Ticker | $ Bought |
---|---|
evercore inc | 6,484,530 |
general motors co | 6,212,370 |
cbre group inc | 4,252,500 |
us bancorp | 3,034,830 |
zoetis inc | 2,598,130 |
monster beverage corp | 2,583,520 |
adaptive biotechnologies corp | 2,464,180 |
american international group i | 2,321,290 |
Ticker | % Inc. |
---|---|
t-mobile us inc | 8,847 |
coca-cola co/the | 4,173 |
exxon mobil corp | 2,500 |
charles schwab corp/the | 1,976 |
accenture plc | 1,287 |
johnson & johnson | 844 |
remitly global inc | 730 |
unitedhealth group inc | 719 |
Ticker | % Reduced |
---|---|
csx corp | -99.99 |
american electric power co inc | -99.44 |
walmart inc | -98.79 |
spotify technology sa | -92.63 |
verizon communications inc | -86.36 |
procter & gamble co/the | -85.4 |
cigna group/the | -59.2 |
at&t inc | -59.03 |
Ticker | $ Sold |
---|---|
petroleo brasileiro sa | -4,337,640 |
comcast corp | -10,116,700 |
air lease corp | -3,046,860 |
metlife inc | -3,303,370 |
camping world holdings inc | -639,290 |
american woodmark corp | -2,022,810 |
winnebago industries inc | -1,006,780 |
advance auto parts inc | -1,135,330 |
UNIVERSITY OF TEXAS/TEXAS AM INVESTMENT MANAGEMENT CO has about 43.8% of it's holdings in Others sector.
Sector | % |
---|---|
Others | 43.8 |
Technology | 17.8 |
Financial Services | 10.5 |
Communication Services | 8.9 |
Healthcare | 6.6 |
Consumer Cyclical | 5.1 |
Real Estate | 2.3 |
Consumer Defensive | 2.3 |
Basic Materials | 1.1 |
UNIVERSITY OF TEXAS/TEXAS AM INVESTMENT MANAGEMENT CO has about 52.6% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
UNALLOCATED | 43.8 |
MEGA-CAP | 31.6 |
LARGE-CAP | 21 |
MID-CAP | 3.1 |
About 50.6% of the stocks held by UNIVERSITY OF TEXAS/TEXAS AM INVESTMENT MANAGEMENT CO either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
Others | 49.4 |
S&P 500 | 49.2 |
RUSSELL 2000 | 1.4 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
UNIVERSITY OF TEXAS/TEXAS AM INVESTMENT MANAGEMENT CO has 159 stocks in it's portfolio. About 61.9% of the portfolio is in top 10 stocks. FAST proved to be the most loss making stock for the portfolio. NVDA was the most profitable stock for UNIVERSITY OF TEXAS/TEXAS AM INVESTMENT MANAGEMENT CO last quarter.
Last Reported on: 31 Jul, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
BBAX | jpm betabldrs msci us reit | 37.43 | 2,584,290 | 238,039,000 | added | 4.26 | ||
Historical Trend of JPM BETABLDRS MSCI US REIT Position Held By UNIVERSITY OF TEXAS/TEXAS AM INVESTMENT MANAGMENTWhat % of Portfolio is BBAX?:Number of BBAX shares held:Change in No. of Shares Held: | ||||||||
MSFT | microsoft corp | 4.24 | 54,242 | 26,980,500 | added | 2.86 | ||
NVDA | nvidia corp | 3.75 | 150,932 | 23,845,700 | reduced | -12.7 | ||
MA | mastercard inc | 2.92 | 33,061 | 18,578,300 | unchanged | 0.00 | ||
AMZN | amazon.com inc | 2.84 | 82,216 | 18,037,400 | reduced | -1.57 | ||
BAC | bank of america corp | 2.67 | 358,404 | 16,959,700 | added | 45.87 | ||
GOOG | alphabet inc | 2.33 | 84,036 | 14,809,700 | reduced | -6.08 | ||
STT | state street corp | 2.07 | 124,012 | 13,187,400 | added | 59.85 | ||
NFLX | netflix inc | 1.86 | 8,839 | 11,836,600 | added | 18.84 | ||
META | meta platforms inc | 1.76 | 15,174 | 11,199,800 | reduced | -16.79 | ||
MDT | medtronic plc | 1.62 | 118,549 | 10,333,900 | added | 63.66 | ||
AVGO | broadcom inc | 1.57 | 36,297 | 10,005,300 | unchanged | 0.00 | ||
TMUS | t-mobile us inc | 1.43 | 38,025 | 9,059,840 | added | 8,847 | ||
PM | philip morris international in | 1.41 | 49,237 | 8,967,540 | added | 252 | ||
JNJ | johnson & johnson | 1.26 | 52,389 | 8,002,420 | added | 844 | ||
ARW | arrow electronics inc | 1.24 | 61,826 | 7,878,490 | added | 23.92 | ||
ELV | elevance health inc | 1.08 | 17,670 | 6,872,920 | added | 18.91 | ||
JLL | jones lang lasalle inc | 1.08 | 26,850 | 6,867,690 | added | 135 | ||
TXN | texas instruments inc | 1.04 | 32,000 | 6,643,840 | reduced | -21.76 | ||
EVR | evercore inc | 1.02 | 24,015 | 6,484,530 | new | |||