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Sona Asset Management (Us) LLC Top Holdings and 13F Report (2023)

About Sona Asset Management (Us) LLC

Investment Activity

  • Sona Asset Management (Us) LLC has $3.34 billion in total holdings as of December 31, 2022.
  • Sona Asset Management (Us) LLC owns shares of 97 different stocks, but just 26 companies or ETFs make up 80% of its holdings.
  • Approximately 61.49% of the portfolio was purchased this quarter.
  • About 36.67% of the portfolio was sold this quarter.
  • This quarter, Sona Asset Management (Us) LLC has purchased 87 new stocks and bought additional shares in 21 stocks.
  • Sona Asset Management (Us) LLC sold shares of 23 stocks and completely divested from 34 stocks this quarter.

Largest New Holdings this Quarter

46090E103 - Invesco QQQ
$211,014,000 Holding
009066AB7 - AIRBNB INC
$147,294,224 Holding
464287440 - iShares 7-10 Year Treasury Bond ETF
$81,064,500 Holding
78464A359 - SPDR Bloomberg Convertible Securities ETF
$64,904,802 Holding

Largest Purchases this Quarter

iShares iBoxx $ Investment Grade Corporate Bond ETF
6,042,278 shares (about $656.74M)
Invesco QQQ
450,000 shares (about $211.01M)
AIRBNB INC
154,000,000 shares (about $147.29M)
iShares 7-10 Year Treasury Bond ETF
850,000 shares (about $81.06M)
APOLLO GLOBAL MGMT INC
1,000,000 shares (about $73.39M)

Largest Sales this Quarter

iShares iBoxx $ High Yield Corporate Bond ETF
1,150,000 shares (about $90.72M)
WAYFAIR INC
49,230,000 shares (about $46.09M)
ALBEMARLE CORP
710,000 shares (about $25.69M)
AMERICAN AIRLINES GROUP INC
23,000,000 shares (about $23.05M)
NEXTERA ENERGY INC
475,000 shares (about $22.94M)

Sector Allocation Over Time

Map of 500 Largest Holdings ofSona Asset Management (Us) LLC

 
 
Selling
 
 
Neutral
 
 
Buying
Issuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSector
iShares iBoxx $ Investment Grade Corporate Bond ETF stock logo
LQD
iShares iBoxx $ Investment Grade Corporate Bond ETF
$656,735,196$656,735,196 New Holding6,042,27819.7%Finance
iShares 20+ Year Treasury Bond ETF stock logo
TLT
iShares 20+ Year Treasury Bond ETF
$219,837,450$65,086,450 42.1%2,415,0006.6%ETF
Invesco QQQ stock logo
QQQ
Invesco QQQ
$211,014,000$211,014,000 New Holding450,0006.3%Finance
iShares iBoxx $ High Yield Corporate Bond ETF stock logo
HYG
iShares iBoxx $ High Yield Corporate Bond ETF
$157,780,000$90,723,500 -36.5%2,000,0004.7%ETF
AIRBNB INC
$147,294,224$147,294,224 New Holding154,000,0004.4%NOTE3/1
APOLLO GLOBAL MGMT INC
$121,095,315$73,391,100 153.8%1,650,0003.6%SER A MAND CNV
PDD HOLDINGS INC
$86,996,548$3,446,968 4.1%88,335,0002.6%NOTE12/0
Discover Financial Services stock logo
DFS
Discover Financial Services
$85,568,326$42,844,505 100.3%501,2792.6%Finance
iShares 7-10 Year Treasury Bond ETF stock logo
IEF
iShares 7-10 Year Treasury Bond ETF
$81,064,500$81,064,500 New Holding850,0002.4%ETF
AKAMAI TECHNOLOGIES INC
$78,247,544$40,868,144 109.3%78,500,0002.3%NOTE 0.125% 5/0
UBER TECHNOLOGIES INC
$72,129,889$37,168,572 106.3%67,906,0002.2%NOTE12/1
ZTO EXPRESS CAYMAN INC
$71,866,938$28,143,696 64.4%71,500,0002.2%NOTE 1.500% 9/0
HEWLETT PACKARD ENTERPRISE C
$67,114,0330.0%1,400,0002.0%7.625 MAND CONV
SPDR Bloomberg Convertible Securities ETF stock logo
CWB
SPDR Bloomberg Convertible Securities ETF
$64,904,802$64,904,802 New Holding847,1001.9%ETF
UNITED STATES STL CORP
$55,938,3080.0%17,635,0001.7%NOTE 5.000%11/0
AMERICAN AIRLINES GROUP INC
$54,013,459$23,048,415 -29.9%53,900,0001.6%NOTE 6.500% 7/0
SOUTHWEST AIRLS CO
$51,479,116$7,991,480 -13.4%51,534,0001.5%NOTE 1.250% 5/0
LUMENTUM HLDGS INC
$51,104,256$51,104,256 New Holding55,363,0001.5%NOTE 0.500% 6/1
ECHOSTAR CORP
$50,439,465$41,472,449 462.5%45,000,0001.5%NOTE 3.875%11/3
NCL CORP LTD
$49,703,072$988,624 -2.0%50,275,0001.5%NOTE 2.500% 2/1
FORD MTR CO
$46,986,768$4,405,010 10.3%48,000,0001.4%NOTE3/1
Omnicom Group Inc. stock logo
OMC
Omnicom Group
$46,197,286$46,197,286 New Holding557,1981.4%Business Services
Vanguard Intermediate-Term Corporate Bond ETF stock logo
VCIT
Vanguard Intermediate-Term Corporate Bond ETF
$44,968,000$44,968,000 New Holding550,0001.3%ETF
NEXTERA ENERGY INC
$43,469,100$22,942,025 -34.5%900,0001.3%UNIT 06/01/2027
Frontier Communications Parent, Inc. stock logo
FYBR
Frontier Communications Parent
$33,243,547$19,645,901 -37.1%927,0371.0%Computer and Technology
SEAGATE HDD CAYMAN
$33,164,643$33,164,643 New Holding27,500,0001.0%NOTE 3.500% 6/0
H&E Equipment Services, Inc. stock logo
HEES
H&E Equipment Services
$30,413,277$30,413,277 New Holding320,8490.9%Industrials
ANSYS, Inc. stock logo
ANSS
ANSYS
$29,561,639$2,534,696 9.4%93,3840.9%Computer and Technology
The AZEK Company Inc. stock logo
AZEK
AZEK
$29,245,998$29,245,998 New Holding598,2000.9%Construction
WAYFAIR INC
$27,206,330$8,961,454 49.1%25,350,0000.8%NOTE 3.500%11/1
PARSONS CORP DEL
$25,007,175$25,007,175 New Holding25,000,0000.7%NOTE 2.625% 3/0
NEXTERA ENERGY INC
$24,871,9150.0%550,0000.7%UNIT 11/01/2027
BRIDGEBIO PHARMA INC
$20,893,039$7,195,192 52.5%23,230,0000.6%NOTE 2.250% 2/0
COHEN CIRCLE ACQUISITION COR
$20,839,760$20,839,760 New Holding1,859,0330.6%SHS CL A
Mr. Cooper Group Inc. stock logo
COOP
Mr. Cooper Group
$19,762,943$19,762,943 New Holding165,2420.6%Finance
Amedisys, Inc. stock logo
AMED
Amedisys
$19,102,159$19,102,159 New Holding206,2200.6%Medical
DROPBOX INC
$18,753,095$18,753,095 New Holding19,000,0000.6%NOTE3/0
CONFLUENT INC
$18,556,266$18,556,266 New Holding20,074,0000.6%NOTE1/1
JAZZ INVESTMENTS I LTD
$17,646,510$8,304,240 -32.0%17,000,0000.5%NOTE 2.000% 6/1
THE REALREAL INC
$17,544,898$17,544,898 New Holding20,847,0000.5%DEBT 4.000% 2/1
COINBASE GLOBAL INC
$17,153,570$17,153,570 New Holding17,500,0000.5%NOTE 0.500% 6/0
ALBEMARLE CORP
$16,279,697$25,685,744 -61.2%450,0000.5%7.25% DEP SHS A
United States Steel Co. stock logo
X
United States Steel
$15,847,500$8,452,000 114.3%375,0000.5%Basic Materials
American Airlines Group Inc. stock logo
AAL
American Airlines Group
$15,825,000$15,825,000 New Holding1,500,0000.5%Transportation
Everi Holdings Inc. stock logo
EVRI
Everi
$15,096,082$4,101,000 37.3%1,104,3220.5%Business Services
DROPBOX INC
$14,304,308$6,412,276 81.3%14,500,0000.4%NOTE3/0
Triumph Group, Inc. stock logo
TGI
Triumph Group
$13,363,961$13,363,961 New Holding527,3860.4%Aerospace
DRAFTKINGS INC NEW
$13,145,9110.0%15,000,0000.4%NOTE3/1
FLUOR CORP
$12,807,084$12,807,084 New Holding12,000,0000.4%NOTE 1.125% 8/1
EXACT SCIENCES CORP
$12,249,453$1,848,974 17.8%13,250,0000.4%NOTE 0.375% 3/1
KraneShares CSI China Internet ETF stock logo
KWEB
KraneShares CSI China Internet ETF
$12,218,500$12,218,500 New Holding350,0000.4%Manufacturing
Altice USA, Inc. stock logo
ATUS
Altice USA
$11,704,000$1,330,000 12.8%4,400,0000.4%Computer and Technology
(IHS) stock logo
IHS
(IHS)
$10,975,958$6,689,962 -37.9%2,102,6740.3%Computer and Technology
Bitdeer Technologies Group stock logo
BTDR
Bitdeer Technologies Group
$10,619,382$10,619,382 New Holding1,202,6480.3%Business Services
Alibaba Group Holding Limited stock logo
BABA
Alibaba Group
$9,809,615$2,752,235 -21.9%74,1860.3%Retail/Wholesale
Capital One Financial Co. stock logo
COF
Capital One Financial
$8,965,000$8,965,000 New Holding50,0000.3%Finance
The Boeing Company stock logo
BA
Boeing
$8,527,500$8,527,500 New Holding50,0000.3%Aerospace
GREENFIRE RES LTD NEW
$8,211,2790.0%1,398,8550.2%COM SHS
EQT Co. stock logo
EQT
EQT
$8,017,652$10,018,125 -55.5%150,0590.2%Energy
NextNav Inc. stock logo
NN
NextNav
$8,000,825$6,390,077 396.7%657,4220.2%Business Services
Capri Holdings Limited stock logo
CPRI
Capri
$7,892,000$3,336,343 73.2%400,0000.2%Retail/Wholesale
ENVISTA HOLDINGS CORPORATION
$7,065,744$2,018,784 40.0%7,000,0000.2%NOTE 2.375% 6/0
EXACT SCIENCES CORP
$6,158,621$4,618,966 -42.9%7,000,0000.2%NOTE 0.375% 3/0
Bausch + Lomb Co. stock logo
BLCO
Bausch + Lomb
$5,890,872$5,890,872 New Holding406,2670.2%Medical
Spirit AeroSystems Holdings, Inc. stock logo
SPR
Spirit AeroSystems
$5,249,912$4,986,396 -48.7%152,3480.2%Aerospace
WAYFAIR INC
$4,920,800$4,920,800 New Holding5,000,0000.1%NOTE 3.250% 9/1
WAYFAIR INC
$4,681,255$46,091,637 -90.8%5,000,0000.1%NOTE 1.000% 8/1
Intel Co. stock logo
INTC
Intel
$4,383,030$14,920,470 -77.3%193,0000.1%Computer and Technology
NABORS INDS INC
$4,136,0270.0%6,105,0000.1%NOTE 1.750% 6/1
Uniti Group Inc. stock logo
UNIT
Uniti Group
$4,135,562$1,912,438 -31.6%820,5480.1%Finance
Caesars Entertainment, Inc. stock logo
CZR
Caesars Entertainment
$3,125,000$3,125,000 -50.0%125,0000.1%Consumer Discretionary
Berry Global Group, Inc. stock logo
BERY
Berry Global Group
$3,044,693$13,570,085 -81.7%43,6140.1%Industrials
Global X MSCI Argentina ETF stock logo
ARGT
Global X MSCI Argentina ETF
$3,028,875$1,009,625 50.0%37,5000.1%ETF
RIVIAN AUTOMOTIVE INC
$2,925,000$3,900,000 -57.1%3,000,0000.1%NOTE 4.625% 3/1
NEXTERA ENERGY CAP HLDGS INC
$2,892,625$2,892,625 New Holding2,500,0000.1%NOTE 3.000% 3/0
Radius Recycling, Inc. stock logo
RDUS
Radius Recycling
$2,888,000$2,888,000 New Holding100,0000.1%Business Services
Cameco Co. stock logo
CCJ
Cameco
$2,881,2000.0%70,0000.1%Basic Materials
NVIDIA Co. stock logo
NVDA
NVIDIA
$2,709,500$7,857,550 -74.4%25,0000.1%Computer and Technology
Digital Realty Trust, Inc. stock logo
DLR
Digital Realty Trust
$2,521,904$1,189,307 -32.0%17,6000.1%Finance
eHealth, Inc. stock logo
EHTH
eHealth
$2,004,000$980,070 -32.8%300,0000.1%Finance
Cloudflare, Inc. stock logo
NET
Cloudflare
$1,983,344$1,983,344 New Holding17,6000.1%Computer and Technology
TransAlta Co. stock logo
TAC
TransAlta
$1,866,821$1,866,821 New Holding200,0000.1%Utilities
Tripadvisor, Inc. stock logo
TRIP
Tripadvisor
$1,700,400$1,700,400 New Holding120,0000.1%Retail/Wholesale
Datadog, Inc. stock logo
DDOG
Datadog
$1,636,965$1,636,965 New Holding16,5000.0%Computer and Technology
SpringWorks Therapeutics, Inc. stock logo
SWTX
SpringWorks Therapeutics
$1,213,575$1,213,575 New Holding27,5000.0%Medical
Amcor plc stock logo
AMCR
Amcor
$1,103,860$1,103,860 New Holding113,8000.0%Industrials
Ecopetrol S.A. stock logo
EC
Ecopetrol
$1,044,000$1,044,000 New Holding100,0000.0%Energy
VROOM INC
$875,679$875,679 New Holding29,7850.0%COM NEW
Alarm.com Holdings, Inc. stock logo
ALRM
Alarm.com
$795,795$161,385 -16.9%14,3000.0%Industrials
Mind Medicine (MindMed) Inc. stock logo
MNMD
Mind Medicine (MindMed)
$585,000$585,000 New Holding100,0000.0%Medical
Vishay Intertechnology, Inc. stock logo
VSH
Vishay Intertechnology
$513,5710.0%32,3000.0%Computer and Technology
Hertz Global Holdings, Inc. stock logo
HTZWW
Hertz Global
$452,0000.0%200,0000.0%Industrials
Telephone and Data Systems, Inc. stock logo
TDS
Telephone and Data Systems
$364,078$364,078 New Holding9,3980.0%Utilities
TH INTERNATIONAL LIMITED
$293,000$293,000 New Holding100,0000.0%SHS NEW
FiscalNote Holdings, Inc. stock logo
NOTE
FiscalNote
$161,620$161,620 New Holding200,0000.0%Business Services
COHEN CIRCLE ACQUISITION COR
$45,000$45,000 New Holding25,0000.0%*W EXP 01/31/202
FISCALNOTE HOLDINGS INC
$25,860$25,860 New Holding150,0000.0%*W EXP 07/29/202
ROYAL CARIBBEAN GROUP
$0$217,991,553 -100.0%00.0%NOTE 6.000% 8/1
SEA LTD
$0$108,056,251 -100.0%00.0%NOTE 2.375%12/0
Kellanova stock logo
K
Kellanova
$0$56,522,971 -100.0%00.0%Consumer Discretionary

Showing largest 100 holdings. View all holdings.
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