Nilai portofolio Pershing Square turun menjadi 13,71 miliar dolar pada kuartal pertama

Pershing Square milik Bill Ackman melaporkan penurunan nilai kepemilikan asetnya pada kuartal pertama 2026 menjadi sekitar 13,71 miliar dolar. Portofolio tersebut tetap terkonsentrasi pada beberapa posisi utama.

Laporan 13F yang diajukan pada 15 Mei menunjukkan bahwa Brookfield, Amazon, dan Uber mencakup sekitar separuh dari total aset. Pershing Square menambahkan kepemilikan baru yang cukup besar di Microsoft, yang mencakup sekitar 15 persen dari portofolio, sementara mereka telah menjual seluruh posisi sahamnya di Hilton Worldwide.

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Wall Street traders analyzing 13F filings and Tesla stock charts amid institutional investors' mixed adjustments to holdings.
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Institutional investors adjust Tesla holdings in third quarter

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Several institutional investors modified their stakes in Tesla Inc. during the third quarter, with some reducing positions significantly while others increased them, according to recent 13F filings with the Securities and Exchange Commission. These changes reflect mixed sentiment toward the electric vehicle producer amid ongoing insider selling and varied analyst views. Tesla's stock opened at $411.82 on Friday, with a market capitalization of $1.55 trillion.

Seth Klarman’s Baupost Group reported a smaller equity portfolio at the end of the first quarter.

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AQR Capital Management's US stock portfolio increased to approximately $191 billion in the fourth quarter of 2025, as shown in its latest 13F filing. Nvidia continued as the largest holding after an 18% stake increase, with significant builds in Apple, Microsoft, Alphabet and Amazon.

Gator Capital Management released its quarterly update for the first three months of 2026, outlining mixed results and a new stake in Ameriprise Financial.

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Institutional investors including Tredje AP-fonden, Siligmueller & Norvid Wealth Advisors, and King Luther Capital Management significantly increased or initiated positions in Tesla shares during Q3 2025, per recent SEC filings. These moves contribute to 66.20% institutional ownership, contrasting recent insider sales.

The Nomura Global Bond Fund underperformed its benchmark during the first quarter of 2026 amid geopolitical tensions and energy market swings.

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Wall Street markets closed higher on May 13, led by gains in the technology sector ahead of the US-China meeting.

 

 

 

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