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Scheda del gestore · ✦ curato · trimestre archiviato

Markel Group

Insurance holding company · Glen Allen, VA · CIK 1096343 · Depositi EDGAR ↗

Buffett-style equity book inside an insurer.

Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Diff ⇄
$11.94BValore 13F dichiarato
205Posizioni
42.0%Peso top-10
38.00Partecipazioni effettive
4.1%Turnover est.
+4Nuovo
−3Uscite

Il valore del portafoglio 13F dichiarato comprende solo le posizioni lunghe statunitensi soggette a obbligo di dichiarazione — esclusi liquidità, obbligazioni, posizioni corte e partecipazioni non statunitensi. Non corrisponde agli asset in gestione.

Valore dichiarato per trimestre Q2 2024 → Q2 2026
Esposizione settoriale
Servizi finanziari 42.4% (-2.9pp)
Industria 16.2% (+2.6pp)
Servizi di comunicazione 11.2% (-0.7pp)
Beni di consumo ciclici 10.1% (-0.1pp)
Tecnologia 9.3% (+0.1pp)
Beni di consumo difensivi 4.0% (+0.2pp)
Materiali di base 3.5% (+0.6pp)
Sanità 2.9% (+0.0pp)
Immobiliare 0.2% (+0.0pp)
Energia 0.1% (+0.1pp)

Quota del valore comune dichiarato; (±pp) rispetto al trimestre precedente.

Il portafoglio · Q1 2026
#Strumento finanziarioPesoValoreQuoteΔ azioniDetenuto
1 GOOG Alphabet Inc. 6.6% $703.56M 2.45M 0.0% Held 8
2 BRK-B Berkshire Hathaway Inc. 6.1% $529.26M 1.10M 0.0% Held 8
3 DE Deere & Company 4.1% $494.52M 877.90K 0.0% Held 8
4 BRK-A Berkshire Hathaway Inc. 6.7% $423.70M 590 0.0% Held 8
5 AMZN Amazon.com, Inc. 3.5% $392.03M 1.88M 0.0% Held 8
6 BRK-A Berkshire Hathaway Inc. 6.7% $376.31M 524 0.0% Held 8
7 BN Brookfield Corporation 4.4% $336.52M 8.32M 0.0% Held 8
8 ADI Analog Devices, Inc. 2.7% $322.35M 1.01M 0.0% Held 8
9 AAPL Apple Inc. 2.6% $299.24M 1.18M 0.0% Held 8
10 GS The Goldman Sachs Group… 2.5% $284.01M 335.71K 0.0% Held 8
11 V Visa Inc. 2.5% $280.53M 928.18K +0.5% ▲ Add 8
12 CAT Caterpillar Inc. 1.9% $225.75M 318.65K 0.0% Held 8
13 HD The Home Depot, Inc. 2.5% $211.51M 643.09K 0.0% Held 8
14 BRK-B Berkshire Hathaway Inc. 6.1% $204.86M 427.51K 0.0% Held 8
15 BLK BlackRock, Inc. 1.8% $200.23M 208.20K 0.0% Held 8
16 WSO Watsco, Inc. 1.8% $196.65M 540.57K +0.8% ▲ Add 8
17 BN Brookfield Corporation 4.4% $192.56M 4.76M 0.0% Held 8
18 MSFT Microsoft Corporation 1.7% $190.27M 514.01K +0.4% ▲ Add 8
19 FNV Franco-Nevada Corporation 1.5% $175.03M 708.50K +3.7% ▲ Add 8
20 LPLA LPL Financial Holdings Inc. 1.4% $167.76M 557.66K 0.0% Held 8
21 LOW Lowe's Companies, Inc. 1.5% $159.90M 676.73K +0.5% ▲ Add 8
22 DIS The Walt Disney Company 1.6% $152.03M 1.58M 0.0% Held 8
23 AXP American Express Company 1.2% $145.33M 480.45K +0.4% ▲ Add 8
24 GOOGL Alphabet Inc. 1.4% $143.78M 500.00K 0.0% Held 8
25 JNJ Johnson & Johnson 1.3% $142.77M 584.09K 0.0% Held 8
26 TXN Texas Instruments… 1.2% $140.56M 724.00K 0.0% Held 8
27 PGR The Progressive Corporation 1.3% $137.53M 693.75K 0.0% Held 8
28 BX Blackstone Inc. 1.2% $137.36M 1.19M 0.0% Held 8
29 KKR KKR & Co. Inc. 1.1% $132.63M 1.43M 0.0% Held 8
30 META Meta Platforms, Inc. 1.2% $129.70M 226.69K 0.0% Held 8
31 MRSH Marsh & McLennan Companies… 1.1% $128.87M 743.00K +0.2% ▲ Add 8
32 RLI RLI Corp. 1.1% $125.58M 2.20M 0.0% Held 8
33 GD General Dynamics Corporation 1.1% $119.10M 347.00K 0.0% Held 8
34 SCHW The Charles Schwab… 1.1% $117.93M 1.25M +0.6% ▲ Add 8
35 APO Apollo Global Management… 0.9% $110.31M 990.00K 0.0% Held 8
36 DG Dollar General Corporation 0.9% $102.79M 865.75K 0.0% Held 8
37 LIN Linde plc 0.8% $97.76M 197.20K +2.2% ▲ Add 8
38 ADM Archer-Daniels-Midland… 0.9% $97.05M 1.34M 0.0% Held 8
39 MA Mastercard Incorporated 0.9% $93.71M 187.56K 0.0% Held 8
40 HD The Home Depot, Inc. 2.5% $91.07M 276.91K 0.0% Held 8
41 GOOG Alphabet Inc. 6.6% $85.26M 297.23K 0.0% Held 8
42 MCO Moody's Corporation 0.8% $84.11M 192.79K 0.0% Held 8
43 ODFL Old Dominion Freight Line… 0.7% $82.68M 423.15K +1.8% ▲ Add 8
44 ITW Illinois Tool Works Inc. 0.7% $80.86M 310.65K 0.0% Held 8
45 NVR NVR, Inc. 0.7% $78.50M 11.91K +0.7% ▲ Add 8
46 HEI-A HEICO Corporation 0.7% $77.56M 367.44K 0.0% Held 8
47 ROL Rollins, Inc. 0.7% $76.67M 1.44M +0.6% ▲ Add 8
48 MSCI MSCI Inc. 0.6% $76.46M 141.85K 0.0% Held 8
49 JPM JPMorgan Chase & Co. 0.6% $74.29M 252.55K 0.0% Held 8
50 NSC Norfolk Southern Corporation 0.7% $72.75M 253.50K +3.3% ▲ Add 8
51 ECL Ecolab Inc. 0.6% $66.85M 251.30K 0.0% Held 8
52 SUNB Sunbelt Rentals Holdings Inc 0.5% $62.71M 963.36K Nuovo New 1
53 CG The Carlyle Group Inc. 0.5% $62.06M 1.28M 0.0% Held 8
54 NVO Novo Nordisk A/S 0.9% $61.66M 1.68M 0.0% Held 8
55 DEO Diageo plc 0.9% $58.58M 786.89K 0.0% ▲ Add 8
56 TSN Tyson Foods, Inc. 0.5% $56.35M 879.50K +0.6% ▲ Add 8
57 BAM Brookfield Asset Management… 0.8% $55.05M 1.24M 0.0% Held 8
58 ROK Rockwell Automation, Inc. 0.5% $52.76M 147.00K 0.0% Held 8
59 SBUX Starbucks Corporation 0.5% $52.26M 583.32K 0.0% Held 8
60 SPGI S&P Global Inc. 0.4% $49.63M 116.69K -21.9% ▼ Trim 8
61 THG The Hanover Insurance… 0.4% $47.67M 275.00K 0.0% Held 8
62 ITIC INVESTORS TITLE CO NC 0.4% $46.36M 213.30K 0.0% Held 8
63 NVO Novo Nordisk A/S 0.9% $43.80M 1.19M 0.0% Held 8
64 DIS The Walt Disney Company 1.6% $43.78M 454.24K 0.0% Held 8
65 DEO Diageo plc 0.9% $43.58M 585.31K 0.0% ▲ Add 8
66 AON Aon plc 0.4% $43.35M 134.30K +1.3% ▲ Add 8
67 BAM Brookfield Asset Management… 0.8% $42.47M 955.45K 0.0% Held 8
68 FERG Ferguson plc 0.3% $39.82M 170.70K +4.4% ▲ Add 7
69 LMT Lockheed Martin Corporation 0.3% $39.41M 65.21K +1.1% ▲ Add 8
70 COST Costco Wholesale Corporation 0.3% $39.01M 39.15K 0.0% Held 8
71 HCA HCA Healthcare, Inc. 0.3% $39.01M 82.43K +2.2% ▲ Add 8
72 YUM Yum! Brands, Inc. 0.3% $38.13M 245.21K +8.3% ▲ Add 8
73 UNP Union Pacific Corporation 0.3% $33.77M 139.18K +6.4% ▲ Add 8
74 TMO Thermo Fisher Scientific… 0.3% $32.98M 67.10K +6.8% ▲ Add 8
75 HGTY Hagerty, Inc. 0.3% $32.73M 3.11M 0.0% Held 8
76 RTX RTX Corporation 0.4% $32.68M 169.40K 0.0% Held 8
77 ALL The Allstate Corporation 0.3% $32.04M 154.55K 0.0% Held 8
78 ACN Accenture plc 0.3% $31.61M 159.40K 0.0% Held 8
79 AMZN Amazon.com, Inc. 3.5% $30.91M 148.43K 0.0% Held 8
80 MAR Marriott International, Inc. 0.3% $30.66M 93.75K +4.5% ▲ Add 8
81 ABNB Airbnb, Inc. 0.3% $30.61M 242.39K +0.9% ▲ Add 7
82 SHW The Sherwin-Williams Company 0.3% $30.19M 94.17K 0.0% Held 8
83 VRSK Verisk Analytics, Inc. 0.2% $29.12M 153.45K 0.0% Held 8
84 TROW T. Rowe Price Group, Inc. 0.2% $25.42M 282.00K 0.0% Held 8
85 LAMR Lamar Advertising Company 0.2% $24.45M 193.00K +4.3% ▲ Add 8
86 FDS FactSet Research Systems… 0.2% $24.38M 112.38K +11.1% ▲ Add 8
87 CMCSA Comcast Corporation 0.2% $23.79M 828.78K 0.0% Held 8
88 V Visa Inc. 2.5% $23.02M 76.15K +0.5% ▲ Add 8
89 URI United Rentals, Inc. 0.2% $22.69M 31.15K 0.0% Held 8
90 APD Air Products and Chemicals… 0.2% $21.93M 75.50K +5.6% ▲ Add 8
91 CSX CSX Corporation 0.2% $21.76M 530.00K +20.4% ▲ Add 4
92 CCK Crown Holdings, Inc. 0.2% $21.75M 217.00K +3.8% ▲ Add 8
93 NKE NIKE, Inc. 0.2% $21.20M 401.40K 0.0% Held 8
94 GOOGL Alphabet Inc. 1.4% $20.70M 72.00K 0.0% Held 8
95 GS The Goldman Sachs Group… 2.5% $20.01M 23.65K 0.0% Held 8
96 RNR RenaissanceRe Holdings Ltd. 0.2% $19.91M 67.00K 0.0% Held 8
97 PM Philip Morris International… 0.2% $18.93M 114.50K 0.0% Held 8
98 BF-A BROWN FORMAN CORP 0.2% $18.17M 678.40K 0.0% Held 8
99 FIX Comfort Systems USA, Inc. 0.1% $17.93M 13.00K 0.0% Held 8
100 CSCO Cisco Systems, Inc. 0.2% $16.10M 207.50K 0.0% Held 8
101 HSY The Hershey Company 0.1% $15.59M 75.00K +11.1% ▲ Add 8
102 COF Capital One Financial… 0.1% $15.23M 83.50K 0.0% Held 8
103 WSO Watsco, Inc. 1.8% $15.13M 41.60K +0.8% ▲ Add 8
104 GD General Dynamics Corporation 1.1% $15.10M 44.00K 0.0% Held 8
105 PEP PepsiCo, Inc. 0.1% $14.94M 96.21K 0.0% Held 8
106 BNY Bank of New York Mellon Corp 0.1% $14.77M 124.50K +2.5% ▲ Add 8
107 CME CME Group Inc. 0.1% $14.69M 49.75K +8.7% ▲ Add 6
108 LOW Lowe's Companies, Inc. 1.5% $14.59M 61.75K +0.5% ▲ Add 8
109 WFC Wells Fargo & Company 0.1% $13.73M 172.45K 0.0% Held 8
110 EFX Equifax Inc. 0.1% $13.12M 72.85K 0.0% Held 8
111 SPOT Spotify Technology S.A. 0.1% $12.56M 25.90K 0.0% Held 8
112 AMAT Applied Materials, Inc. 0.1% $12.42M 36.35K +6.6% ▲ Add 4
113 ADM Archer-Daniels-Midland… 0.9% $12.41M 170.73K 0.0% Held 8
114 META Meta Platforms, Inc. 1.2% $12.36M 21.61K 0.0% Held 8
115 CBOE Cboe Global Markets, Inc. 0.1% $12.28M 43.70K +4.7% ▲ Add 5
116 AAPL Apple Inc. 2.6% $12.23M 48.20K 0.0% Held 8
117 HXL Hexcel Corporation 0.1% $12.22M 151.00K 0.0% Held 8
118 SHOP Shopify Inc. 0.1% $12.19M 102.75K 0.0% Held 8
119 SCHW The Charles Schwab… 1.1% $12.12M 129.00K +0.6% ▲ Add 8
120 PGR The Progressive Corporation 1.3% $11.89M 60.00K 0.0% Held 8
121 BLK BlackRock, Inc. 1.8% $11.54M 12.00K 0.0% Held 8
122 CSCO Cisco Systems, Inc. 0.2% $11.48M 148.00K 0.0% Held 8
123 RLI RLI Corp. 1.1% $11.01M 192.95K 0.0% Held 8
124 RTX RTX Corporation 0.4% $10.53M 54.60K 0.0% Held 8
125 HII Huntington Ingalls… 0.1% $10.45M 27.50K +7.8% ▲ Add 6
126 UBER Uber Technologies, Inc. 0.1% $10.25M 142.50K +1.8% ▲ Add 8
127 CARR Carrier Global Corporation 0.1% $10.16M 180.40K 0.0% Held 8
128 MA Mastercard Incorporated 0.9% $9.99M 19.98K 0.0% Held 8
129 SMG The Scotts Miracle-Gro… 0.1% $9.67M 159.00K 0.0% Held 8
130 MELI MercadoLibre, Inc. 0.1% $9.42M 5.45K Nuovo New 1
131 MCO Moody's Corporation 0.8% $9.20M 21.10K 0.0% Held 8
132 SEIC SEI Investments Company 0.1% $8.96M 114.20K 0.0% Held 8
133 MSFT Microsoft Corporation 1.7% $8.74M 23.62K +0.4% ▲ Add 8
134 BF-B Brown-Forman Corporation 0.1% $8.69M 328.79K 0.0% Held 8
135 NSC Norfolk Southern Corporation 0.7% $8.32M 29.00K +3.3% ▲ Add 8
136 IQV IQVIA Holdings Inc. 0.1% $8.00M 46.90K 0.0% Held 8
137 XONA.DE Exxon Mobil Corporation 0.1% $7.97M 47.00K +23.7% ▲ Add 3
138 EPD Enterprise Products… 0.1% $7.64M 202.00K Nuovo New 1
139 PAYX Paychex, Inc. 0.1% $7.37M 80.00K 0.0% Held 8
140 CAT Caterpillar Inc. 1.9% $7.09M 10.00K 0.0% Held 8
141 SONY Sony Group Corporation 0.1% $6.93M 335.00K 0.0% Held 8
142 OTIS Otis Worldwide Corporation 0.1% $6.73M 87.32K 0.0% Held 8
143 JNJ Johnson & Johnson 1.3% $6.53M 26.71K 0.0% Held 8
144 PAYX Paychex, Inc. 0.1% $6.45M 70.00K 0.0% Held 8
145 ECL Ecolab Inc. 0.6% $6.12M 23.00K 0.0% Held 8
146 CNI Canadian National Railway… 0.0% $5.50M 53.50K +20.2% ▲ Add 3
147 GHC Graham Holdings Company 0.0% $5.50M 5.20K 0.0% Held 8
148 EMN Eastman Chemical Company 0.0% $5.41M 70.95K 0.0% Held 8
149 KMX CarMax, Inc. 0.0% $5.38M 129.50K 0.0% Held 8
150 UNH UnitedHealth Group… 0.0% $5.06M 18.70K -29.4% ▼ Trim 8
151 FDS FactSet Research Systems… 0.2% $4.99M 23.00K +11.1% ▲ Add 8
152 NSP Insperity, Inc. 0.0% $4.90M 181.34K +18.6% ▲ Add 8
153 CP Canadian Pacific Kansas… 0.0% $4.68M 59.50K +17.8% ▲ Add 3
154 SEIC SEI Investments Company 0.1% $4.63M 59.00K 0.0% Held 8
155 ICE Intercontinental Exchange… 0.0% $4.54M 28.87K +38.3% ▲ Add 8
156 BF-A BROWN FORMAN CORP 0.2% $4.41M 164.60K 0.0% Held 8
157 ITW Illinois Tool Works Inc. 0.7% $4.39M 16.85K 0.0% Held 8
158 WRB W. R. Berkley Corporation 0.0% $4.03M 60.75K 0.0% Held 8
159 BX Blackstone Inc. 1.2% $3.97M 34.50K 0.0% Held 8
160 BF-B Brown-Forman Corporation 0.1% $3.84M 145.40K 0.0% Held 8
161 CMCSA Comcast Corporation 0.2% $3.82M 133.10K 0.0% Held 8
162 BC Brunswick Corporation 0.0% $3.73M 51.25K +7.3% ▲ Add 7
163 LIN Linde plc 0.8% $3.67M 7.40K +2.2% ▲ Add 8
164 SBUX Starbucks Corporation 0.5% $3.63M 40.50K 0.0% Held 8
165 MRSH Marsh & McLennan Companies… 1.1% $3.56M 20.50K +0.2% ▲ Add 8
166 ROL Rollins, Inc. 0.7% $3.34M 62.48K +0.6% ▲ Add 8
167 MGM MGM Resorts International 0.0% $3.24M 87.50K 0.0% Held 6
168 ADI Analog Devices, Inc. 2.7% $3.18M 10.00K 0.0% Held 8
169 HXL Hexcel Corporation 0.1% $3.08M 38.00K 0.0% Held 8
170 CARR Carrier Global Corporation 0.1% $3.07M 54.60K 0.0% Held 8
171 AXP American Express Company 1.2% $3.02M 10.00K +0.4% ▲ Add 8
172 TROW T. Rowe Price Group, Inc. 0.2% $2.88M 32.00K 0.0% Held 8
173 ROK Rockwell Automation, Inc. 0.5% $2.84M 7.90K 0.0% Held 8
174 EXP Eagle Materials Inc. 0.0% $2.79M 14.75K 0.0% Held 5
175 AYI Acuity Brands, Inc. 0.0% $2.73M 9.75K 0.0% Held 6
176 UNP Union Pacific Corporation 0.3% $2.69M 11.10K +6.4% ▲ Add 8
177 HEI-A HEICO Corporation 0.7% $2.58M 12.20K 0.0% Held 8
178 WFC Wells Fargo & Company 0.1% $2.55M 32.00K 0.0% Held 8
179 APO Apollo Global Management… 0.9% $2.51M 22.50K 0.0% Held 8
180 NKE NIKE, Inc. 0.2% $2.43M 46.00K 0.0% Held 8
181 SYY Sysco Corporation 0.0% $2.18M 30.50K 0.0% Held 5
182 CG The Carlyle Group Inc. 0.5% $2.15M 44.50K 0.0% Held 8
183 OTIS Otis Worldwide Corporation 0.1% $2.10M 27.30K 0.0% Held 8
184 DPZ Domino's Pizza, Inc. 0.0% $1.97M 5.50K 0.0% Held 7
185 KKR KKR & Co. Inc. 1.1% $1.67M 18.00K 0.0% Held 8
186 COF Capital One Financial… 0.1% $1.37M 7.50K 0.0% Held 8
187 ODFL Old Dominion Freight Line… 0.7% $1.17M 6.00K +1.8% ▲ Add 8
188 NVR NVR, Inc. 0.7% $1.15M 175 +0.7% ▲ Add 8
189 THG The Hanover Insurance… 0.4% $1.04M 6.00K 0.0% Held 8
190 BRO Brown & Brown, Inc. 0.0% $912,940 14.00K +27.3% ▲ Add 2
191 RNR RenaissanceRe Holdings Ltd. 0.2% $891,690 3.00K 0.0% Held 8
192 LPLA LPL Financial Holdings Inc. 1.4% $688,600 2.29K 0.0% Held 8
193 TSN Tyson Foods, Inc. 0.5% $640,700 10.00K +0.6% ▲ Add 8
194 SMG The Scotts Miracle-Gro… 0.1% $547,290 9.00K 0.0% Held 8
195 MSCI MSCI Inc. 0.6% $539,010 1.00K 0.0% Held 8
196 AON Aon plc 0.4% $484,170 1.50K +1.3% ▲ Add 8
197 VRSK Verisk Analytics, Inc. 0.2% $474,375 2.50K 0.0% Held 8
198 WY Weyerhaeuser Company 0.0% $427,525 17.50K Nuovo New 1
199 SPGI S&P Global Inc. 0.4% $425,340 1.00K -21.9% ▼ Trim 8
200 DG Dollar General Corporation 0.9% $415,555 3.50K 0.0% Held 8
201 EMN Eastman Chemical Company 0.0% $305,280 4.00K 0.0% Held 8
202 CCK Crown Holdings, Inc. 0.2% $300,750 3.00K +3.8% ▲ Add 8
203 KMX CarMax, Inc. 0.0% $291,060 7.00K 0.0% Held 8
204 ACN Accenture plc 0.3% $198 1 0.0% Held 8
205 TXN Texas Instruments… 1.2% $194 1 0.0% Held 8

Solo posizioni in azioni ordinarie (SH); le righe di opzioni si trovano nella scheda Opzioni e non vengono mai compensate. ✂ = variazione calcolata rispetto alle azioni precedenti rettificate per split. "Held N+" = detenuto ogni trimestre nella nostra finestra temporale, possibilmente anche oltre.

Età della posizione
40–1 trimestri
62–4 trimestri
1195–8 trimestri

Trimestri consecutivi in cui ciascuna posizione corrente è stata segnalata, nella nostra finestra di dati.

Gestori simili
GestorePosizioni comuniSovrapposizione di nomiSimilarità ponderata
First Manhattan Co. Llc. 88 11.5% 0.5431 Confronta ⇄
Fayez Sarofim & Co 77 21.9% 0.4651 Confronta ⇄
Blair William & Co/Il 121 6.3% 0.4471 Confronta ⇄
Baird Financial Group, Inc. 115 6.1% 0.443 Confronta ⇄
Neuberger Berman Group LLC 129 5.7% 0.4397 Confronta ⇄
Chevy Chase Trust Holdings, LLC 102 15.1% 0.4098 Confronta ⇄
Brown Advisory Inc 118 8.3% 0.4098 Confronta ⇄
Aberdeen Group plc 102 10.7% 0.4012 Confronta ⇄

Similarità basata esclusivamente sulle posizioni lunghe dichiarate — le coperture e gli asset non soggetti a 13F non sono visibili. Metodologia

Registro dei depositi
Jul 31 2026 13F-HR · periodo Q2 2026

$13.13B · 205 posizioni · Visualizza la dichiarazione SEC originale ↗

May 01 2026 13F-HR · periodo Q1 2026

$11.94B · 205 posizioni · Visualizza la dichiarazione SEC originale ↗

Feb 06 2026 13F-HR · periodo Q4 2025

$12.54B · 205 posizioni · Visualizza la dichiarazione SEC originale ↗

Oct 31 2025 13F-HR · periodo Q3 2025

$12.32B · 208 posizioni · Visualizza la dichiarazione SEC originale ↗

Aug 01 2025 13F-HR · periodo Q2 2025

$11.83B · 218 posizioni · Visualizza la dichiarazione SEC originale ↗

May 02 2025 13F-HR · periodo Q1 2025

$11.26B · 217 posizioni · Visualizza la dichiarazione SEC originale ↗

Feb 07 2025 13F-HR · periodo Q4 2024

$11.34B · 214 posizioni · Visualizza la dichiarazione SEC originale ↗

Nov 01 2024 13F-HR · periodo Q3 2024

$11.11B · 216 posizioni · Visualizza la dichiarazione SEC originale ↗

Aug 02 2024 13F-HR · periodo Q2 2024

$10.17B · 222 posizioni · Visualizza la dichiarazione SEC originale ↗

Provenienza: Tutte le posizioni analizzate dalle tabelle informative 13F di questo gestore su SEC EDGAR; valori come riportati, USD interi. Le variazioni confrontano l'ultima versione accettata di ciascun trimestre (emendamenti incorporati) sui conteggi di azioni rettificati per i frazionamenti. Periodo di rendicontazione: Q1 2026 · ultimo filing Jul 31, 2026 · Metodologia di calcolo