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First Manhattan Co. Llc.

Q1 2026 ⇄ Q2 2026

+48Agregado
−58Eliminada
200Redimensionado
165Sin cambios

Agregado (Q2 2026)

ValorValorAcciones
HONA HONEYWELL AEROSPACE… $414.69M1.88M
WOLF WOLFSPEED INC $79.37M1.64M
WDAY WORKDAY INC $78.27M639.34K
EROK EAGLEROCK LD LLC $69.21M3.26M
SONY SONY GROUP CORP $1.71M85.17K
MRVL MARVELL TECHNOLOGY INC $853,1572.86K
SPCX SPACE EXPLORATION… $789,2024.62K
DBEF DBX ETF TR $776,72914.22K
VCTR VICTORY CAP HLDGS INC… $719,5548.56K
PWR QUANTA SVCS INC $678,278942
MDY STATE STR SPDR S&P… $628,898892
VST VISTRA CORP $581,0623.66K
NBIS NEBIUS GROUP N.V. $510,9151.85K
OKTA OKTA INC $500,0893.67K
HOMB HOME BANCSHARES INC $489,60417.15K
HUBB HUBBELL INC $445,766852
CVBF CVB FINL CORP $431,65219.14K
EQNR EQUINOR ASA $425,47013.55K
FRO FRONTLINE PLC $417,48012.00K
BLLN BILLIONTOONE INC $403,3733.36K
NXPI NXP SEMICONDUCTORS N V $389,7291.38K
ECHO ECHOSTAR CORP $365,5023.60K
ENPH ENPHASE ENERGY INC $356,9907.25K
XYZ BLOCK INC $346,4084.56K
HWM HOWMET AEROSPACE INC $340,3771.27K
CMI CUMMINS INC $313,812440
CRWD CROWDSTRIKE HLDGS INC $283,125371
SNX TD SYNNEX CORPORATION $267,3401.00K
SNOW SNOWFLAKE INC $263,1531.03K
IVW ISHARES TR $256,4931.86K
CNS COHEN & STEERS INC $251,6433.31K
MDB MONGODB INC $242,520722
TATT TAT TECHNOLOGIES LTD $236,3274.90K
AMBA AMBARELLA INC $235,5212.75K
PPG PPG INDS INC $226,5701.87K
MP MP MATERIALS CORP $226,1684.04K
HEI-A HEICO CORP NEW $224,382870
NVO NOVO-NORDISK A S $224,0244.67K
IWP ISHARES TR $217,2721.48K
IVE ISHARES TR $215,026947
GVA GRANITE CONSTR INC $208,9951.32K
SENEA SENECA FOODS CORP NEW $208,7281.20K
IWS ISHARES TR $206,4081.25K
BHB BAR HBR BANKSHARES $205,4525.44K
TKO TKO GROUP HOLDINGS INC $202,7191.01K
SOLV SOLVENTUM CORP $200,4362.60K
FLNC FLUENCE ENERGY INC $198,80010.00K
IBRX IMMUNITYBIO INC $87,55010.00K

Eliminada (se mantenía en Q1 2026)

ValorValor anteriorAcciones en ese momento
BAH BOOZ ALLEN HAMILTON… $27.61M353.89K
VHT VANGUARD WORLD FD $23.84M87.53K
TAC TRANSALTA CORP $10.43M793.22K
CTRA COTERRA ENERGY INC $8.05M229.16K
TMHC TAYLOR MORRISON HOME… $7.97M136.91K
DMAC DIAMEDICA… $3.08M455.00K
PSN PARSONS CORP DEL $3.07M56.77K
SHY ISHARES TR $1.53M18.48K
ULTA ULTA BEAUTY INC $1.16M2.22K
ICLR ICON PLC $1.11M10.05K
HTBK HERITAGE COMM CORP $865,61368.64K
DLR DIGITAL RLTY TR INC $768,5964.26K
FSEA FIRST SEACOAST… $628,00050.00K
IEF ISHARES TR $542,8635.69K
BRKR BRUKER CORP $529,22214.63K
AL AIR LEASE CORP $521,2808.00K
YORW YORK WTR CO $503,11916.40K
GPIX GOLDMAN SACHS ETF TR $439,7018.79K
VXF VANGUARD INDEX FDS $430,7392.09K
KMI KINDER MORGAN INC DEL $423,85312.64K
CBSH COMMERCE BANCSHARES… $422,4618.59K
UL UNILEVER PLC $405,0037.04K
CRWV COREWEAVE INC $387,3505.00K
TYL TYLER TECHNOLOGIES INC $381,4111.11K
VOOG VANGUARD ADMIRAL FDS… $379,967932
AUB ATLANTIC UN… $368,83710.32K
SDY SPDR SERIES TRUST $348,2132.39K
GEHC GE HEALTHCARE… $344,3054.84K
BLDR BUILDERS FIRSTSOURCE… $335,1654.07K
IBB ISHARES TR $322,6721.91K
CAC CAMDEN NATL CORP $320,2886.75K
RSG REPUBLIC SVCS INC $318,0171.45K
ABNB AIRBNB INC $302,4452.40K
IWO ISHARES TR $277,094883
RYN RAYONIER INC $275,91613.38K
EWL ISHARES INC $265,5274.51K
FND FLOOR & DECOR HLDGS… $258,8775.10K
SCHZ SCHWAB STRATEGIC TR $237,58710.23K
EQT EQT CORP $236,6143.72K
YUMC YUM CHINA HLDGS INC $233,2174.78K
MCHP MICROCHIP TECHNOLOGY… $224,5843.48K
FTNT FORTINET INC $224,2402.74K
PRU PRUDENTIAL FINL INC $218,3512.23K
CLX CLOROX CO DEL $217,6232.10K
AA ALCOA CORP $215,5733.25K
AOS SMITH A O CORP $214,0413.25K
DD DUPONT DE NEMOURS INC $213,4984.66K
ZBH ZIMMER BIOMET… $211,4192.33K
BCAL CALIFORNIA BANCORP $208,17311.68K
POST POST HLDGS INC $207,8042.10K
ONON ON HLDG AG $201,5345.92K
LNKB LINKBANCORP INC $187,65022.50K
PTEN PATTERSON-UTI ENERGY… $152,06414.04K
DIBS 1STDIBS COM INC $101,66218.48K
EEX EMERALD HOLDING INC $98,47821.76K
MDXH MDXHEALTH SA $62,10027.00K
ALDX ALDEYRA THERAPEUTICS… $58,71934.74K
CALC CALCIMEDICA INC $7,14213.23K

Posiciones redimensionadas

ValorQ1 2026 accionesQ2 2026 accionesCambio
BKNG BOOKING HOLDINGS INC 41.17K 1.09M +2545.4%
PAVM PAVMED INC 23.80K 332.91K +1298.5%
VGT VANGUARD WORLD FD 704 9.75K +1285.5%
MDT MEDTRONIC PLC 6.75K 52.31K +675.4%
KLAC KLA CORP 4.38K 33.81K +671.4%
VTV VANGUARD INDEX FDS 23.00K 171.37K +645.0%
LUCD LUCID DIAGNOSTICS INC 323.45K 2.19M +576.6%
VUG VANGUARD INDEX FDS 3.79K 23.85K +529.5%
EEM ISHARES TR 16.14K 101.32K +527.8%
UBER UBER TECHNOLOGIES INC 630.38K 3.44M +446.2%
HDV ISHARES TR 5.79K 28.96K +400.0%
VO VANGUARD INDEX FDS 156.40K 698.32K +346.5%
IWF ISHARES TR 2.53K 11.26K +344.9%
DVN DEVON ENERGY CORP NEW 51.28K 213.07K +315.5%
MTD METTLER TOLEDO… 2.29K 7.15K +212.1%
QXO QXO INC 1.64M 4.87M +196.1%
HSY HERSHEY CO 2.63K 6.12K +132.1%
ZTS ZOETIS INC 41.10K 92.40K +124.8%
IBDU ISHARES TR 21.79K 47.16K +116.4%
TDW TIDEWATER INC NEW 45.92K 99.03K +115.6%
LOAR LOAR HOLDINGS INC 72.16K 144.96K +100.9%
GE GE AEROSPACE 192.75K 385.84K +100.2%
IJH ISHARES TR 23.84K 47.44K +99.0%
MBLY MOBILEYE GLOBAL INC 326.32K 26.30K -91.9%
AMT AMERICAN TOWER CORP 195.45K 21.83K -88.8%
NOW SERVICENOW INC 34.45K 5.00K -85.5%
SG SWEETGREEN INC 532.63K 106.20K -80.1%
GTLS CHART INDS INC 5.87K 1.23K -79.0%
FTV FORTIVE CORP 102.07K 22.51K -77.9%
IGV ISHARES TR 77.61K 21.93K -71.7%
MXC MEXCO ENERGY CORP 40.66K 69.80K +71.7%
KNSL KINSALE CAP GROUP INC 616.03K 188.38K -69.4%
APO APOLLO GLOBAL MGMT INC 60.03K 20.74K -65.4%
BSX BOSTON SCIENTIFIC CORP 4.91M 1.70M -65.4%
PHM PULTE GROUP INC 17.61K 6.50K -63.1%
CTVA CORTEVA INC 12.22K 4.55K -62.8%
CPRT COPART INC 2.95M 1.10M -62.7%
CAR AVIS BUDGET GROUP INC 27.02K 10.28K -62.0%
EBAY EBAY INC. 9.55K 3.85K -59.6%
ACN ACCENTURE PLC IRELAND 481.19K 756.73K +57.3%
SCHF SCHWAB STRATEGIC TR 38.50K 59.70K +55.1%
AGI ALAMOS GOLD INC 182.62K 282.62K +54.8%
MPB MID PENN BANCORP INC 76.81K 34.79K -54.7%
VCSH VANGUARD SCOTTSDALE FDS 21.97K 33.85K +54.1%
DIA STATE STR SPDR DOW… 821 1.26K +53.6%
SCHB SCHWAB STRATEGIC TR 10.86K 16.39K +51.0%
OPCH OPTION CARE HEALTH INC 51.04K 26.96K -47.2%
OGN ORGANON & CO 950.17K 504.65K -46.9%
LEN LENNAR CORP 5.63K 3.05K -45.9%
CHTR CHARTER COMMUNICATIONS… 60.90K 33.33K -45.3%
PSEP INNOVATOR ETFS TRUST 12.96K 7.34K -43.4%
LUMN LUMEN TECHNOLOGIES INC 16.18K 23.18K +43.3%
VLTO VERALTO CORP 573.66K 821.83K +43.3%
CPT CAMDEN PPTY TR 29.70K 17.02K -42.7%
NFLX NETFLIX INC. 39.24K 23.18K -40.9%
WFC-PL WELLS FARGO & CO 7.40K 4.47K -39.5%
BP BP PLC 11.48K 6.97K -39.3%
IBDT ISHARES TR 81.46K 112.38K +38.0%
HHH HOWARD HUGHES HOLDINGS… 239.76K 149.78K -37.5%
PGR PROGRESSIVE CORP 13.62K 8.54K -37.3%
IEFA ISHARES TR 183.58K 251.76K +37.1%
GIS GENERAL MILLS INC 22.65K 14.38K -36.5%
TXT TEXTRON INC 3.45K 2.19K -36.4%
EXC EXELON CORP 9.91K 6.39K -35.5%
NKE NIKE INC 330.30K 214.16K -35.2%
ADBE ADOBE INC 2.72K 1.77K -35.0%
BLK BLACKROCK INC 1.31K 858 -34.8%
CRM SALESFORCE INC 2.65M 1.74M -34.2%
RSPA INVESCO ACTIVELY… 15.94K 10.61K -33.5%
PYPL PAYPAL HLDGS INC 23.70K 16.00K -32.5%
IVV ISHARES TR 68.46K 90.48K +32.2%
QLTY GMO ETF TRUST 326.56K 431.23K +32.0%
BA BOEING CO 10.54K 13.87K +31.7%
TMUS T-MOBILE US INC 22.43K 15.38K -31.5%
TEVA TEVA PHARMACEUTICAL… 43.67K 30.04K -31.2%
ECL ECOLAB INC 4.58K 5.97K +30.3%
VTEB VANGUARD MUN BD FDS 15.86K 11.05K -30.3%
VRT VERTIV HOLDINGS CO 552.09K 385.34K -30.2%
ALB ALBEMARLE CORP 3.75K 2.62K -30.2%
EBMT EAGLE BANCORP MONT INC 28.50K 20.00K -29.8%
MKL MARKEL GROUP INC 3.39K 2.39K -29.6%
VTRS VIATRIS INC 21.17K 14.96K -29.3%
ICE INTERCONTINENTAL… 1.02M 728.69K -28.5%
MSB MESABI TR 310.06K 396.37K +27.8%
AWI ARMSTRONG WORLD INDS… 4.70K 3.42K -27.1%
MRSH MARSH & MCLENNAN COS INC 29.13K 21.54K -26.1%
SYK STRYKER CORPORATION 70.27K 88.50K +25.9%
BUD ANHEUSER BUSCH INBEV SA… 17.90K 13.28K -25.8%
EXPE EXPEDIA GROUP INC 8.33K 6.18K -25.8%
T AT&T INC 53.12K 39.56K -25.5%
ESQ ESQUIRE FINL HLDGS INC 48.17K 35.93K -25.4%
ESAB ESAB CORPORATION 12.25K 15.30K +24.9%
SIRI SIRIUSXM HOLDINGS INC 228.47K 172.06K -24.7%
JCI JOHNSON CONTROLS… 2.48K 3.08K +24.2%
LLYVA LIBERTY LIVE HOLDINGS… 3.73K 2.83K -24.2%
TSLA TESLA INC 5.62K 4.27K -24.1%
SUSA ISHARES TR 2.24K 1.70K -24.0%
SYY SYSCO CORP 6.53K 4.96K -24.0%
FDX FEDEX CORP 2.45K 1.87K -23.8%
LH LABCORP HOLDINGS INC 1.28K 980 -23.4%
UPS UNITED PARCEL SVCS INC 39.59K 30.38K -23.3%
PLTR PALANTIR TECHNOLOGIES… 4.45K 3.42K -23.2%
BLND BLEND LABS INC 536.59K 659.77K +23.0%
BCML BAYCOM CORP 94.84K 73.35K -22.7%
KRE SPDR SERIES TRUST 6.62K 5.12K -22.6%
ETN EATON CORP PLC 23.12K 18.01K -22.1%
MCK MCKESSON CORP 5.65K 4.44K -21.5%
IBIT ISHARES BITCOIN TRUST… 5.64K 6.84K +21.3%
DELL DELL TECHNOLOGIES INC 5.11K 6.17K +20.7%
AMD ADVANCED MICRO DEVICES… 83.99K 66.60K -20.7%
MU MICRON TECHNOLOGY INC 11.88K 9.45K -20.4%
AMRZ AMRIZE LTD 3.94M 3.14M -20.1%
VTI VANGUARD INDEX FDS 20.43K 24.46K +19.7%
SBUX STARBUCKS CORP 19.85K 15.97K -19.5%
DUK DUKE ENERGY CORP NEW 12.14K 9.82K -19.1%
DGRO ISHARES TR 8.26K 9.81K +18.8%
UG UNITED GUARDIAN INC 16.06K 13.06K -18.7%
ADT ADT INC DEL 1.09M 1.30M +18.6%
TRGP TARGA RES CORP 3.40K 2.77K -18.5%
INTC INTEL CORP 5.69M 4.64M -18.5%

Comparación de número bruto de acciones entre los dos trimestres seleccionados (tal como se declaró; los splits entre trimestres distantes no se ajustan aquí — las pestañas de cambio trimestral en la página del gestor sí están ajustadas por splits). Solo posiciones en acciones ordinarias con tickers mapeados.

Procedencia: Ambas instantáneas proceden de las tablas de información 13F analizadas del gestor (últimas versiones aceptadas). ← Volver al registro del gestor