Oconnor, a Distinct Business Unit of Ubs Asset Management Americas (llc)
Investment Portfolio & 13F Holdings Analysis
About
OCONNOR, A Distinct Business Unit of UBS ASSET MANAGEMENT AMERICAS (LLC) is an institutional investment manager that filed its latest Form 13F for 2025Q1, reporting 287 holdings worth $1.2 billion. Form 13F filings provide transparency into the equity holdings of institutional investment managers with over $100 million in assets under management. This page displays the most recent portfolio holdings, allowing investors to track position changes, new investments, and portfolio composition.
AI_NATIVE detailed information: This accession holds the following tickers:[ "OCUL", "MRUS", "AKRO", "KNSA", "EWTX", "NKTR", "INSM", "ARQT", "GTES", "ORIC", "GRAB", "GLOB", null, "INSP", null, "POOL", "ITUB", "AES", "AAL", "AKAM", "SABR", "ONON", "ABBV", "APD", "BABA", "GOOGL", "PTCT", "PRCT", null, "RIG", null, null, null, null, null, null, null, null, null, null, null, null, "BSAC", "ATUS", null, "AVGO", "YMM", "GMAB", "BGS", "HTZ", "LX", "OFIX", "MLCO", "ERJ", "SWTX", "SN", "PNR", "ADPT", "ANAB", "ANNX", "BCYC", null, "RCUS", "SLN", "CATX", "RLAY", "MIRM", "TERN", "TRML", "NUVB", "ACRV", "LRMR", "MLYS", "REPL", "SNDX", "KROS", "NGNE", "GILD", "JANX", null, null, "HON", null, null, "AZN", "NVNO", "EH", "FE", "SRRK", null, "HLF", "HUBB", null, "KALA", "META", "KALV", "LION", "MRSN", null, "PVLA", "RIGL", "SKIL", "SARO", "TMCI", "STRO", "UWMC", "IQV", "IONS", null, null, null, "WRD", "KMI", "LHX", "LIN", null, "BRLSW", "BSLKW", "EVLVW", null, null, "RZLT", null, null, "IFRX", "MA", null, "XYF", "MSFT", null, null, "TAL", "FTV", null, null, null, "IDYA", "NI", "INCY", null, "TEVA", "OXY", "OMF", "AER", "DG", "KR", null, null, "AAPL", "SPY", "NVDA", null, "LPLA", "MPW", "SHW", null, "RSG", "STLD", "TPR", "TW", "UPS", "AURA", "PTGX", "PEPG", "AGIO", "SDGR", "ATEC", "MGNI", "PRAX", "ALC", "SLNO", "AS", "BTG", null, null, "QURE", "ACEL", null, "DYN", null, null, null, "CYH", "PTON", null, "ETR", "EW", "GPK", "MAT", "ALGN", "GM", "VNO", "APTV", "STWD", "APH", "AMD", "IP", "DLTR", "F", "IR", "NCLH", "ROIV", "BNAIW", "AENTW", null, "CNTB", "CNTX", "CRVS", "ERAS", "DADA", null, "EVLV", "IMCR", "IMUX", "INO", "INZY", "BZ", "KPTI", "AMZN", "LCID", "HOG", "AMC", "TPH", "PDD", "VALE", "VRNA", "VERU", "VSAT", "VSTM", "VRDN", "VYNE", "WMT", "XRX", "XEL", "XFOR", "ADT", "KIDS", "VERA", "ET", "LVS", "NSC", null, "MGM", "SO", "RARE", "CRM", "LYV", "MELI", "GAP", "IRTC", "SYF", "NRG", null, "AXTA", "AXGN", "BAX", "BDX", null, "BMRN", "BPMC", "BA", "BORR.OL", "BBIO", "CACI", "CCCC", "CNI", "CCL", "CE", "CC", "CHTR", "CMC", "COMM", "COO", "COST", "CRNX", "BAP", "CRH", "CGEM", "DAWN", "DAL", "DXCM", "IRON", "VMC", "QQQ", "IWM", "TSLA", "PH" ]
Filing Details
13F-HR • 2025-03-31
Filing Details
13F-HR • 2025-03-31- Report Date
- 2025-03-31
- Filing Date
- 2025-05-15
- Total Holdings
- 287
- Total Value
- 1223796669
- Accession Number
- 0001132716-25-000010
- Form Type
- 13F-HR
- Manager Name
- Oconnor-A-Distinct-Business-Unit-Of-Ubs-Asset-Management-Americas
Data Enrichment
81% identified232 identified55 unidentified
Holdings
287 positions
Manager:
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46116X101
Shares:3.1M
Value:$407.8M
60938K304
Shares:436.1K
Value:$37.7M
70614WAB6
Shares:—
Value:$25.8M
40637HAF6
Shares:—
Value:$19.3M
35953DAB0
Shares:—
Value:$13.0M
84921RAB6
Shares:—
Value:$11.9M
Instrument | Shares | Other Manager | Value | ||
---|---|---|---|---|---|
(cusip46116X101)✕ | 3.1M | QoQ NEW(+3.1M) YoY NEW(+3.1M) | All Managers (Combined) | $407.8M | QoQ NEW(+$407.8M) YoY NEW(+$407.8M) |
(cusip60938K304)✕ | 436.1K | YoY NEW(+436.1K) | All Managers (Combined) | $37.7M | YoY NEW(+$37.7M) |
(cusip70614WAB6)✕ | — | QoQ NEW YoY NEW | All Managers (Combined) | $25.8M | QoQ NEW(+$25.8M) YoY NEW(+$25.8M) |
466.4K | QoQ NEW(+466.4K) YoY NEW(+466.4K) | All Managers (Combined) | $23.0M | QoQ NEW(+$23.0M) YoY NEW(+$23.0M) | |
88.2K | QoQ NEW(+88.2K) YoY NEW(+88.2K) | All Managers (Combined) | $21.4M | QoQ NEW(+$21.4M) YoY NEW(+$21.4M) | |
(cusip40637HAF6)✕ | — | QoQ NEW YoY NEW | All Managers (Combined) | $19.3M | QoQ NEW(+$19.3M) YoY NEW(+$19.3M) |
SOUTHERN CO(SOcusip842587107) | 209.7K | QoQ NEW(+209.7K) YoY NEW(+209.7K) | All Managers (Combined) | $19.3M | QoQ NEW(+$19.3M) YoY NEW(+$19.3M) |
MATTEL INC /DE/(MATcusip577081102) | 969.0K | QoQ NEW(+969.0K) YoY NEW(+969.0K) | All Managers (Combined) | $18.8M | QoQ NEW(+$18.8M) YoY NEW(+$18.8M) |
NVIDIA CORP(NVDAcusip67066G104) | 137.6K | QoQ NEW(+137.6K) YoY NEW(+137.6K) | All Managers (Combined) | $14.9M | QoQ NEW(+$14.9M) YoY NEW(+$14.9M) |
134.0K | QoQ NEW(+134.0K) YoY NEW(+134.0K) | All Managers (Combined) | $13.1M | QoQ NEW(+$13.1M) YoY NEW(+$13.1M) | |
(cusip35953DAB0)✕ | — | QoQ NEW YoY NEW | All Managers (Combined) | $13.0M | QoQ NEW(+$13.0M) YoY NEW(+$13.0M) |
XCEL ENERGY INC(XELcusip98389B100) | 182.5K | QoQ NEW(+182.5K) YoY NEW(+182.5K) | All Managers (Combined) | $12.9M | QoQ NEW(+$12.9M) YoY NEW(+$12.9M) |
26.7K | QoQ NEW(+26.7K) YoY NEW(+26.7K) | All Managers (Combined) | $12.4M | QoQ NEW(+$12.4M) YoY NEW(+$12.4M) | |
143.6K | QoQ NEW(+143.6K) YoY NEW(+143.6K) | All Managers (Combined) | $12.3M | QoQ NEW(+$12.3M) YoY NEW(+$12.3M) | |
(cusip84921RAB6)✕ | — | QoQ NEW YoY NEW | All Managers (Combined) | $11.9M | QoQ NEW(+$11.9M) YoY NEW(+$11.9M) |
48.1K | QoQ NEW(+48.1K) YoY NEW(+48.1K) | All Managers (Combined) | $11.4M | QoQ NEW(+$11.4M) YoY NEW(+$11.4M) | |
1.1M | QoQ NEW(+1.1M) YoY NEW(+1.1M) | All Managers (Combined) | $11.2M | QoQ NEW(+$11.2M) YoY NEW(+$11.2M) | |
NISOURCE INC.(NIcusip65473P105) | 277.3K | QoQ NEW(+277.3K) YoY NEW(+277.3K) | All Managers (Combined) | $11.1M | QoQ NEW(+$11.1M) YoY NEW(+$11.1M) |
411.2K | QoQ NEW(+411.2K) YoY NEW(+411.2K) | All Managers (Combined) | $10.7M | QoQ NEW(+$10.7M) YoY NEW(+$10.7M) | |
35.0K | QoQ NEW(+35.0K) YoY NEW(+35.0K) | All Managers (Combined) | $10.3M | QoQ NEW(+$10.3M) YoY NEW(+$10.3M) |