普澤納投資管理
理查德·普澤納
報告期
Q2 2026
組合日期
2026年6月30日
持股數
160
市值
$34.1B
持倉價值趨勢
Q3 2024
Q4 2024
Q1 2025
Q2 2025
Q3 2025
Q4 2025
Q1 2026
Q2 2026
歷史持倉
| Symbol | Q2 2026 | Q1 2026 | Q4 2025 | Q3 2025 |
|---|---|---|---|---|
| MGA | 6.5% | 6.4% | 6.4% | 6.2% |
| HUM | 5.1% | 3.1% | 3.1% | 3.4% |
| BAX | 4.1% | 3.5% | 4.0% | 4.2% |
| CVS | 3.6% | 3.2% | 3.7% | 3.9% |
| DG | 3.5% | - | 4.2% | 3.9% |
| SWKS | 3.2% | 2.8% | - | 3.0% |
| CTSH | 3.0% | 4.0% | 4.4% | 3.8% |
| BMY | 2.9% | 3.4% | - | - |
| TSN | 2.9% | 3.6% | - | - |
| CRBG | 2.8% | - | - | - |
披露後主要貢獻者
披露價至今漲跌幅,按組合貢獻排序
CTSH+57.29%
BAX+23.87%
UBS+32.80%
ACN+45.73%
SSNC+32.34%
披露後主要拖累者
披露價至今漲跌幅,按組合貢獻排序
MGA-24.52%
HUM-4.15%
LEA-6.44%
LKQ-1.33%
PPG-7.30%
行業分析
能源3.2%
材料4.4%
金融22.6%
醫療保健20.3%
科技18.0%
工業5.7%
房地產0.9%
日常消費9.0%
全部持倉
1
M
$MGA
6.5%
減持 5.71%
2H
$HUM
5.1%
減持 19.52%
3B
$BAX
4.1%
增持 1.19%
4C
$CVS
3.6%
減持 14.55%
5D
$DG
3.5%
增持 48.20%
6S
$SWKS
3.2%
減持 0.84%
7C
$CTSH
3.0%
增持 30.93%
8B
$BMY
2.9%
減持 0.52%
9T
$TSN
2.9%
減持 0.81%
10C
$CRBG
2.8%
增持 24.94%
11P
$PPG
2.8%
增持 4.40%
12M
$MET
2.8%
減持 1.53%
13C
$COF
2.7%
增持 0.30%
14U
$UBS
2.7%
減持 14.84%
15L
$LEA
2.6%
減持 1.78%
16G
$GPN
2.5%
增持 0.65%
17C
$C
2.3%
減持 32.13%
18W
$WFC
2.1%
增持 0.62%
19D
$DOX
2.1%
增持 10.28%
20S
$SSNC
2.0%
增持 13.79%
21N
$NOV
2.0%
減持 3.09%
22A
$ACN
1.9%
增持 113.75%
23P
$PVH
1.3%
增持 3.77%
24L
$LKQ
1.2%
增持 142.94%
25C
$CDW
1.1%
增持 136.56%
26B
$BAC
1.1%
減持 1.75%
27D
$DOW
1.0%
減持 33.99%
28F
$FMS
1.0%
減持 0.40%
29B
$BAP
1.0%
減持 8.28%
30V
$VOYA
0.9%
減持 3.91%
31N
$NWL
0.9%
增持 0.39%
32U
$UHS
0.9%
增持 2.99%
33A
$AVT
0.8%
減持 45.18%
34A
$AAP
0.8%
增持 2.06%
35K
$KSPI
0.8%
增持 14.95%
36M
$MDT
0.7%
減持 0.29%
37D
$DAL
0.7%
減持 6.73%
38E
$EQH
0.7%
增持 24.58%
39G
$GL
0.7%
增持 32.11%
40W
$WDAY
0.7%
新建倉
41S
$SPB
0.6%
增持 3.52%
42M
$MICC
0.6%
增持 87.60%
43S
$SHEL
0.6%
減持 19.25%
44R
$RHI
0.6%
增持 4.28%
45Z
$ZTO
0.5%
減持 1.86%
46M
$MBC
0.5%
增持 301.93%
47C
$CI
0.5%
減持 2.84%
48C
$CSCO
0.4%
減持 2.09%
49P
$PFE
0.4%
增持 0.57%
50M
$MHK
0.4%
減持 0.87%