
鹰派资本管理
13F 持仓与组合分析
拉韦内尔·博伊金·库里四世 在 2017 Q1 的 13F 持仓详情、季度变化、组合市值趋势和持仓占比分布。
鹰派资本管理概览
鹰派资本管理 在 2017 Q1 持有 54 只股票,合计市值约 244.73 亿美元。
鹰派资本管理 在 2017 Q1 前五大重仓股为:伯克希尔B(BRK.B) 8.07%,甲骨文(ORCL) 7.39%,微软(MSFT) 6.92%,花旗集团(C) 5.88%,谷歌C(GOOG) 5.60%。
- 组合市值
- 244.73 亿
- 当前持仓
- 54 只
- 新增 / 增持
- 0 / 4
- 减持 / 清仓
- 31 / 4
当前持仓
| 1 | 伯克希尔BBRK.B | 19.75 | 8.07% | 1185.19 -2.30% | $166.68 | $470.25 +182.13% | $118.76 | -27.95 | 4.00 | +41.66亿+295.96% | 减持 |
| 2 | 甲骨文ORCL | 18.08 | 7.39% | 4052.70 -1.44% | $44.61 | $299.00 +570.25% | $32.22 | -59.20 | 4.00 | +108.12亿+827.99% | 减持 |
| 3 | 微软MSFT | 16.94 | 6.92% | 2572.11 -3.66% | $65.86 | $460.25 +598.83% | $35.48 | -97.85 | 4.00 | +109.25亿+1197.04% | 减持 |
| 4 | 花旗集团C | 14.40 | 5.88% | 2406.62 -4.11% | $59.82 | $97.52 +63.02% | $47.26 | -103.05 | 4.00 | +12.10亿+106.37% | 减持 |
| 5 | 谷歌CGOOG | 13.71 | 5.60% | 165.24 -1.88% | $829.56 | $371.98 -55.16% | $615.89 | -3.17 | 1.75 | -4.03亿-39.60% | 减持 |
| 6 | Aon PLCCUSIP G0408V102 | 13.60 | 5.56% | 1145.63 -2.66% | $118.69 | - | $66.02 | -31.32 | 4.00 | +6.03亿+79.79% | 减持 |
| 7 | 亚马逊AMZN | 13.26 | 5.42% | 149.55 -3.48% | $886.54 | $264.24 -70.19% | $328.45 | -5.39 | 2.50 | -0.96亿-19.55% | 减持 |
| 8 | 自由全球LBTYA | 12.57 | 5.14% | 3588.33 +0.93% | $35.04 | - | $35.59 | +33.20 | 4.00 | -0.20亿-1.56% | 增持 |
| 9 | 艺康集团ECL | 11.01 | 4.50% | 878.22 +0.38% | $125.34 | $259.62 +107.13% | $86.87 | +3.32 | 4.00 | +15.17亿+198.86% | 增持 |
| 10 | 摩根大通JPM | 10.88 | 4.45% | 1238.53 -1.78% | $87.84 | $297.41 +238.58% | $61.35 | -22.41 | 1.75 | +29.24亿+384.78% | 减持 |
| 11 | 联合健康集团UNH | 10.33 | 4.22% | 629.95 -4.06% | $164.01 | $380.10 +131.75% | $68.11 | -26.65 | 4.00 | +19.65亿+458.03% | 减持 |
| 12 | 万豪国际MAR | 9.59 | 3.92% | 1018.37 -3.06% | $94.18 | $376.84 +300.12% | $70.59 | -32.19 | 1.25 | +31.19亿+433.86% | 减持 |
| 13 | DISH网络DISH | 9.20 | 3.76% | 1449.26 -10.70% | $63.49 | - | $52.58 | -173.61 | 4.00 | +1.58亿+20.75% | 减持 |
| 14 | 百事可乐PEP | 7.93 | 3.24% | 708.63 -1.94% | $111.86 | - | $82.57 | -14.01 | 4.00 | +2.08亿+35.48% | 减持 |
| 15 | TWENTY FIRST CENTY FOX INC CL BCUSIP 90130A200 | 7.90 | 3.23% | 2487.01 -6.33% | $31.78 | - | $27.12 | -168.07 | 1.75 | +1.16亿+17.20% | 减持 |
| 16 | 美国银行BAC | 7.74 | 3.16% | 3281.79 -4.52% | $23.59 | $51.42 +117.99% | $16.58 | -155.54 | 2.00 | +11.43亿+210.12% | 减持 |
| 17 | 亿滋国际MDLZ | 7.38 | 3.01% | 1712.09 -2.48% | $43.08 | $62.41 +44.87% | $29.50 | -43.50 | 4.00 | +5.63亿+111.53% | 减持 |
| 18 | 高盛集团GS | 6.61 | 2.70% | 287.71 -0.75% | $229.72 | $751.53 +227.15% | $175.49 | -2.19 | 1.75 | +16.57亿+328.26% | 减持 |
| 19 | 赛默飞TMO | 5.80 | 2.37% | 377.38 -2.32% | $153.60 | $538.92 +250.86% | $85.42 | -8.98 | 4.00 | +17.11亿+530.91% | 减持 |
| 20 | 摩根士丹利MS | 5.60 | 2.29% | 1307.28 -5.57% | $42.84 | - | $36.92 | -77.05 | 4.00 | +0.77亿+16.05% | 减持 |
| 21 | WR柏克利WRB | 4.49 | 1.83% | 635.67 -4.86% | $70.63 | - | $41.32 | -32.48 | 4.00 | +1.86亿+70.95% | 减持 |
| 22 | Noble Energy IncCUSIP 655044105 | 4.14 | 1.69% | 1205.34 -2.94% | $34.34 | - | $59.00 | -36.56 | 4.00 | -2.97亿-41.80% | 减持 |
| 23 | 谷歌AGOOGL | 3.17 | 1.30% | 37.44 -9.46% | $847.80 | $375.95 -55.66% | $638.37 | -3.91 | 1.75 | -0.98亿-41.11% | 减持 |
| 24 | Fidelity National InformationCUSIP 31620m106 | 2.89 | 1.18% | 362.79 -1.52% | $79.62 | - | $63.31 | -5.59 | 1.25 | +0.59亿+25.76% | 减持 |
| 25 | Anadarko Petroleum CorpCUSIP 032511107 | 2.15 | 0.88% | 346.46 -0.44% | $62.00 | - | $72.27 | -1.52 | 3.50 | -0.36亿-14.21% | 减持 |
“持仓时长(年)”指最近一次连续不中断持仓时长,由连续披露季度数除以 4 换算得来。
持仓成本为估算值,和实际成本有差距,极端情况下差距可能非常大,仅供参考。
持仓成本估算方法:从最近一次连续持仓开始,遇到新增或增持时,用该报告期“报告期价”乘以新增股数加入成本池;遇到减持时,按当时平均成本扣减对应股数。例:Q1 买入 100 股、报告期价 10 美元,Q2 增持 50 股、报告期价 16 美元,则估算成本为 (100×10 + 50×16) ÷ 150 = 12 美元/股。
持仓收益上方金额单位为亿美元,下方为收益率;优先按当前价估算,缺失当前价时使用报告期价换算。
可转换证券会明确显示证券类别;其 CUSIP 是该证券的识别码,不是发行人普通股 ticker。
已清仓股票
2017 Q1 报告期内已不在当前 13F 组合中的股票。
| 1 | 罗素1000价值指数ETF-iSharesIWD | 4.66 | 0.25 | $112.04 | $112.04 | 0.00亿0.00% |
| 2 | 标普500 ETFSPY | 2.11 | 0.25 | $223.52 | $235.74 | +0.00亿+5.47% |
| 3 | Discovery Communications Cl ACUSIP 25470F104 | 3.53 | 1.50 | $26.04 | $27.42 | +0.00亿+5.32% |
| 4 | Discovery Communications Cl CCUSIP 25470F302 | 1.09 | 1.50 | $24.61 | $26.79 | +0.00亿+8.87% |
清仓股票指当前报告期未继续披露、但上一报告期仍在组合中的股票。
“持仓时长(年)”指最近一次连续不中断持仓时长,由连续披露季度数除以 4 换算得来。
持仓成本估算沿用当前持仓表的加权成本池方法;清仓价格(估算)优先取当前报告期同一股票在 13F 披露中的期末加权价,缺失时回退到清仓前报告期价,不代表真实卖出价格。
清仓收益上方金额单位为亿美元,下方为收益率。
可视化分析
观察组合市值、持仓占比和 Top10 历史变化。