Soros Fund Management’s 13F portfolio rose to $8.63B in Q4 2025, expanding positions to 244 with notable concentration in Amazon.com, Alphabet, and Salesforce. AMZN remains the top holding at 7.11% of ...
Fundsmith’s 13F portfolio value declined to $17.12B in Q4 2025, with holdings rising to 37; top positions remain Waters, Stryker, IDEXX, Visa, and Marriott. Significant trimming occurred in major ...
Narrow-moat-rated Berkshire Hathaway BRK.A BRK.B reported a mixture of major and minor changes for its equity investment portfolio in the third quarter, with net sales coming in at $35.6 billion ...
The SEC’s September 17, 2024, actions signal its commitment to penalize non-compliance, while encouraging market participants to self-report violations. On September 17, 2024, the US Securities and ...