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Portfolio (Quarterly) Guide ↗

QRG CAPITAL MANAGEMENT, INC.

· CIK 0001996454
13F Portfolio $9.0B AUM 1,077 positions Filed Feb 2, 2026 EDGAR ↗ ← All Funds
Q4 2025 Q3 2025 · All 86 New 732 Added 229 Reduced 40 Exited
Page 21 of 54  ·  1,077 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
401 EFV ISHARES TR 29,581.0 $2.1M 0.02% -1K -4.5% $71.41 +10.6%
402 F FORD MTR CO Consumer Cyclical 159,411.0 $2.1M 0.02% +95K +147.7% $13.12 +4.2%
403 BYD BOYD GAMING CORP Consumer Cyclical 24,409.0 $2.1M 0.02% +16K +197.5% $85.24 -6.6%
404 HEICO CORP NEW 8,142.0 $2.1M 0.02% +3K +49.3% $252.42
405 WDAY WORKDAY INC Technology 9,490.0 $2.0M 0.02% +1K +14.8% $214.78 -41.1%
406 SNN SMITH & NEPHEW PLC Healthcare 62,060.0 $2.0M 0.02% +12K +23.0% $32.81 -5.5%
407 FSLR FIRST SOLAR INC Energy 7,697.0 $2.0M 0.02% +152.0 +2.0% $261.23 -4.7%
408 CUK CARNIVAL PLC Consumer Cyclical 65,467.0 $2.0M 0.02% $30.33 -9.4%
409 TOST TOAST INC Technology 55,537.0 $2.0M 0.02% -8K -12.7% $35.51 -34.3%
410 EME EMCOR GROUP INC Industrials 3,218.0 $2.0M 0.02% +558.0 +21.0% $611.81 +38.8%
411 SMCI SUPER MICRO COMPUTER INC Technology 67,212.0 $2.0M 0.02% +39K +136.7% $29.27 +14.3%
412 CINF CINCINNATI FINL CORP Financial Services 12,013.0 $2.0M 0.02% +2K +20.9% $163.32 +3.1%
413 MLM MARTIN MARIETTA MATLS INC Basic Materials 3,151.0 $2.0M 0.02% +435.0 +16.0% $622.63 -13.6%
414 AN AUTONATION INC Consumer Cyclical 9,455.0 $2.0M 0.02% +7K +274.3% $206.49 -9.7%
415 BRO BROWN & BROWN INC Financial Services 24,432.0 $1.9M 0.02% +2K +7.6% $79.70 -26.6%
416 VTR VENTAS INC Real Estate 24,991.0 $1.9M 0.02% +2K +7.5% $77.38 +14.5%
417 MTB M & T BK CORP Financial Services 9,521.0 $1.9M 0.02% +3K +38.2% $201.48 +5.4%
418 EXPD EXPEDITORS INTL WASH INC Industrials 12,726.0 $1.9M 0.02% +1K +10.7% $149.01 +5.5%
419 GMAB GENMAB A/S Healthcare 61,261.0 $1.9M 0.02% +6K +11.2% $30.80 -12.2%
420 OHI OMEGA HEALTHCARE INVS INC Real Estate 42,460.0 $1.9M 0.02% +7K +21.4% $44.34 +8.8%
Page 21 of 54  ·  1,077 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 36.0%
Financial Services 13.1%
Communication Services 10.9%
Consumer Cyclical 10.5%
Healthcare 9.2%
Industrials 7.8%
Consumer Defensive 4.5%
Energy 2.6%
Utilities 2.1%
Real Estate 1.8%