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“Wells Fargo & Company/MN Reveals Latest Portfolio Adjustments”

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Wells Fargo Reveals Significant Portfolio Adjustments in Latest Filing

WELLS FARGO & COMPANY/MN has recently provided an update on its investment portfolio through a 13F disclosure. This filing outlines the fund’s holdings for the period ending March 31, 2025.

Key Moves in the Portfolio

Our analysis shows the following notable stock movements:

  • An increase of 3,091,650 shares of $QQQ, valued at approximately $1,449,736,518, marking a growth of about 42% from the prior position.
  • An addition of 1,800,707 shares of $META, estimated at $1,037,855,487, which is a 31% increase since the last report.
  • A reduction of 3,910,012 shares of $IWM, now valued at $780,008,294, representing a decrease of approximately 20% from the previous amount.
  • An increase of 6,899,614 shares of $NVDA, worth around $747,780,165, reflecting a growth of about 13% since the last filing.
  • A substantial reduction of 18,187,672 shares of $CMCSA, valued at $671,125,097, which accounts for a dramatic 50% decrease in their previous position.
  • A decrease of 1,245,944 shares of $MSFT, resulting in a valuation of $467,714,918, equating to a 4% drop from the previous stake.

Accuracy of Estimates

It is important to note that these estimates may not be entirely accurate due to potential filing errors from the funds, parsing inaccuracies, or other anomalies in data reporting.

Additional Information

For further details, you can visit Quiver Quantitative’s fund page specific to WELLS FARGO & COMPANY/MN.

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

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