BANQUE PICTET & CIE SA Files Portfolio Update for Q1 2025
BANQUE PICTET & CIE SA recently submitted a portfolio update as part of its 13F disclosure. This document outlines the fund’s holdings for the period ending March 31, 2025. The complete portfolio can be accessed on Quiver Quantitative, where investors can also monitor transactions made by other funds.
Significant Stock Movements
According to our analysis, the most notable changes in stock positions are as follows:
- A reduction of 1,507,924 shares of $EL, valued at approximately $99,522,984. This marks a decrease of around 98% compared to the previous position.
- An increase of 156,132 shares of $SYK, valued at about $58,120,137. This represents a substantial increase of approximately 647% from their earlier stake.
- A decrease of 100,636 shares in $TMO, translating to about $50,076,474. This decline is about 60% from the prior position held.
- A reduction of 84,778 shares in $META, valued at roughly $48,862,648. This shows an 18% decrease compared to what they previously owned.
- A decrease of 300,773 shares of $PEP, amounting to around $45,097,904, which is an 11% reduction from their earlier holdings.
- A reduction of 113,012 shares of $V, valued at about $39,606,186, reflecting a decline of 20% from their prior investment.
Be aware that these estimates might include inaccuracies due to potential filing errors by the funds, parsing mistakes, or other anomalies.
For Further Insights
For additional information, you can explore Quiver Quantitative’s fund page dedicated to BANQUE PICTET & CIE SA.
The views and opinions expressed herein are those of the author and do not necessarily represent those of Nasdaq, Inc.






