April 15, 2025

Ron Finklestien

Assenagon Asset Management S.A. Reveals Latest Investment Portfolio Changes

Assenagon Asset Management Reports Major Stock Movements for Q1 2025

Assenagon Asset Management S.A. recently submitted a portfolio update through a 13F disclosure, reflecting the fund’s holdings for the period ending March 31, 2025. Interested readers can access the full portfolio on Quiver Quantitative and observe other funds’ activities.

Key Stock Movements in Q1 2025

According to our analysis, the most significant stock transactions included:

  • An addition of 23,948,733 shares of $NVDA, valued at approximately $2,595,563,683, representing a 205% increase from their previous position.
  • An increase of 8,588,994 shares of $AAPL, amounting to about $1,907,873,237, which is a 92% rise over their earlier holdings.
  • A reduction of 2,625,027 shares of $BRK.B, valued at $1,398,036,880, indicating a 64% decrease from their last position.
  • An increase of 2,225,186 shares of $META, worth around $1,282,508,203, marking a substantial 712% increase.
  • An addition of 7,774,811 shares of $GOOGL, valued at $1,202,296,773, which shows a 308% increase.
  • An addition of 2,978,026 shares of $TSLA, approximately worth $771,785,218, representing a 54% increase from their previous holdings.

Please note that estimates may have inaccuracies due to potential filing errors by the funds or parsing issues on our part.

For further details, visit Quiver Quantitative’s fund page dedicated to Assenagon Asset Management S.A.

This article was originally published on Quiver News. Read the full story.

The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc.


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