Investments
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.
Reported by AI
At the shareholders' assembly, Grupo Cibest's CEO Juan Carlos Mora defended the Banistmo sale as a strategy to optimize capital and focus on more profitable businesses. Shareholders approved $4.3 trillion in dividends, a 15% increase from last year.
M&G plc held its full year 2025 results presentation on March 12, 2026. Luca Gagliardi, director of investor relations, introduced the call, noting he was under the weather. Group CEO Paolo Rossi highlighted progress against strategic targets set a year earlier.
Reported by AI
The Western Asset Inflation-Linked Opportunities & Income Fund (WIW) delivered a 13.09% market price return over the past year, despite fixed-income market volatility in the fourth quarter of 2025. Its NAV return stood at 9.34% for the same period.
Private credit market risks worry insurer investors
March 22, 2026 16:47Arbitrage funds lose favour as costs rise
March 22, 2026 12:00Investors turn to dividend stocks amid market volatility
March 21, 2026 07:57ADIA's Indian equity portfolio rises 7% in FY26 with mixed stock performance
March 21, 2026 04:01Six passive mutual funds open for subscription
March 11, 2026 04:43Putnam Core Bond Fund slightly underperforms benchmark in Q4 2025
March 10, 2026 19:35John Hancock fund outperforms benchmark in Q4 2025
March 09, 2026 02:16BNY Mellon Equity Income Fund outperforms S&P 500 in Q4 2025
March 07, 2026 22:48CLO equity funds cut distributions amid tight CEF discounts
March 07, 2026 21:03Whitestone REIT attracts takeover interest from Blackstone and TPG