Appaloosa management shrinks portfolio to 5.93 billion in q1

Appaloosa Management reported a smaller portfolio valued at approximately 5.93 billion dollars after filing its Q1 2026 13F report.

The hedge fund held 31 positions with heavy concentration in five stocks. Amazon became the top holding after the stake nearly doubled to represent about 15 percent of assets under management.

Makala yanayohusiana

Bill Ackman's Pershing Square reported a decline in its first-quarter 2026 holdings to roughly 13.71 billion dollars. The portfolio stayed heavily concentrated in a few major positions.

Imeripotiwa na AI

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

The John Hancock Multimanager 2020 Lifetime Portfolio delivered a positive return and beat its benchmark in the first quarter of 2026.

Imeripotiwa na AI

The Virtus SGA U.S. Large Cap Growth portfolio posted a gross return of -11.1 percent for the first quarter of 2026. The result trailed both the Russell 1000 Growth Index and the S&P 500 Index.

Jumatatu, 8. Mwezi wa sita 2026, 11:13:01

Fairfax Financial Holdings Portfolio Declines to 1.94 Billion

Jumapili, 7. Mwezi wa sita 2026, 05:45:08

Tiger Global portfolio value declines to $22.85B in Q1

Jumapili, 31. Mwezi wa tano 2026, 14:18:32

Hartford Large Cap Growth ETF underperforms in volatile quarter

Alhamisi, 28. Mwezi wa tano 2026, 05:18:46

Top Indian investors see portfolio declines in March quarter

Jumatano, 27. Mwezi wa tano 2026, 06:35:03

Ruane Cunniff Goldfarb portfolio falls to 6.03 billion dollars

Alhamisi, 23. Mwezi wa nne 2026, 02:47:00

Conestoga Small Cap Composite underperforms benchmark in Q1 2026

Jumanne, 14. Mwezi wa nne 2026, 03:00:23

Greenlight Capital funds return 6.5% in Q1 2026

Jumapili, 5. Mwezi wa nne 2026, 13:55:48

Night Watch Investment Management posts 2.69% Q1 2026 gain

Jumanne, 24. Mwezi wa tatu 2026, 19:40:14

AQR Capital Management's Q4 2025 portfolio grows to $191 billion

Jumatano, 18. Mwezi wa tatu 2026, 11:48:55

Fairholme portfolio rises to $1.43 billion with St. Joe focus

 

 

 

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