This page follows Lansforsakringar Fondforvaltning AB (publ)’s portfolio moves, tracked quarter by quarter as disclosed in its SEC Form 13F filings. As an institutional buy-side manager, Lansforsakringar is required to report its US equity holdings each quarter, giving a snapshot of what it owns rather than a real-time trade blotter. Each update on this page … Read more
This page tracks Evelyn Partners Investment Management LLP’s institutional portfolio moves as disclosed in SEC Form 13F filings, updated every quarter as new filings become available. If you are trying to figure out what stocks large institutional managers are buying or selling lately, this profile is meant to be a running record you can return … Read more
This profile follows BLI – Banque de Luxembourg Investments’s institutional portfolio moves as disclosed in its SEC Form 13F filings, updated every quarter as new data becomes available. Rather than a one-off snapshot, this page is meant to serve as a running record of the fund’s buying and selling activity over time, giving a sense … Read more
This page follows Manufacturers Life Insurance Company, The’s institutional portfolio moves as disclosed in its SEC Form 13F filings, updated every quarter as new data becomes available. If you have ever searched for what stocks Warren Buffett bought recently or looked into Bill Ackman holdings for 2025, this profile applies that same lens to Manufacturers … Read more
Goldman Sachs Group Inc manages one of the largest institutional portfolios tracked through SEC Form 13F filings, and this page follows its reported equity moves quarter by quarter. Because 13F filings only disclose a snapshot of holdings as of the end of each quarter, not the exact days trades were placed, every update below is … Read more
This page tracks Thornburg Investment Management Inc’s institutional portfolio moves as disclosed in its quarterly SEC Form 13F filings. Each quarter we log the fund’s new positions, exits, and changes in size across its holdings, giving readers a running record of how this large asset manager has been repositioning over time. Because 13F filings report … Read more
Quarter Ending 2026-03-31 During the quarter ending 2026-03-31, Capital International Investors expanded its portfolio with a wave of new positions and added meaningfully to two existing holdings. The largest new stake came in AstraZeneca PLC (AZN), valued at roughly $6.72 billion, followed by sizable new positions in Quanta Services Inc ($1.24 billion) and Republic Services … Read more
This page follows Sofinnova Investments, Inc.’s institutional portfolio as disclosed in its quarterly Form 13F filings with the SEC. A Form 13F is a required filing for institutional investment managers overseeing more than $100 million in U.S. equities, and it offers a snapshot of long positions held at the end of each quarter — not … Read more
UBS AM, a distinct business unit of UBS Asset Management Americas LLC, discloses its U.S. equity and fund holdings every quarter through SEC Form 13F filings. This profile tracks those portfolio moves quarter by quarter, building an ongoing record of where the manager has opened new stakes, added to existing ones, or trimmed exposure over … Read more
Quarter Ending 2026-03-31 During the quarter ending 2026-03-31, William Blair Investment Management, LLC made notable adjustments across its equity portfolio, with a clear tilt toward adding to existing positions rather than establishing new ones. The most significant new commitment was a fresh stake in Birkenstock Holding PLC (BIRK), valued at $92,276,654. Several holdings saw dramatic … Read more