Aegon Asset Management UK PLC Reveals Latest Portfolio Shifts
AEGON ASSET MANAGEMENT UK PLC has recently submitted a portfolio update through a 13F disclosure, detailing its holdings as of December 31, 2024. Investors can explore the complete portfolio through Quiver Quantitative, where they can also monitor changes made by other funds.
Significant Stock Adjustments Noted
According to our analysis, notable adjustments in stock holdings include:
- A reduction of -1,184,613 shares of $NVDA, valued at approximately $159,081,680, indicating a decline of about 24% from previous levels.
- An increase of 236,510 shares of $META, valued at roughly $138,478,970, reflecting a rise of close to 109% from their earlier position.
- A drop of -543,803 shares of $AAPL, valued at around $136,179,147, marking a decrease of about 22% compared to before.
- A decrease of -278,172 shares of $MSFT, valued at about $117,249,498, representing a 16% dip from the prior report.
- An addition of 493,351 shares of $AMZN, worth approximately $108,236,276, showing a 41% increase from the last report.
- An increase of 521,515 shares of $GOOGL, totaling around $98,722,790, which is a rise of roughly 91% from their previous stake.
Please note that these estimates may contain inaccuracies due to filing errors, parsing mistakes, or unforeseen anomalies.
For Further Information
Visit Quiver Quantitative’s fund page for AEGON ASSET MANAGEMENT UK PLC for more comprehensive details.
This article was originally published on Quiver News; you can read the full story there.
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