8% $870.90M 2.10M -7.5% ▼ Trim 2
19 MRK Merck & Co., Inc. 1.8% $845.35M 6.58M -4.6% ▼ Trim 3+
20 XEL Xcel Energy Inc. 1.8% $839.86M 10.46M -5.8% ▼ Trim 3+
21 SONY Sony Group Corporation 1.9% $827.92M 41.27M -6.1% ▼ Trim 3+
22 GD General Dynamics Corporation 1.7% $820.37M 2.32M -5.3% ▼ Trim 3+
23 TTE TotalEnergies SE 1.9% $816.84M 10.51M -6.6% ▼ Trim 3+
24 WFC Wells Fargo & Company 1.7% $814.26M 9.85M -3.6% ▼ Trim 3+
25 EW Edwards Lifesciences… 1.6% $783.91M 8.67M Nuevo New 1
26 SNPS Synopsys, Inc. 1.6% $775.02M 1.74M -6.0% ▼ Trim 3+
27 RPM RPM International Inc. 1.6% $768.27M 6.91M -6.1% ▼ Trim 3+
28 VZ Verizon Communications Inc. 1.6% $753.77M 17.80M -6.3% ▼ Trim 3+
29 AIG American International… 1.5% $738.22M 9.90M -5.9% ▼ Trim 3+
30 APD Air Products and Chemicals… 1.5% $737.00M 2.51M -6.3% ▼ Trim 3+
31 OSK Oshkosh Corp 1.5% $725.38M 4.73M -5.5% ▼ Trim 3+
32 AWK American Water Works… 1.5% $714.45M 5.43M -6.6% ▼ Trim 3+
33 LEN Lennar Corporation 1.5% $709.11M 7.84M -6.1% ▼ Trim 3+
34 UBER Uber Technologies, Inc. 1.5% $706.22M 9.79M -3.9% ▼ Trim 3+
35 ADSK Autodesk, Inc. 1.5% $692.28M 3.56M +240324.2% ▲ Add 3+
36 CFR Cullen/Frost Bankers, Inc. 1.4% $690.01M 4.47M -6.3% ▼ Trim 3+
37 CVX Chevron Corporation 1.4% $686.58M 4.14M -8.5% ▼ Trim 3+
38 LOW Lowe's Companies, Inc. 1.4% $681.48M 3.09M -4.7% ▼ Trim 3+
39 PG The Procter & Gamble Company 1.4% $645.18M 4.40M -5.3% ▼ Trim 3+
40 ALC Alcon Inc. 1.4% $614.30M 9.15M -5.7% ▼ Trim 3+
41 BX Blackstone Inc. 1.2% $584.13M 4.96M -4.8% ▼ Trim 3+
42 MKC McCormick & Company… 1.2% $574.23M 11.39M -10.1% ▼ Trim 3+
43 ELS Equity LifeStyle… 1.1% $527.43M 8.18M -5.0% ▼ Trim 3+
44 MDT Medtronic plc 1.0% $492.36M 6.29M -5.3% ▼ Trim 3+
45 ADBE Adobe Inc. 0.9% $417.00M 2.03M -6.3% ▼ Trim 3+
46 BAP Credicorp Ltd. 0.6% $275.66M 707.54K -5.3% ▼ Trim 3+
47 SPY State Street SPDR S&P 500… 0.4% $178.48M 238.97K +33.0% ▲ Add 3+
48 CCEP Coca-Cola Europacific… 0.4% $173.84M 1.74M -5.3% ▼ Trim 3+
49 EBKDY ERSTE GROUP BANK AG SPONS… 0.3% $159.34M 2.38M -5.3% ▼ Trim 3+
50 SAMSUNG ELECTRONICS CO LTD (sin mapear) $157.81M 732.03K
51 SAFRY SAFRAN SA SPONS ADR 0.3% $150.27M 1.52M -4.2% ▼ Trim 3+
52 ING ING Groep N.V. 0.3% $149.32M 4.76M -5.9% ▼ Trim 3+
53 EBO.DE ERSTE GROUP BANK AG 0.3% $142.67M 1.07M -7.3% ▼ Trim 3+
54 DBSDY DBS GROUP HLDGS LTD SPONS… 0.3% $136.09M 672.68K -5.5% ▼ Trim 3+
55 DBS GROUP HOLDINGS LTD (sin mapear) $135.03M 2.67M
56 BN Brookfield Corporation 0.3% $125.53M 2.95M -5.3% ▼ Trim 3+
57 CCJ Cameco Corporation 0.7% $124.29M 2.91M -14.5% ▼ Trim 3+
58 SAF.PA SAFRAN SA 0.2% $119.16M 302.11K -4.8% ▼ Trim 3+
59 FRCOF FAST RETAILING CO LTD ADR 0.2% $110.65M 2.17M -5.7% ▼ Trim 3+
60 MS Morgan Stanley 0.2% $108.43M 518.69K -19.8% ▼ Trim 3+
61 CCJ Cameco Corporation 0.7% $107.55M 1.06M -14.5% ▼ Trim 3+
62 TTNDY TECHTRONIC INDUSTRIES CO… 0.2% $106.30M 1.29M -2.4% ▼ Trim 2
63 TECHTRONIC INDUSTRIES CO LTD (sin mapear) $104.21M 6.31M
64 CCJ Cameco Corporation 0.7% $101.70M 998.07K -14.5% ▼ Trim 3+
65 TT Trane Technologies plc 0.2% $101.45M 206.56K -15.9% ▼ Trim 3+
66 RHHBY ROCHE HOLDING AG 0.2% $101.33M 1.97M -4.5% ▼ Trim 3+
67 OTSKY OTSUKA HOLDINGS CO LTD… 0.2% $97.93M 2.94M -4.6% ▼ Trim 3+
68 IR Ingersoll Rand Inc. 0.2% $94.18M 1.15M -3.0% ▼ Trim 3+
69 SONY Sony Group Corporation 1.9% $93.16M 4.62M -6.1% ▼ Trim 3+
70 DVN Devon Energy Corporation 0.2% $91.78M 2.22M Nuevo New 1
71 MUV2.DE MUENCHENER… 0.2% $88.95M 159.26K -7.8% ▼ Trim 3+
72 FAST RETAILING CO LTD (sin mapear) $87.48M 171.69K
73 ROCHE HOLDING AG (sin mapear) $85.35M 206.87K
74 SUNB Sunbelt Rentals Holdings Inc 0.3% $83.06M 1.11M -6.0% ▼ Trim 2
75 DQJCY PAN PACIFIC INTERNATIONAL… 0.2% $81.32M 8.03M -6.4% ▼ Trim 3+
76 MURGY MUENCHENER RUECK-UNSPONS ADR 0.2% $81.20M 7.27M -5.8% ▼ Trim 3+
77 FANUY FANUC CORP ADR 0.2% $80.59M 3.56M -5.8% ▼ Trim 3+
78 TTE TotalEnergies SE 1.9% $80.47M 1.03M -6.6% ▼ Trim 3+
79 MGDDY CIE GENERALE DES… 0.2% $78.47M 4.07M -5.9% ▼ Trim 3+
80 PAN PACIFIC INTERNATIONAL… (sin mapear) $78.44M 15.49M
81 WAL-MART DE MEXICO SAB DE CV (sin mapear) $77.01M 26.20M
82 GSK GSK plc 0.3% $76.72M 1.46M -5.9% ▼ Trim 3+
83 OTSUKA HOLDINGS CO LTD (sin mapear) $76.04M 1.14M
84 WMMVY WAL-MART DE MEXICO SA SPONS… 0.2% $74.82M 2.55M -2.7% ▼ Trim 3+
85 ALL.AX ARISTOCRAT LEISURE LTD 0.2% $74.19M 1.75M -4.7% ▼ Trim 3+
86 ASAZY ASSA ABLOY AB ADR 0.2% $73.90M 4.18M -5.8% ▼ Trim 3+
87 MAGNUM ICE CREAM CO NV/THE (sin mapear) $72.33M 4.15M
88 SUNB Sunbelt Rentals Holdings Inc 0.3% $72.03M 987.41K -6.0% ▼ Trim 2
89 MICC The Magnum Ice Cream… 0.1% $71.04M 4.08M +2021.4% ▲ Add 3+
90 GSK GSK plc 0.3% $69.25M 2.63M -5.9% ▼ Trim 3+
91 HLN Haleon plc 0.3% $66.15M 7.09M -5.8% ▼ Trim 3+
92 FANUC CORP (sin mapear) $65.19M 1.44M
93 DKILF DAIKIN INDUSTRIES LTD 0.1% $63.35M 417.10K -8.5% ▼ Trim 3+
94 MONOTARO CO LTD (sin mapear) $62.62M 5.49M
95 ASSA ABLOY AB (sin mapear) $60.94M 1.72M
96 DKILY DAIKIN INDS LTD UNSPONS ADR 0.1% $59.99M 3.95M -5.5% ▼ Trim 3+
97 MONOY MONOTARO CO LTD UNSPONS ADR 0.1% $56.92M 4.99M 0.0% ▼ Trim 3+
98 DSM FIRMENICH AG ADR (sin mapear) $56.29M 5.96M
99 ALC Alcon Inc. 1.4% $55.79M 824.24K -5.7% ▼ Trim 3+
100 ACN Accenture plc 0.1% $55.63M 447.00K -5.9% ▼ Trim 3+
101 HLN Haleon plc 0.3% $54.99M 11.92M -5.8% ▼ Trim 3+
102 SYIEY SYMRISE AG UNSPONS ADR 0.1% $52.81M 2.10M -5.5% ▼ Trim 3+
103 CIE GENERALE DES ETABLISSEMENTS… (sin mapear) $52.77M 1.37M
104 NEM.DE NEMETSCHEK SE 0.1% $51.78M 852.96K -3.6% ▼ Trim 3+
105 RTO.L RENTOKIL INITIAL PLC 0.1% $49.87M 8.81M -6.6% ▼ Trim 3+
106 LVMH MOET HENNESSY LOUIS VUITTON… (sin mapear) $49.38M 89.21K
107 1299.HK AIA GROUP LTD 0.1% $48.52M 5.33M -7.7% ▼ Trim 3+
108 RTO Rentokil Initial plc 0.1% $48.42M 1.69M -5.8% ▼ Trim 3+
109 AKZOY AKZO NOBEL N V SPONS ADR 0.1% $48.26M 2.13M -4.4% ▼ Trim 3+
110 HINKF HEINEKEN N V SPONS ADR L1 0.1% $47.78M 1.14M -5.7% ▼ Trim 3+
111 LVMUY LVMH MOET HENNESSY LOUIS… 0.1% $47.24M 426.81K -3.0% ▼ Trim 3+
112 AAGIY AIA GROUP LTD SPONS ADR 0.1% $46.32M 1.27M -5.5% ▼ Trim 3+
113 EXPGY EXPERIAN GP LTD ADR 0.1% $45.89M 1.36M -5.9% ▼ Trim 3+
114 HEINEKEN NV (sin mapear) $45.14M 536.46K
115 DEO Diageo plc 0.2% $41.66M 518.22K -3.5% ▼ Trim 3+
116 SY1.DE SYMRISE AG 0.1% $40.78M 406.13K -7.8% ▼ Trim 3+
117 DSM-FIRMENICH AG (sin mapear) $39.80M 419.45K
118 FCFS FirstCash Holdings, Inc 0.1% $39.39M 182.11K -13.2% ▼ Trim 3+
119 EXPN.L EXPERIAN PLC 0.1% $37.49M 1.11M -3.6% ▼ Trim 3+
120 DEO Diageo plc 0.2% $35.22M 1.74M -3.5% ▼ Trim 3+
121 AKZA.AS AKZO NOBEL NV 0.1% $31.41M 462.91K -4.9% ▼ Trim 3+
122 JAZZ Jazz Pharmaceuticals plc 0.1% $26.92M 111.70K -14.4% ▼ Trim 3+
123 EFA iShares MSCI EAFE ETF 0.1% $23.78M 228.87K -51.0% ▼ Trim 3+
124 SGOV iShares 0-3 Month Treasury… 0.0% $20.79M 206.45K -28.2% ▼ Trim 3+
125 SAMSUNG ELECTRONICS CO LTD SPONS… (sin mapear) $17.14M 3.18K
126 MUFG Mitsubishi UFJ Financial… 2.0% $16.74M 848.10K -6.6% ▼ Trim 3+
127 ABBV AbbVie Inc. 0.0% $16.10M 63.96K -0.3% ▼ Trim 3+
128 ITOCF ITOCHU CORP 0.0% $15.82M 1.39M +70.1% ▲ Add 3+
129 IWD iShares Russell 1000 Value… 0.0% $13.52M 55.77K +27.7% ▲ Add 3+
130 EWY iShares MSCI South Korea ETF 0.0% $11.86M 58.75K -3.7% ▼ Trim 3+
131 NCLH Norwegian Cruise Line… 0.0% $11.29M 534.65K -12.1% ▼ Trim 3+
132 RY Royal Bank of Canada 0.0% $7.14M 34.49K 0.0% Held 3+
133 JNJ Johnson & Johnson 0.0% $6.53M 25.71K 0.0% Held 3+
134 CTAS Cintas Corporation 0.0% $6.16M 36.20K -0.7% ▼ Trim 3+
135 ATO Atmos Energy Corporation 0.0% $5.84M 33.90K -99.3% ▼ Trim 3+
136 ABT Abbott Laboratories 0.0% $4.89M 53.86K -0.7% ▼ Trim 3+
137 LEN-B Lennar Corporation 0.0% $4.45M 50.12K -4.3% ▼ Trim 3+
138 XONA.DE Exxon Mobil Corporation 0.0% $4.13M 30.21K 0.0% Held 3+
139 CATH GLOBAL X FDS 0.0% $4.12M 46.57K -63.0% ▼ Trim 3+
140 AXP American Express Company 0.0% $3.90M 11.53K 0.0% Held 3+
141 JPM JPMorgan Chase & Co. 0.0% $3.81M 11.64K 0.0% ▼ Trim 3+
142 PEP PepsiCo, Inc. 0.0% $3.26M 24.07K 0.0% Held 3+
143 BRK-A Berkshire Hathaway Inc. 0.0% $3.00M 4 0.0% Held 3+
144 CHD Church & Dwight Co., Inc. 0.0% $2.64M 27.27K -2.5% ▼ Trim 3+
145 ITOCHU CORP SPONS ADR (sin mapear) $2.59M 227.37K
146 GWW W.W. Grainger, Inc. 0.0% $2.48M 1.82K -0.4% ▼ Trim 3+
147 ITW Illinois Tool Works Inc. 0.0% $2.39M 8.84K +1.6% ▲ Add 3+
148 VTV Vanguard Morningstar Value… 0.0% $2.37M 10.86K +84.8% ▲ Add 3+
149 AAPL Apple Inc. 0.0% $2.31M 8.00K 0.0% Held 3+
150 DHR Danaher Corporation 0.0% $2.10M 11.00K -99.7% ▼ Trim 3+
151 FELE Franklin Electric Co., Inc. 0.0% $1.92M 17.95K 0.0% Held 3+
152 SYY Sysco Corporation 0.0% $1.63M 19.56K -0.2% ▼ Trim 3+
153 SAMSUNG ELECTRONICS CO LTD (sin mapear) $1.40M 10.20K
154 EMR Emerson Electric Co. 0.0% $1.37M 9.60K 0.0% Held 3+
155 COST Costco Wholesale Corporation 0.0% $1.16M 1.25K 0.0% Held 3+
156 PFE Pfizer Inc. 0.0% $1.11M 46.07K 0.0% Held 3+
157 BRK-B Berkshire Hathaway Inc. 0.0% $1.04M 2.08K 0.0% Held 3+
158 XYL Xylem Inc. 0.0% $1.03M 8.72K -38.7% ▼ Trim 3+
159 MMM 3M Company 0.0% $1.02M 6.32K 0.0% Held 3+
160 SJM The J. M. Smucker Company 0.0% $804,375 7.15K -20.3% ▼ Trim 3+
161 KMB Kimberly-Clark Corporation 0.0% $767,292 6.99K 0.0% Held 3+
162 BAC Bank of America Corporation 0.0% $757,834 13.30K 0.0% Held 3+
163 WFC-PL Wells Fargo & Company 0.0% $752,050 650 0.0% Held 3+
164 GLW Corning Inc 0.0% $715,204 2.80K 0.0% Held 3+
165 V Visa Inc. 0.0% $639,863 1.86K 0.0% Held 3+
166 DOV Dover Corporation 0.0% $583,128 2.60K 0.0% Held 3+
167 DCI Donaldson Company, Inc. 0.0% $538,620 6.00K 0.0% Held 3+
168 GOOGL Alphabet Inc. 0.0% $488,525 1.37K 0.0% Held 3+
169 NSRGY NESTLE SA 0.0% $481,188 4.67K +0.7% ▲ Add 3+
170 VEA Vanguard FTSE Developed… 0.0% $480,521 6.74K +34.1% ▲ Add 3+
171 HON Honeywell International Inc. 0.0% $479,817 2.14K -6.4% ▼ Trim 3+
172 UNP Union Pacific Corporation 0.0% $474,640 1.75K 0.0% Held 3+
173 HONA Honeywell Aerospace Inc 0.0% $473,773 2.14K Nuevo New 1
174 FITB Fifth Third Bancorp 0.0% $448,142 7.95K +21.7% ▲ Add 2
175 PSX Phillips 66 0.0% $444,806 2.63K -1.4% ▼ Trim 3+
176 RTX RTX Corporation 0.0% $436,758 2.30K +13.6% ▲ Add 3+
177 IGV iShares Expanded… 0.0% $424,304 4.68K Nuevo New 1
178 SBUX Starbucks Corporation 0.0% $408,760 4.00K 0.0% Held 3+
179 TDIV First Trust NASDAQ… 0.0% $380,911 3.32K Nuevo New 1
180 CSCO Cisco Systems, Inc. 0.0% $365,183 3.11K Nuevo New 1
181 CBSH Commerce Bancshares, Inc. 0.0% $355,474 6.16K -16.4% ▼ Trim 3+
182 INTC Intel Corp. 0.0% $349,075 2.50K Nuevo New 1
183 ETR Entergy Corporation 0.0% $345,843 3.01K +29.3% ▲ Add 3+
184 PM Philip Morris International… 0.0% $330,703 1.83K +29.3% ▲ Add 3+
185 ZBH Zimmer Biomet Holdings, Inc. 0.0% $329,983 3.83K 0.0% Held 3+
186 CMI Cummins Inc. 0.0% $304,541 427 Nuevo New 1
187 DTM DT Midstream, Inc. 0.0% $290,839 1.98K +29.4% ▲ Add 2
188 SNA Snap-on Incorporated 0.0% $278,058 691 Nuevo New 1
189 MTB M&T Bank Corporation 0.0% $277,044 1.16K Nuevo New 1
190 XLE State Street Energy Select… 0.0% $276,987 5.21K Nuevo New 1
191 WMT Walmart Inc. 0.0% $273,523 2.42K 0.0% Held 3+
192 PKG Packaging Corporation of… 0.0% $271,639 1.14K Nuevo New 1
193 WSO Watsco, Inc. 0.0% $270,874 650 Nuevo New 1
194 RHS INVESCO EXCHANGE TRADED FD T 0.0% $270,655 9.03K Nuevo New 1
195 TXN Texas Instruments… 0.0% $265,282 890 Nuevo New 1
196 DRI Darden Restaurants, Inc. 0.0% $251,126 1.22K Nuevo New 1
197 KTB Kontoor Brands, Inc. 0.0% $245,186 2.94K -1.8% ▼ Trim 2
198 CINF Cincinnati Financial… 0.0% $223,544 1.21K Nuevo New 1
199 ORCL Oracle Corporation 0.0% $219,825 1.50K 0.0% Held 3+
200 EVRG Evergy, Inc. 0.0% $213,223 2.47K Nuevo New 1
201 HD The Home Depot, Inc. 0.0% $207,023 587 Nuevo New 1
202 MAGNUM ICE CREAM CO NV/THE (sin mapear) $139,603 8.02K
203 IYT iShares U.S. Transportation… 0.0% $48,077 554 Nuevo New 1
204 IXJ iShares Global Healthcare… 0.0% $4,752 48 Nuevo New 1
205 XLB State Street Materials… 0.0% $3,485 69 Nuevo New 1
206 RSPD INVESCO EXCHANGE TRADED FD T 0.0% $2,718 49 Nuevo New 1
207 XLP State Street Consumer… 0.0% $1,979 24 Nuevo New 1
208 IYC ISHARES TR 0.0% $510 5 Nuevo New 1
209 IYW iShares U.S. Technology ETF 0.0% $448 2 Nuevo New 1
210 RSPF INVESCO EXCHANGE TRADED FD T 0.0% $284 4 Nuevo New 1
211 IYE ISHARES TR 0.0% $244 4 Nuevo New 1
212 IXC iShares Global Energy ETF 0.0% $224 5 Nuevo New 1

Solo posiciones de acciones ordinarias (SH); las líneas de opciones están en la pestaña Opciones y nunca se netean. ✂ = cambio calculado respecto a las acciones previas ajustadas por splits. "Mantenido N+" = mantenido cada trimestre en nuestra ventana, posiblemente más.

Antigüedad de la posición
290–1 trimestres
1522–4 trimestres

Trimestres consecutivos en que cada posición actual ha sido reportada, dentro de nuestra ventana de datos.

Gestores similares
GestorPosiciones comunesSuperposición de nombresSimilitud ponderada
Fayez Sarofim & Co 70 17.1% 0.2092 Comparar ⇄
Brown Advisory Inc 121 8.2% 0.1976 Comparar ⇄
Aberdeen Group plc 104 10.4% 0.1713 Comparar ⇄
Markel Group 36 13.1% 0.169 Comparar ⇄
Aviva Plc 106 11.6% 0.1536 Comparar ⇄
Chevy Chase Trust Holdings, LLC 107 14.8% 0.1528 Comparar ⇄
PFA Pension, Forsikringsaktieselskab 80 15.4% 0.1511 Comparar ⇄
National Pension Service 96 15.1% 0.1485 Comparar ⇄

Similitud basada únicamente en posiciones largas declaradas — las coberturas y los activos no sujetos a 13F no son visibles. Metodología

Historial de declaraciones
Aug 14 2026 13F-HR · período Q2 2026

$47.68B · 212 posiciones · Ver presentación original ante la SEC ↗

May 15 2026 13F-HR · período Q1 2026

$47.78B · 191 posiciones · Ver presentación original ante la SEC ↗

Feb 17 2026 13F-HR · período Q4 2025

$49.96B · 192 posiciones · Ver presentación original ante la SEC ↗

Nov 14 2025 13F-HR · período Q3 2025

$51.75B · 193 posiciones · Ver presentación original ante la SEC ↗

Aug 14 2025 13F-HR · período Q2 2025

$51.92B · 184 posiciones · Ver presentación original ante la SEC ↗

Procedencia: Todas las posiciones analizadas de las tablas de información 13F de este gestor en SEC EDGAR; valores tal como se declararon, en USD enteros. Los cambios comparan la última versión aceptada de cada trimestre (enmiendas incorporadas) sobre recuentos de acciones ajustados por splits. Período de reporte: Q2 2026 · última presentación Aug 14, 2026 · Metodología de cambios