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Latest Voyager Global Management LP Stock Portfolio

$2.09Billion

Equity Portfolio Value
Last Reported on: 14 Feb, 2024

About Voyager Global Management LP and it’s 13F Hedge Fund Stock Holdings

Voyager Global Management LP is a hedge fund based in New York, NY. On 05-May-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $2.3 Billions. In it's latest 13F Holdings report, Voyager Global Management LP reported an equity portfolio of $2.1 Billions as of 30 Sep, 2023.

The top stock holdings of Voyager Global Management LP are GOOG, AMZN, V. The fund has invested 14.1% of it's portfolio in ALPHABET INC and 13.1% of portfolio in AMAZON COM INC .

The fund managers got completely rid off UNION PAC CORP (UNP) stocks. They significantly reduced their stock positions in UBER TECHNOLOGIES INC (UBER), CHARTER COMMUNICATIONS INC N (CHTR) and T-MOBILE US INC (TMUS). The fund showed a lot of confidence in some stocks as they added substantially to TAIWAN SEMICONDUCTOR MFG LTD, SBA COMMUNICATIONS CORP NEW (SBAC) and NETFLIX INC (NFLX).

New Buys

No new stocks were added by Voyager Global Management LP

Additions

Ticker% Inc.
META PLATFORMS INC37.33
CHARTER COMMUNICATIONS INC N35.71
ALPHABET INC18.04
TAIWAN SEMICONDUCTOR MFG LTD16.44
BOOKING HOLDINGS INC12.73

Additions to existing portfolio by Voyager Global Management LP

Reductions

Ticker% Reduced
NETFLIX INC-52.94
MICROSOFT CORP-43.33
T-MOBILE US INC-32.65
AMAZON COM INC-25.91
VISA INC-14.88
COMCAST CORP NEW-4.17

Voyager Global Management LP reduced stake in above stock

Sold off

Ticker$ Sold
UBER TECHNOLOGIES INC -37,941,800
SBA COMMUNICATIONS CORP NEW -110,094,000

Voyager Global Management LP got rid off the above stocks

Current Stock Holdings of Voyager Global Management LP

Last Reported on: 14 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AMZNAMAZON COM INC11.841,630,000247,662,000REDUCED-25.91
BKNGBOOKING HOLDINGS INC10.5162,000219,928,000ADDED12.73
CHTRCHARTER COMMUNICATIONS INC N8.82475,000184,623,000ADDED35.71
CMCSACOMCAST CORP NEW6.022,875,000126,069,000REDUCED-4.17
GOOGALPHABET INC18.122,715,000379,258,000ADDED18.04
METAMETA PLATFORMS INC8.71515,000182,289,000ADDED37.33
MSFTMICROSOFT CORP3.06170,00063,926,800REDUCED-43.33
NFLXNETFLIX INC4.65200,00097,376,000REDUCED-52.94
SBACSBA COMMUNICATIONS CORP NEW 0.000.000.00SOLD OFF-100
TMUST-MOBILE US INC6.32825,000132,272,000REDUCED-32.65
TSMTAIWAN SEMICONDUCTOR MFG LTD10.562,125,000221,000,000ADDED16.44
UBERUBER TECHNOLOGIES INC 0.000.000.00SOLD OFF-100
VVISA INC11.38915,000238,220,000REDUCED-14.88