Free Trial

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 $3.56 billion in total holdings as of December 31, 2022.
  • Sona Asset Management (Us) LLC owns shares of 110 different stocks, but just 28 companies or ETFs make up 80% of its holdings.
  • Approximately 44.27% of the portfolio was purchased this quarter.
  • About 40.61% of the portfolio was sold this quarter.
  • This quarter, Sona Asset Management (Us) LLC has purchased 97 new stocks and bought additional shares in 25 stocks.
  • Sona Asset Management (Us) LLC sold shares of 19 stocks and completely divested from 40 stocks this quarter.

Largest Holdings

APOLLO GLOBAL MGMT INC
$158,088,141
ALIBABA GROUP HLDG LTD
$134,330,274

Largest New Holdings this Quarter

01609WBG6 - ALIBABA GROUP HLDG LTD
$134,330,274 Holding
682189AU9 - ON SEMICONDUCTOR CORP
$109,865,024 Holding
78463V107 - SPDR Gold Shares
$100,593,900 Holding
82509LAA5 - SHOPIFY INC
$74,180,065 Holding

Largest Purchases this Quarter

ALIBABA GROUP HLDG LTD
105,301,000 shares (about $134.33M)
ON SEMICONDUCTOR CORP
118,500,000 shares (about $109.87M)
SPDR Gold Shares
330,000 shares (about $100.59M)
SHOPIFY INC
73,107,000 shares (about $74.18M)

Largest Sales this Quarter

Invesco QQQ
338,300 shares (about $186.62M)
iShares 20+ Year Treasury Bond ETF
1,498,500 shares (about $132.24M)
NEXTERA ENERGY INC
700,000 shares (about $33.05M)
AIRBNB INC
32,500,000 shares (about $31.37M)

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
$632,898,224$29,395,867 -4.4%5,774,09217.8%Finance
iShares iBoxx $ High Yield Corporate Bond ETF stock logo
HYG
iShares iBoxx $ High Yield Corporate Bond ETF
$171,300,600$10,000,600 6.2%2,124,0004.8%ETF
APOLLO GLOBAL MGMT INC
$158,088,141$33,876,030 27.3%2,100,0004.4%SER A MAND CNV
ALIBABA GROUP HLDG LTD
$134,330,274$134,330,274 New Holding105,301,0003.8%NOTE 0.500% 6/0
iShares 1-5 Year Investment Grade Corporate Bond ETF stock logo
IGSB
iShares 1-5 Year Investment Grade Corporate Bond ETF
$133,746,600$133,746,600 New Holding2,535,0003.8%Manufacturing
iShares 7-10 Year Treasury Bond ETF stock logo
IEF
iShares 7-10 Year Treasury Bond ETF
$117,318,250$35,913,750 44.1%1,225,0003.3%ETF
AIRBNB INC
$117,281,885$31,371,698 -21.1%121,500,0003.3%NOTE3/1
UBER TECHNOLOGIES INC
$115,720,674$34,252,149 42.0%96,456,0003.3%NOTE12/1
ON SEMICONDUCTOR CORP
$109,865,024$109,865,024 New Holding118,500,0003.1%NOTE 0.500% 3/0
FORD MTR CO
$104,754,818$57,318,674 120.8%106,000,0002.9%NOTE3/1
Vanguard Intermediate-Term Corporate Bond ETF stock logo
VCIT
Vanguard Intermediate-Term Corporate Bond ETF
$103,650,000$58,044,000 127.3%1,250,0002.9%ETF
SPDR Gold Shares stock logo
GLD
SPDR Gold Shares
$100,593,900$100,593,900 New Holding330,0002.8%Finance
iShares 20+ Year Treasury Bond ETF stock logo
TLT
iShares 20+ Year Treasury Bond ETF
$80,881,125$132,242,625 -62.0%916,5002.3%ETF
SHOPIFY INC
$74,180,065$74,180,065 New Holding73,107,0002.1%NOTE 0.125%11/0
HEWLETT PACKARD ENTERPRISE C
$70,903,099$11,817,183 -14.3%1,200,0002.0%7.625 MAND CONV
WESTERN DIGITAL CORP
$62,825,351$62,825,351 New Holding35,000,0001.8%NOTE 3.000%11/1
Invesco QQQ stock logo
QQQ
Invesco QQQ
$61,618,188$186,619,812 -75.2%111,7001.7%Finance
NCL CORP LTD
$60,319,724$10,007,420 19.9%60,275,0001.7%NOTE 2.500% 2/1
AMERICAN AIRLINES GROUP INC
$60,246,000$6,346,000 11.8%60,246,0001.7%NOTE 6.500% 7/0
WAYFAIR INC
$53,144,851$18,907,952 55.2%39,350,0001.5%NOTE 3.500%11/1
Frontier Communications Parent, Inc. stock logo
FYBR
Frontier Communications Parent
$52,512,024$18,767,877 55.6%1,442,6381.5%Computer and Technology
PNM Resources, Inc. stock logo
PNM
PNM Resources
$52,107,208$52,107,208 New Holding925,1991.5%Utilities
SHIFT4 PMTS INC
$50,754,422$50,754,422 New Holding440,0001.4%6 SER A CNV PREF
JAZZ INVESTMENTS I LTD
$45,016,111$27,818,945 161.8%44,500,0001.3%NOTE 2.000% 6/1
MIDDLEBY CORP
$44,966,120$44,966,120 New Holding40,000,0001.3%NOTE 1.000% 9/0
MICROCHIP TECHNOLOGY INC.
$36,876,525$36,876,525 New Holding37,500,0001.0%NOTE 0.750% 6/0
DEXCOM INC
$36,204,206$36,204,206 New Holding38,500,0001.0%NOTE 0.375% 5/1
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$29,347,875$29,347,875 New Holding47,5000.8%Finance
BRIDGEBIO PHARMA INC
$29,260,699$7,495,536 34.4%31,230,0000.8%NOTE 2.250% 2/0
SPOTIFY USA INC
$29,054,210$29,054,210 New Holding19,162,0000.8%NOTE3/1
AKAMAI TECHNOLOGIES INC
$28,054,382$28,054,382 New Holding29,500,0000.8%NOTE 1.125% 2/1
DRAFTKINGS INC NEW
$27,284,000$13,821,500 102.7%30,400,0000.8%NOTE3/1
COINBASE GLOBAL INC
$26,665,855$6,376,618 31.4%23,000,0000.7%NOTE 0.500% 6/0
ARK Innovation ETF stock logo
ARKK
ARK Innovation ETF
$26,358,750$26,358,750 New Holding375,0000.7%ETF
iShares Russell 2000 ETF stock logo
IWM
iShares Russell 2000 ETF
$21,579,000$21,579,000 New Holding100,0000.6%Finance
COHEN CIRCLE ACQUISITION COR
$20,393,5920.0%1,859,0330.6%SHS CL A
Amedisys, Inc. stock logo
AMED
Amedisys
$19,678,000$611,986 -3.0%200,0000.6%Medical
Skechers U.S.A., Inc. stock logo
SKX
Skechers U.S.A.
$19,420,224$19,420,224 New Holding307,7690.5%Consumer Discretionary
THE REALREAL INC
$17,794,776$1,378,097 8.4%22,597,0000.5%DEBT 4.000% 2/1
UnitedHealth Group Incorporated stock logo
UNH
UnitedHealth Group
$17,158,350$17,158,350 New Holding55,0000.5%Medical
NEXTERA ENERGY INC
$15,477,724$8,844,414 -36.4%350,0000.4%UNIT 11/01/2027
DROPBOX INC
$14,712,8170.0%14,500,0000.4%NOTE3/0
CLOUDFLARE INC
$14,089,569$14,089,569 New Holding11,882,0000.4%NOTE8/1
Cameco Corporation stock logo
CCJ
Cameco
$13,918,126$8,722,026 167.9%187,5000.4%Basic Materials
DROPBOX INC
$13,859,608$4,949,860 -26.3%14,000,0000.4%NOTE3/0
Bausch + Lomb Corporation stock logo
BLCO
Bausch + Lomb
$13,279,957$7,994,424 151.3%1,020,7500.4%Medical
FLUOR CORP
$13,143,730$2,628,746 -16.7%10,000,0000.4%NOTE 1.125% 8/1
EXACT SCIENCES CORP
$12,665,9660.0%13,250,0000.4%NOTE 0.375% 3/1
Caesars Entertainment, Inc. stock logo
CZR
Caesars Entertainment
$12,207,700$8,658,950 244.0%430,0000.3%Consumer Discretionary
TeraWulf Inc. stock logo
WULF
TeraWulf
$11,806,119$11,806,119 New Holding2,695,4610.3%Finance
TYLER TEX INDPT SCH DIST
$11,100,267$11,100,267 New Holding9,000,0000.3%NOTE 0.250% 3/1
CENTERPOINT ENERGY INC
$10,844,510$10,844,510 New Holding10,000,0000.3%NOTE 4.250% 8/1
ON SEMICONDUCTOR CORP
$10,667,574$10,667,574 New Holding9,000,0000.3%NOTE5/0
Altice USA, Inc. stock logo
ATUS
Altice USA
$10,171,080$755,080 8.0%4,752,8410.3%Computer and Technology
IHS Holding Limited stock logo
IHS
IHS
$10,022,868$1,668,000 -14.3%1,802,6740.3%Computer and Technology
Microsoft Corporation stock logo
MSFT
Microsoft
$9,948,200$9,948,200 New Holding20,0000.3%Computer and Technology
NEXTERA ENERGY INC
$9,444,232$33,054,812 -77.8%200,0000.3%UNIT 06/01/2027
EXACT SCIENCES CORP
$8,915,302$2,514,572 39.3%9,750,0000.3%NOTE 0.375% 3/0
Warner Bros. Discovery, Inc. stock logo
WBD
Warner Bros. Discovery
$8,878,062$8,878,062 New Holding774,7000.2%Consumer Discretionary
NextNav Inc. stock logo
NN
NextNav
$8,741,946$1,250,869 -12.5%575,1280.2%Business Services
American Axle & Manufacturing Holdings, Inc. stock logo
AXL
American Axle & Manufacturing
$8,472,936$8,472,936 New Holding2,076,7000.2%Auto/Tires/Trucks
Alibaba Group Holding Limited stock logo
BABA
Alibaba Group
$8,413,4350.0%74,1860.2%Retail/Wholesale
NVIDIA Corporation stock logo
NVDA
NVIDIA
$7,899,500$3,949,750 100.0%50,0000.2%Computer and Technology
Visa Inc. stock logo
V
Visa
$7,882,110$7,882,110 New Holding22,2000.2%Business Services
CORE SCIENTIFIC INC NEW
$7,869,270$7,869,270 New Holding461,0000.2%COM
Synopsys, Inc. stock logo
SNPS
Synopsys
$7,690,200$7,690,200 New Holding15,0000.2%Computer and Technology
Lumentum Holdings Inc. stock logo
LITE
Lumentum
$7,338,632$7,338,632 New Holding77,2000.2%Computer and Technology
WAYFAIR INC
$7,143,563$2,381,188 50.0%7,500,0000.2%NOTE 1.000% 8/1
Mirion Technologies, Inc. stock logo
MIR
Mirion Technologies
$6,760,420$6,760,420 New Holding314,0000.2%Business Services
Uniti Group Inc. stock logo
UNIT
Uniti Group
$6,641,352$3,096,585 87.4%1,537,3500.2%Finance
Global X Uranium ETF stock logo
URA
Global X Uranium ETF
$5,821,500$5,821,500 New Holding150,0000.2%ETF
V.F. Corporation stock logo
VFC
V.F.
$5,553,356$5,553,356 New Holding472,6260.2%Consumer Discretionary
GREENFIRE RES LTD NEW
$5,163,560$1,075,333 -17.2%1,157,7490.1%COM SHS
Seagate Technology Holdings PLC stock logo
STX
Seagate Technology
$4,964,952$4,964,952 New Holding34,4000.1%Computer and Technology
PALANTIR TECHNOLOGIES INC
$4,771,200$4,771,200 New Holding35,0000.1%CL A
Digital Realty Trust, Inc. stock logo
DLR
Digital Realty Trust
$4,741,776$1,673,568 54.5%27,2000.1%Finance
Intel Corporation stock logo
INTC
Intel
$4,323,2000.0%193,0000.1%Computer and Technology
Dollar Tree, Inc. stock logo
DLTR
Dollar Tree
$3,961,600$3,961,600 New Holding40,0000.1%Retail/Wholesale
Unity Software Inc. stock logo
U
Unity Software
$3,733,697$3,733,697 New Holding154,2850.1%Computer and Technology
Micron Technology, Inc. stock logo
MU
Micron Technology
$3,697,500$3,697,500 New Holding30,0000.1%Computer and Technology
PROGRESS SOFTWARE CORP
$2,900,430$2,900,430 New Holding2,500,0000.1%NOTE 3.500% 3/0
iShares MSCI Brazil ETF stock logo
EWZ
iShares MSCI Brazil ETF
$2,885,000$2,885,000 New Holding100,0000.1%ETF
iShares MSCI South Korea ETF stock logo
EWY
iShares MSCI South Korea ETF
$2,655,860$2,655,860 New Holding37,0000.1%ETF
D.R. Horton, Inc. stock logo
DHI
D.R. Horton
$2,578,400$2,578,400 New Holding20,0000.1%Construction
Hewlett Packard Enterprise Company stock logo
HPE
Hewlett Packard Enterprise
$2,556,251$2,556,251 New Holding125,0000.1%Computer and Technology
Lennar Corporation stock logo
LEN
Lennar
$2,544,030$2,544,030 New Holding23,0000.1%Construction
iShares MSCI Mexico ETF stock logo
EWW
iShares MSCI Mexico ETF
$2,422,400$2,422,400 New Holding40,0000.1%ETF
EQT Corporation stock logo
EQT
EQT
$2,332,800$6,418,641 -73.3%40,0000.1%Energy
National Vision Holdings, Inc. stock logo
EYE
National Vision
$2,301,000$2,301,000 New Holding100,0000.1%Consumer Staples
Global X MSCI Argentina ETF stock logo
ARGT
Global X MSCI Argentina ETF
$2,287,710$889,665 -28.0%27,0000.1%ETF
Dollar General Corporation stock logo
DG
Dollar General
$2,287,600$2,287,600 New Holding20,0000.1%Retail/Wholesale
TransAlta Corporation stock logo
TAC
TransAlta
$2,158,9000.0%200,0000.1%Utilities
Datadog, Inc. stock logo
DDOG
Datadog
$2,147,937$68,508 -3.1%15,9900.1%Computer and Technology
Kenvue Inc. stock logo
KVUE
Kenvue
$2,093,000$2,093,000 New Holding100,0000.1%Consumer Staples
AMC Networks Inc. stock logo
AMCX
AMC Networks
$2,031,323$2,031,323 New Holding323,9750.1%Consumer Discretionary
Ecopetrol S.A. stock logo
EC
Ecopetrol
$1,770,000$885,000 100.0%200,0000.0%Energy
TripAdvisor, Inc. stock logo
TRIP
TripAdvisor
$1,566,0000.0%120,0000.0%Retail/Wholesale
Compass Diversified Holdings stock logo
CODI
Compass Diversified
$1,274,840$1,274,840 New Holding203,0000.0%Finance
Amcor PLC stock logo
AMCR
Amcor
$1,045,8220.0%113,8000.0%Industrials
RH stock logo
RH
RH
$1,020,654$1,020,654 New Holding5,4000.0%Consumer Staples

Showing largest 100 holdings. View all holdings.
SEC Filings and Trading Data