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Royal London Asset Management Ltd

Q1 2026 ⇄ Q2 2026

+15Aggiunto
−24Rimossa
200Ridimensionato
52Invariato

Aggiunto (Q2 2026)

Strumento finanziarioValoreQuote
ARM ARM HOLDINGS PLC $76.16M214.79K
SPCX SPACE EXPLORATION… $33.37M195.32K
HONA HONEYWELL AEROSPACE… $31.09M140.65K
MIR MIRION TECHNOLOGIES… $21.09M1.18M
FDXF FEDEX FGHT HLDG CO INC $6.83M45.24K
YMM FULL TRUCK ALLIANCE… $5.50M677.50K
AUGO AURA MINERALS INC $2.54M40.40K
WSE WISE GROUP PLC $2.51M211.06K
VGNT VERSIGENT PLC $1.88M44.65K
CRCL CIRCLE INTERNET GROUP… $946,90315.12K
TSEM TOWER SEMICONDUCTOR… $532,7482.04K
FN FABRINET $464,278826
TRI THOMSON REUTERS CORP $382,5424.68K
MTZ MASTEC INC $117,745283
CDE COEUR MNG INC $71,8084.40K

Rimossa (era detenuto in Q1 2026)

Strumento finanziarioValore precedenteQuote precedenti
CTRA COTERRA ENERGY INC $67.63M1.92M
WSC WILLSCOT HLDGS CORP $42.83M2.47M
IBP INSTALLED BLDG PRODS… $37.97M143.21K
BJ BJS WHSL CLUB HLDGS… $24.36M246.25K
HOLX HOLOGIC INC $9.21M121.86K
SOLS SOLSTICE ADVANCED… $4.79M62.87K
MOH MOLINA HEALTHCARE INC $3.48M26.19K
VSNT VERSANT MEDIA GROUP… $2.93M79.16K
PAYC PAYCOM SOFTWARE INC $2.56M20.90K
ATHM AUTOHOME INC $1.19M68.50K
QFIN QFIN HOLDINGS INC $795,25661.60K
AFG AMERICAN FINANCIAL… $768,5056.02K
POOL POOL CORP $643,9083.16K
ACM AECOM $578,5576.82K
DKNG DRAFTKINGS INC NEW $337,96415.63K
ZBRA ZEBRA TECHNOLOGIES… $309,8571.48K
BLDR BUILDERS FIRSTSOURCE… $254,8113.10K
UHS UNIVERSAL HLTH SVCS… $245,3681.37K
OTEX OPEN TEXT CORP $240,32510.81K
UDR UDR INC $225,6176.68K
OKLO OKLO INC $200,5424.04K
SNAP SNAP INC $155,91233.89K
DOC HEALTHPEAK PROPERTIES… $131,4248.00K
MNDY MONDAY COM LTD $114,1701.65K

Posizioni ridimensionate

Strumento finanziarioQ1 2026 azioniQ2 2026 azioniVariazione
KLAC KLA CORP 73.26K 717.12K +878.8%
NBIS NEBIUS GROUP N.V. 22.73K 195.21K +759.0%
SBS COMPANHIA DE SANEAMENTO… 2.66M 20.55M +673.7%
DVN DEVON ENERGY CORP NEW 271.72K 1.68M +520.1%
CVNA CARVANA CO 59.27K 295.85K +399.1%
BE BLOOM ENERGY CORP 9.25K 45.83K +395.6%
ALC ALCON AG 101.99K 457.61K +348.7%
MCO MOODYS CORP 85.25K 319.89K +275.2%
LYB LYONDELLBASELL… 88.44K 275.58K +211.6%
DHR DANAHER CORP DEL 325.29K 1.01M +209.7%
IREN IREN LIMITED 12.44K 34.12K +174.3%
CACI CACI INTL INC 83.25K 216.75K +160.4%
CIEN CIENA CORP 134.83K 318.65K +136.3%
IBKR INTERACTIVE BROKERS… 22.66K 47.70K +110.5%
QXO QXO INC 1.38M 2.88M +108.6%
LDOS LEIDOS HOLDINGS INC 5.89K 11.37K +93.1%
SUNB SUNBELT RENTALS… 2.53M 192.61K -92.4%
NET CLOUDFLARE INC 203.75K 386.93K +89.9%
TW TRADEWEB MKTS INC 5.13K 902 -82.4%
GGG GRACO INC 78.41K 19.31K -75.4%
MTD METTLER TOLEDO… 32.08K 8.09K -74.8%
CCJ CAMECO CORP 157.55K 275.14K +74.6%
TSN TYSON FOODS INC 520.56K 150.73K -71.0%
LAD LITHIA MTRS INC 237.06K 76.41K -67.8%
DD DUPONT DE NEMOURS INC 139.75K 45.15K -67.7%
FG F&G ANNUITIES & LIFE INC 361 117 -67.6%
WPM WHEATON PRECIOUS METALS… 626.57K 1.04M +66.1%
CDW CDW CORP 254.69K 88.05K -65.4%
CHD CHURCH & DWIGHT CO INC 501.94K 202.81K -59.6%
MGA MAGNA INTL INC 10.26K 4.15K -59.5%
CSGP COSTAR GROUP INC 431.87K 187.39K -56.6%
INSM INSMED INC 14.50K 22.12K +52.5%
AIT APPLIED INDL… 144.29K 68.84K -52.3%
TTE TOTALENERGIES SE 2.14M 3.23M +51.1%
HON HONEYWELL INTL INC 285.53K 140.65K -50.7%
DOW DOW HLDGS INC 27.99K 41.89K +49.7%
FLTR.L FLUTTER ENTMT PLC 217.01K 109.49K -49.5%
TFII TFI INTERNATIONAL INC 6.58K 3.33K -49.4%
CPAY CORPAY INC 218.01K 110.68K -49.2%
BLD TOPBUILD COR 496.77K 254.26K -48.8%
KNSL KINSALE CAP GROUP INC 82.44K 43.68K -47.0%
ADSK AUTODESK INC 434.65K 261.54K -39.8%
LITE LUMENTUM HLDGS INC 55.75K 77.29K +38.6%
NVR NVR INC 2.16K 1.33K -38.4%
ULTA ULTA BEAUTY INC 34.19K 21.79K -36.3%
LMT LOCKHEED MARTIN CORP 193.72K 263.62K +36.1%
TSCO TRACTOR SUPPLY CO 388.94K 248.75K -36.0%
EME EMCOR GROUP INC 5.03K 6.84K +35.9%
GFL GFL ENVIRONMENTAL INC 6.25K 4.03K -35.5%
CB CHUBB LIMITED 534.86K 705.90K +32.0%
FERG FERGUSON ENTERPRISES INC 698.93K 919.10K +31.5%
H HYATT HOTELS CORP 930 642 -31.0%
DG DOLLAR GEN CORP 488.81K 638.68K +30.7%
CME CME GROUP INC 549.85K 716.97K +30.4%
TTD THE TRADE DESK INC 326.88K 228.26K -30.2%
FSV FIRSTSERVICE CORP NEW 1.40K 981 -30.0%
RACE FERRARI N V 372.92K 477.74K +28.1%
CMG CHIPOTLE MEXICAN GRILL… 820.59K 597.25K -27.2%
ROP ROPER TECHNOLOGIES INC 108.69K 137.72K +26.7%
HUBB HUBBELL INC 302.59K 380.95K +25.9%
HEI HEICO CORP NEW 2.39K 1.78K -25.5%
FTNT FORTINET INC 1.12M 841.09K -25.1%
DE DEERE & CO 143.27K 108.59K -24.2%
STE STERIS PLC 556.93K 423.13K -24.0%
ILMN ILLUMINA INC 5.96K 7.37K +23.8%
NKE NIKE INC 665.15K 507.24K -23.7%
DTE DTE ENERGY CO 25.71K 19.95K -22.4%
GIB CGI INC 13.97K 10.86K -22.3%
CMCSA COMCAST CORP NEW 2.25M 1.75M -22.2%
SPGI S&P GLOBAL INC 250.60K 304.80K +21.6%
IR INGERSOLL RAND INC 265.68K 208.29K -21.6%
RVMD REVOLUTION MEDICINES INC 3.14K 3.81K +21.2%
TRP TC ENERGY CORP 42.79K 33.81K -21.0%
TOST TOAST INC 20.98K 16.63K -20.7%
AMCR AMCOR PLC 38.46K 46.38K +20.6%
TAP MOLSON COORS BEVERAGE CO 2.34M 2.78M +18.8%
UNP UNION PAC CORP 488.79K 579.16K +18.5%
SOFI SOFI TECHNOLOGIES INC 342.02K 404.91K +18.4%
BWA BORGWARNER INC 1.27M 1.49M +17.5%
AGCO AGCO CORP 1.19M 988.53K -17.2%
APD AIR PRODUCTS AND… 40.00K 33.34K -16.6%
FTS FORTIS INC 27.29K 22.75K -16.6%
LNT ALLIANT ENERGY CORP 13.32K 11.14K -16.4%
APG API GROUP CORP 3.07M 3.57M +16.2%
SE SEA LTD 16.11K 13.51K -16.1%
WST WEST PHARMACEUTICAL… 99.55K 83.82K -15.8%
NXT NEXTPOWER INC 1.56M 1.80M +15.3%
BMO BANK MONTREAL MEDIUM 31.32K 26.54K -15.3%
BG BUNGE GLOBAL SA 6.44K 5.47K -15.1%
DAL DELTA AIR LINES INC 188.73K 160.20K -15.1%
TMO THERMO FISHER… 508.54K 433.31K -14.8%
CRBG COREBRIDGE FINL INC 4.64K 3.95K -14.8%
UPS UNITED PARCEL SVCS INC 322.73K 275.37K -14.7%
QSR RESTAURANT BRANDS INTL… 16.93K 14.46K -14.6%
VRT VERTIV HOLDINGS CO 761.67K 651.47K -14.5%
CRM SALESFORCE INC 242.06K 207.38K -14.3%
PDD PDD HOLDINGS INC 734.07K 630.47K -14.1%
AZO AUTOZONE INC 8.32K 7.15K -14.1%
V VISA INC 2.24M 2.55M +13.9%
ORLY OREILLY AUTOMOTIVE INC 431.45K 371.91K -13.8%
ENB ENBRIDGE INC 90.83K 78.37K -13.7%
SHW SHERWIN WILLIAMS CO 116.48K 100.66K -13.6%
VLTO VERALTO CORP 136.29K 117.80K -13.6%
ERIE ERIE INDTY CO 484 419 -13.4%
RPRX ROYALTY PHARMA PLC 3.81M 4.32M +13.4%
PKG PACKAGING CORP AMER 25.14K 21.77K -13.4%
BX BLACKSTONE INC 43.09K 37.45K -13.1%
BSX BOSTON SCIENTIFIC CORP 665.89K 753.08K +13.1%
TEVA TEVA PHARMACEUTICAL… 50.57K 43.97K -13.1%
CLS CELESTICA INC 4.86K 4.24K -12.7%
TXN TEXAS INSTRS INC 966.99K 1.09M +12.6%
HALO HALOZYME THERAPEUTICS… 1.61M 1.81M +12.4%
CM CANADIAN IMPERIAL BANK… 40.42K 35.42K -12.4%
MICC MAGNUM ICE CREAM CO NV 1.22M 1.08M -11.8%
RBA RB GLOBAL INC 9.05K 7.99K -11.8%
KMI KINDER MORGAN INC DEL 5.37M 4.74M -11.7%
AMT AMERICAN TOWER CORP 234.89K 207.71K -11.6%
MSI MOTOROLA SOLUTIONS INC 82.34K 72.83K -11.6%
CF CF INDUSTRIES HOLD 7.26K 6.42K -11.5%
FER.MC FERROVIAL NV 98.68K 87.60K -11.2%

Confronto grezzo del numero di azioni tra i due trimestri selezionati (come dichiarato; gli split tra trimestri distanti non sono rettificati qui — le schede delle variazioni trimestrali nella pagina del manager sono rettificate per split). Solo posizioni in azioni ordinarie con ticker associati.

Provenienza: Entrambe le istantanee provengono dalle tabelle informative 13F analizzate del gestore (ultime versioni accettate). ← Torna alla scheda del gestore