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Latest MARVIN & PALMER ASSOCIATES INC Stock Portfolio

MARVIN & PALMER ASSOCIATES INC Performance:
2025 Q4: 2.52%YTD: -2.16%2024: 34.74%

Performance for 2025 Q4 is 2.52%, and YTD is -2.16%, and 2024 is 34.74%.

About MARVIN & PALMER ASSOCIATES INC and 13F Hedge Fund Stock Holdings

MARVIN & PALMER ASSOCIATES INC is a hedge fund based in Wilmington, DE. On 2026-02-11, the fund reported it's updated stock portfolio. In the 13F Holdings report, MARVIN & PALMER ASSOCIATES INC reported an equity portfolio of $141.6 Millions as of 31 Dec, 2025.

The top stock holdings of MARVIN & PALMER ASSOCIATES INC are NVDA, C, GS. The fund has invested 7.4% of it's portfolio in NVIDIA CORP and 6.9% of portfolio in CITIGROUP INC.

The fund managers got completely rid off INTERACTIVE BROKERS GROUP INC (IBKR), ORACLE CORP (ORCL) and MICRON TECHNOLOGY INC (MU) stocks. They significantly reduced their stock positions in JPMORGAN CHASE & CO (JPM), BROADCOM INC (AVGO) and ISHARES MSCI JAPAN ETF (EMGF). MARVIN & PALMER ASSOCIATES INC opened new stock positions in ISHARES BIOTECHNOLOGY ETF (IJR), HEALTH CARE SELECT SECTOR SPDR (XLB) and APPLE INC (AAPL). The fund showed a lot of confidence in some stocks as they added substantially to TAIWAN SEMICONDUCTOR MANUFACTURING SPON (TSM), ALPHABET INC (GOOG) and CITIGROUP INC (C).

MARVIN & PALMER ASSOCIATES INC Annual Return Estimates Vs S&P 500

Our best estimate is that MARVIN & PALMER ASSOCIATES INC made a return of 2.52% in the last quarter. In trailing 12 months, it's portfolio return was -2.16%.
  • Performance
  • S&P 500

New Buys

Ticker$ Bought
ishares biotechnology etf7,125,300
health care select sector spdr6,753,920
apple inc6,537,690
ishares core s&p small-cap etf4,262,780
tjx cos inc/the3,584,950
spdr s&p biotech etf3,284,790
amazon.com inc3,219,020
ishares latin america 40 etf2,102,570

New stocks bought by MARVIN & PALMER ASSOCIATES INC

Additions

Ticker% Inc.
taiwan semiconductor manufacturing spon1,437
alphabet inc23.95
citigroup inc10.08
bank of america corp6.47

Additions to existing portfolio by MARVIN & PALMER ASSOCIATES INC

Reductions

Ticker% Reduced
jpmorgan chase & co-54.45
broadcom inc-19.57
ishares msci japan etf-7.8
caterpillar inc-7.79
amphenol corp-7.54
newmont corp-4.95
nvidia corp-3.99
morgan stanley-3.39

MARVIN & PALMER ASSOCIATES INC reduced stake in above stock

Sold off

Ticker$ Sold
interactive brokers group inc-8,247,950
ishares msci poland etf-2,689,380
oracle corp-7,946,840
ishares msci israel etf-2,401,740
welltower inc-3,564,860
micron technology inc-4,073,960
vaneck vietnam etf-140,137
ishares msci spain etf-213,724

MARVIN & PALMER ASSOCIATES INC got rid off the above stocks

Sector Distribution

MARVIN & PALMER ASSOCIATES INC has about 26.5% of it's holdings in Others sector.

Sector%
Others26.5
Financial Services25.5
Technology21
Industrials9.7
Consumer Cyclical6.4
Communication Services6.1
Basic Materials4.8

Market Cap. Distribution

MARVIN & PALMER ASSOCIATES INC has about 75.9% of it's portfolio invested in the large-cap and mega-cap stocks.

Category%
LARGE-CAP42.1
MEGA-CAP33.8
UNALLOCATED24

Stocks belong to which Index?

About 73.5% of the stocks held by MARVIN & PALMER ASSOCIATES INC either belong to S&P 500 or RUSSELL 2000 index.

Index%
S&P 50073.5
Others26.5
Top 5 Winners (%)%
NEM
newmont corp
22.7 %
C
citigroup inc
14.5 %
PH
parker-hannifin corp
13.7 %
GS
goldman sachs group inc/the
11.2 %
GOOG
alphabet inc
10.1 %
Top 5 Winners ($)$
NEM
newmont corp
1.3 M
C
citigroup inc
1.2 M
GS
goldman sachs group inc/the
1.0 M
GOOG
alphabet inc
0.8 M
MS
morgan stanley
0.7 M
Top 5 Losers (%)%
cameco corp
-10.5 %
NVDA
nvidia corp
-7.7 %
AVGO
broadcom inc
-5.7 %
EMGF
ishares msci japan etf
-3.1 %
APH
amphenol corp
-2.9 %
Top 5 Losers ($)$
NVDA
nvidia corp
-0.9 M
AVGO
broadcom inc
-0.7 M
cameco corp
-0.4 M
APH
amphenol corp
-0.1 M
EMGF
ishares msci japan etf
-0.1 M

MARVIN & PALMER ASSOCIATES INC Holdings Map

This heatmap illustrates the top 50 positions within the fund's portfolio.

Current Stock Holdings of MARVIN & PALMER ASSOCIATES INC

MARVIN & PALMER ASSOCIATES INC has 27 stocks in it's portfolio. About 59.2% of the portfolio is in top 10 stocks. NVDA proved to be the most loss making stock for the portfolio. NEM was the most profitable stock for MARVIN & PALMER ASSOCIATES INC last quarter.

Last Reported on: 11 Feb, 2026
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions