ELV

ELV

ELV

Letters With This Ticker

Quarter Letter Date Fund Name QTD YTD Tickers Keywords/Themes Theme Commentary Pitches Letter
2025 Q3 Sep 30, 2025 Impax US Sustainable Economy Fund 7.3% 11.1% AAPL, AMZN, AVGO, CARR, ELV, GOOGL, INTC, JCI, JNJ, LLY, MA, MSFT, NVDA, ORCL, PFE, PGR, TT, V AI, Cloud, large cap, Quality, semiconductors, sustainability, technology
2025 Q2 Aug 5, 2025 Auxier Asset Management 2.5% 8.7% ABT, BAC, BDX, BK, BKNG, BRK.B, CAE, CI, ELV, GLW, GOOGL, KR, LINC, MA, META, MSFT, PM, UNH, V, ZBH AI, Buybacks, healthcare, tariffs, technology, Travel, value BKNG
GOOGL
GOOGL
2025 Q2 Aug 27, 2025 First Eagle Global Fund 7.2% - 7309.T, BABA, CHRW, CMCSA, CRM, ELV, GOOGL, ORCL, PM AI, Geopolitical, global, gold, monetary policy, technology, Valuations CRM
CMCSA
PM
ELV
7309.T
CHRW
BABA
GOOGL
ORCL
BABA
WTW
SLB
BDX
TSM
META
ORCL
2024 Q2 Aug 12, 2024 Eagle Capital Management 5.1% 18.6% AA, AAPL, AER, AMZN, AON, CHTR, CMCSA, COF, COP, DFS, ELV, GE, GEV, GOOGL, GS, HLT, HUM, LLY, META, MSFT, NVDA Concentration, large cap, Passive, S&P 500, technology, valuation
2024 Q2 Jul 9, 2024 Sequoia Fund 7.1% 20.8% CHTR, CSU.TO, ELV, FWONA, GOOGL, ICE, LBRDK, RR.L, SCHW, TSM, UMG.AS, UNH concentrated, long-term, Quality, value
2025 Q2 Jul 27, 2025 Hotchkis & Wiley Global Value Fund 6.9% 13.3% AIG, BAB.L, CMCSA, D, ELV, ERIC, FFIV, GEHC, GM, HEIA.AS, JDEP.AS, KHC, NOV, UNH, WDAY energy, financials, global, healthcare, industrials, technology, value KHC
NOV
ELV
JDEP.AS
UNH
BAB.L
2025 Q2 Jul 22, 2025 Polaris Global Equity 8.4% 12.8% 000270.KS, 000660.KS, 005930.KS, 055550.KS, 066570.KS, 8002.T, 8306.T, ABBV, ALSN, BARN.SW, BKT.MC, CAP.PA, COF, CTC.TO, DG.PA, ELE.MC, ELV, GNC.L, IAG.L, IETB.BR, JAZZ, JDEP.AS, JPM, LKQ, LTM, LUN.TO, MKSI, NXT.L, OTEX, SNY, TSN, UNH, YAR.OL Airlines, diversification, Europe, financials, global, semiconductors, Trade, value UNH
GNC LN
000660 KS
8002 JP
2025 Q2 Jul 22, 2025 Madison Investors Fund 3.1% 2.3% A, ABNB, ACGL, ACN, ADI, ALC, AMZN, BN, CDW, CHTR, CPRT, DE, DHR, ELV, FERG, FI, GOOGL, IT, KEYS, LBRDA, LOW, MMC, MSCI, NKE, PCAR, PGR, PH, SBUX, SCHW, TJX, TXN, V consumer, financials, industrials, large cap, Quality, technology, value MSCI
CDW
ABNB
ACGL
FI
ADI
FERG
2025 Q2 Jul 21, 2025 The Davenport Core Leaders Fund 11.1% 7.3% AAPL, ACN, AMZN, AVGO, EA, ELV, GOOGL, ISRG, META, MSFT, NOW, NVDA, NVO, ORCL, SPOT, TEL, UNH, UPS, WMT, XOM AI, growth, large cap, momentum, technology, Valuations, value PWR
NVDA
2025 Q2 Jul 21, 2025 The Davenport Value & Income Fund 2.6% 6.5% AAPL, ACN, AMZN, AVGO, EA, ELV, GOOGL, ISRG, META, MSFT, NOW, NVDA, NVO, ORCL, ROK, SPOT, TEL, UNH, UPS, XOM AI, earnings, Federal Reserve, momentum, small caps, technology, Valuations
2024 Q2 Jul 10, 2024 Artemis US Select Fund 2.4% 20.1% AAPL, BLDR, COHR, ELV, GOOGL, LW, META, MU, NVDA, SAIA, SYK, TSLA, WDC AI, growth, large cap, semiconductors, technology, US NVDA
2024 Q1 May 13, 2024 Artemis Global Select Fund 10.8% 10.8% 3690.HK, AMD, AMZN, BKR, CPRI.MI, ELV, HDB, INTC, META, MU, NESN.SW, NVDA, PDD, RVTY, RYAAY, TMO AI, China, consumer, financials, global, healthcare, semiconductors, technology
2025 Q1 Apr 8, 2025 GreensKeeper Value Fund 3.0% 3.0% AXP, BRK-B, CFR.SW, CHKP, ELV, FI, GOOG, ICE, ICLR, LULU, SPGI, V, VRTX Buybacks, financials, healthcare, Quality, technology, Trade Policy, value ICLR
GOOG
CHKP
VRTX
BRK-B
2024 Q1 Apr 24, 2024 Sequoia Fund 7.1% 20.8% COF, CSU.TO, ELV, FWONA, GOOGL, ICE, RYCEY, SAP, SCHW, TSM, UMG.AS, UNH financials, healthcare, semiconductors, software, technology
2026 Q1 Apr 20, 2026 Pelican Bay Capital Management 4.3% 4.3% BLDR, ELV, EOG, FANG, FDS, FIS, MU, SLB, ULTA, ZM Concentration, energy, oil, Quality, software, value ZM
2026 Q1 Apr 17, 2026 Polaris Global Equity 5.9% 5.9% 000660 KS, 005930 KS, ARW, CAP.PA, COF, DNB.OL, E, ELV, GILD, LNTH, LUN.TO, MEOH, MKSI, MPC, NVDA, SLM, TTE, UTHR, WBS, YAR.OL AI, diversification, energy, Fertilizers, Geopolitical, global, semiconductors, value
2024 Q1 Apr 15, 2024 The Sound Shore Fund 6.7% 21.1% BBWI, BKR, BRK-B, CAH, CNC, COF, ELV, FIS, GEHC, GM, HOLX, KHC, KMI, KR, LEN, MRK, OGN, PFE, PRGO, PVH, TEVA, TTE, WFC, WTW Adaptability, contrarian, energy, large cap, Utilities, value AYI
TEVA
CEG
VST
2026 Q1 Apr 13, 2026 The Davenport Value & Income Fund 1.9% 1.9% ACN, BDX, CMCSA, CSCO, CVX, ELV, ENB, FDX, NEE, NSC, NVO, SLB, TXN, UNH, UNP, VSNT, WAT, WY, XOM AI, dividends, energy, Geopolitical, income, infrastructure, large cap, value
2025 Q1 Apr 10, 2025 Sequoia Fund 4.4% 4.4% AHT.L, CSU.TO, ELV, ERF.PA, FWONA, GOOGL, ICE, RR.L, SCHW, UMG.AS, UNH concentrated, domestic, large cap, mid cap, value
2025 Q1 Mar 31, 2025 The Davenport Value & Income Fund 3.8% 3.8% AVY, BAM, BMY, BRK.B, BUD, CMCSA, CVX, ELV, FDX, HP, HSY, JNJ, LHX, NEE, NSC, ORCL, PM, SNY, STZ, UPS Buybacks, Consumer Staples, Defensive, dividends, healthcare, value
2025 Q1 Mar 31, 2025 Hotchkis & Wiley Global Value Fund 6.0% 6.0% AIG, BAB.L, CMCSA, CVS, D, ELV, ERIC, FFIV, FIS, GOOGL, HEINY, SHEL, SIE.DE, WDAY, WPP Europe, global, healthcare, industrials, Outperformance, technology, valuation, value WDAY
GOOGL
WPP
SIE.DE
BAB.L
CVS
2025 Q1 Mar 31, 2025 Hotchkis & Wiley Large Cap Fundamental Value 2.5% 2.5% AIG, APA, C, CMCSA, CVS, D, ELV, ERIC, FFIV, GM, GOOGL, MGA.TO, OLN, WFC earnings, healthcare, large cap, Quality, valuation, value
2025 Q1 Mar 31, 2025 Eagle Capital Management 0.7% 0.7% AA, AER, AMZN, AON, BAYRY, CHTR, CMCSA, COF, COP, DFS, EL, ELV, GE, GEV, GOOGL, HLT, HUM, INTU, LBRDK, LEN AI, diversification, Geopolitical, long-term, Recession, tariffs, uncertainty, value
2025 Q1 Mar 31, 2025 Orbis Global Equity - - 035720.KS, ELV, GMAB, NVDA Concentration, contrarian, global, technology, US, value
2024 Q1 Mar 31, 2024 Orbis Global Equity - - CPAY, ELV, GOOGL, GPN, GXO, HUM, IBKR, UNH Bottom-up, healthcare, Managed Care, US, valuation, value ELV
UNH
2023 Q4 Feb 21, 2024 Eagle Capital Management 10.2% 38.1% AMZN, AON, BAYRY, C, CHTR, CMCSA, COF, COP, ELV, GE, GOOGL, GS, HLT, IAC, LBRDK, MAR, META, MSFT, NFLX, OXY energy, fiscal policy, inflation, Long Term, technology, value
2024 Q4 Feb 11, 2025 Artemis Global Select Fund 2.7% 10.1% 6861.T, AENA.MC, AMZN, AVGO, AXP, DG.PA, DGE.L, EL, ELV, FI, GOOGL, NVO, OTIS, TSLA, TSM, UBER, VMC, WFC financials, global, industrials, infrastructure, payments, tariffs, technology OTIS
WFC
VMC
AXP
2025 Q4 Feb 10, 2026 Fairtree Global Equity Fund 1.7% - 6723.T, AAPL, ADP, AMAT, AMZN, BABA, ELV, EVO.ST, FI, GOOGL, HAR.JO, IMP.JO, MC.PA, META, MSFT, NPN.JO, NVDA, PDD, PM, TSM AI, emerging markets, global, rates, semiconductors, technology
2024 Q4 Dec 31, 2024 Oakmark Fund- International Small Cap 2.0% 16.0% ABNB, CE, CG, CNC, CRM, DIS, EBAY, ELV, GEHC, GM, GS, HLT, IQV, KDP, MO, PHM, TFC, WFC Banking, Buybacks, financials, healthcare, large cap, Quality, technology, value KDP
GEHC
ELV
CG
ABNB
CNC
WFC
2024 Q4 Dec 31, 2024 Oakmark Global Select Fund -5.0% 4.7% 005930.KS, BAC, BAYRY, CNC, COF, DEO, ELV, FI, GOOGL, IQV, SCHW Beverages, consumer, financials, global, healthcare, regulation, value ELV
DEO
SCHW
BAYRY
COF
2024 Q4 Dec 31, 2024 Oakmark Global Fund -5.8% 2.5% A, BAYRY, BDX, CAP.PA, CNC, COF, DSV.CO, DTG.DE, ELV, GM, GOOGL, IPG, MTN consumer discretionary, Europe, financials, global, healthcare, Restructuring, value MTN
ELV
DSV.CO
BDX
BAYRY
COF
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Small Cap -7.3% 1.3% AMZN, CCK, CG, CRM, EG, ELV, FBHS, GOOGL, HEIA.AS, LYV, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH Building Products, discount, Europe, Foodservice, Margin Of Safety, small caps, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Large Cap -0.1% 17.5% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.PA, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH Alternative Asset Managers, global, healthcare, large cap, Margin Of Safety, technology, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Small Cap -2.5% 13.6% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.AS, KKR, LYV, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SW.ST, UNH Alternative Asset Managers, Concentration, healthcare, insurance, international, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Focus Plus 6.3% 26.1% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.AS, KKR, LYV, MEDP, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH concentrated, Intrinsic Value, large cap, long-term, Margin Of Safety, value
2024 Q4 Dec 31, 2024 Vulcan Value Partners – Focus Plus 7.4% 27.5% AMZN, CCK, CG, CRM, ELV, FBHS, GOOGL, HEIA.AS, KKR, LYV, MIDD, PBH.TO, PGHN.SW, QRVO, RE, RI.PA, RTO.L, SDIP.ST, SW.PA, UNH Alternative Asset Managers, Cloud, Concentration, Discipline, insurance, large cap, value
2024 Q4 Dec 31, 2024 Madison Investors Fund -0.4% 16.4% A, ACGL, ADI, ALC, AMZN, BRK.B, CPRT, DLTR, ELV, FERG, FI, GOOGL, KEYS, LOW, PCAR, PGR, PH, SCHW, TXN, V consumer, healthcare, industrials, payments, Quality, technology, value
2024 Q4 Dec 31, 2024 Distillate Capital International - -0.3% ABT, ADBE, AMGN, AVGO, BMY, CRM, CSCO, CVS, DKS, ELV, GDDY, HCA, HII, MO, NVDA, PG, QRVO, TMUS, UNH, WSM AI, Concentration, Quality, risk management, small caps, valuation, value
2024 Q4 Dec 31, 2024 Distillate Capital Large Cap Value - 13.3% ABT, ADBE, AMGN, AVGO, BKNG, BMY, CI, CRM, CSCO, CVS, DKS, ELV, GDDY, HCA, HII, MO, PG, QRVO, TMUS, UNH, WSM cash flow, fundamentals, large cap, Quality, risk, valuation, value
2024 Q4 Dec 31, 2024 Distillate Capital Small/Mid Cap Quality & Value - 2.9% ABT, ADBE, AMGN, AVGO, BKNG, BMY, CI, CRM, CSCO, CVS, DKS, ELV, GDDY, HCA, HII, MO, PG, QRVO, TMUS, UNH, WSM free cash flow, fundamentals, Quality, small caps, valuation, value
2024 Q4 Dec 31, 2024 Polaris Global Equity -5.8% 6.2% 000660.KS, 005930.KS, 066570.KS, 6758.T, ALSN, CFR, COF, CROX, CVS, ELV, GD, GILD, JAZZ, JPM, ML.PA, SAIC, SBH, SLM, TGLS, UNH banks, financials, Geopolitical, global, inflation, value
2024 Q4 Dec 31, 2024 Hotchkis & Wiley Large Cap Fundamental Value -0.9% 12.8% APA, C, CMCSA, CVS, ELV, ERIC, FFIV, GM, MDT, OLN, WFC Defensive, financials, healthcare, large cap, valuation, value OLN
CVS
ELV
WFC
GM
FFIV
2024 Q4 Dec 31, 2024 Hotchkis & Wiley Global Value Fund -3.0% 9.4% 005930.KS, AIG, CMCSA, CVS, ELV, ERIC, FFIV, GM, GOOGL, MDT, SIEGY, WDAY, WPP global, healthcare, industrials, semiconductors, technology, value GM
FFIV
005930.KS
CVS
ELV
2024 Q4 Dec 31, 2024 Impax US Sustainable Economy Fund -0.8% 20.4% AAPL, AMZN, APD, AVGO, DHI, ELV, GILD, GOOGL, HIG, HUBS, LII, MA, MSFT, NVDA, PGR, TEAM, TSLA, UNP, V, ZTS AI, Biotechnology, Energy Efficiency, Esg, healthcare, large cap, sustainability, technology
2024 Q4 Dec 31, 2024 ClearBridge Investments Large Cap Value - - AVGO, AXP, BAC, BDX, COF, CVS, DE, ELV, INTC, JPM, MCHP, MCK, ORCL, PEP, SRE, TMO, UNH, V, XPO financials, healthcare, materials, Quality, technology, Utilities, value
2023 Q4 Dec 31, 2023 Auxier Asset Management 7.4% 0.0% ABT, ACGL, AFL, AIG, AON, BAC, BK, BKNG, BRK-A, C, ELV, GOOGL, KR, MA, MCD, MDLZ, MMC, MRK, MSFT, PM, TRV, UNH, V, WFC AI, Banking, energy, healthcare, insurance, small caps, technology, value
2024 Q3 Nov 19, 2024 Eagle Capital Management - - AMZN, AON, CHTR, CMCSA, COF, COP, DFS, ELV, GEV, GOOGL, GS, HLT, HUM, META, MSFT, NFLX, OXY, SAP, TSM, WWD aerospace, Aftermarket, growth, Quality, value WWD
2024 Q3 Nov 19, 2024 Artemis Global Select Fund -3.7% - 0700.HK, 2020.HK, 3690.HK, 6273.T, AAPL, AMZN, CEG, ELV, GOOGL, MTX.DE, NVO, SNPS, TCOM, TXN China, Cloud, healthcare, semiconductors, Stimulus, technology, Valuations 6273.T
0700.HK
2608.HK
SNPS
AMZN
2023 Q3 Nov 16, 2023 Auxier Asset Management 7.4% 0.0% AFL, AIG, AON, BP, BRK-A, COP, CVX, ELV, KR, LLY, MA, MCD, MDT, MMC, MRK, MSFT, NVO, PEP, PM, PSX, SBUX, TRV, TSM, UNH, V, VLO energy, healthcare, insurance, rates, technology, value
2025 Q3 Oct 7, 2025 Oakmark Fixed Income - - ARE, CNC, CVS, ELV, UNH credit, fixed income, fundamentals, healthcare, Simplicity, value CVS US
CNC US
ARE US
2025 Q3 Oct 28, 2025 Hotchkis & Wiley Global Value Fund 5.3% 19.2% AIG, CMCSA, D, ELV, ERIC, FFIV, GEHC, GOOGL, HEIA.AS, JDEP.AS, UNH, WBD, WDAY, WPP.L AI, financials, global, healthcare, Media, technology, value
2025 Q3 Oct 28, 2025 Hotchkis & Wiley Large Cap Fundamental Value 6.4% 12.0% AIG, APA, C, CMCSA, ELV, ERIC, FFIV, GEHC, GM, GOOGL, WBD, WDAY, WPP.L energy, financials, large cap, Quality, technology, value
2025 Q3 Oct 22, 2025 First Eagle Global Fund 8.9% 24.9% 7309.T, BABA, CHRW, CMCSA, CRM, ELV, GOOGL, ORCL, PM AI, Geopolitical, global, gold, risk management, technology, value CRM
CMCSA
PM
ELV
7309 JP
CHRW
BABA
GOOG
ORCL
CRM
CMCSA
PM
ELV
7309 JP
CHRW
BABA
GOOG
ORCL
2025 Q3 Oct 20, 2025 Baillie Gifford – International Alpha 6.7% 19.5% APP, ATCO-A.ST, BHP, COIN, EDEN.PA, ELV, ENSG, ENTG, GMAB, LLY, MEDP, MSCI, NVO, SHOP, SOI.PA, UNH AI, Biotechnology, E-Commerce, global, growth, healthcare, Performance, technology
2025 Q3 Oct 20, 2025 The Davenport Core Leaders Fund 3.2% - AAPL, ACN, AMZN, AVGO, EA, ELV, GOOGL, ISRG, META, MSFT, NOW, NVDA, NVO, ORCL, SPOT, TEL, UNH, UPS, WMT, XOM AI, earnings, Fed policy, momentum, small caps, technology, Valuations NVO
NVDA
2025 Q3 Oct 20, 2025 The Davenport Value & Income Fund 5.2% - AAPL, ACN, AMZN, AVGO, EA, ELV, GOOGL, ISRG, META, MSFT, NOW, NVDA, NVO, ORCL, ROK, SPOT, TEL, UNH, UPS, XOM AI, dividends, large cap, momentum, technology, Valuations, value
2025 Q3 Oct 20, 2025 Pelican Bay Capital Management 7.8% 11.2% CPAY, CVS, ELV, EOG, FANG, FIS, GOOGL, KNSL, MU, ODFL, ON, TOL, ULTA, UNH AI, energy, gold, healthcare, insurance, technology, Trucking, value ELV
ODFL
GOOG
MU
ELV
ODFL
MU
2025 Q3 Oct 19, 2025 EdgePoint Global - - 6702.T, AAPL, ALFA.ST, AME, AMG, AMS.PA, AMZN, APO, ATD.TO, AVGO, BAC, BAES.L, BERY, BKNG, BN.TO, CFR.SW, CSX, ELV, FFH.TO, FLS, FNV.TO, GIB.A.TO, GOOGL, ICE, JLL, LECO, MAT, META, MIDD, MMC, MSFT, MSI, NFLX, NSC, NVDA, PEY.TO, PM, PSMT, QCOM, QSR, RBA.TO, ROST, SAF.PA, SAP, TEL, TSM, UNVR, VRTX active management, AI, Concentration, global, Quality, technology, value Franco-Nevada Corporation
Mattel Inc.
SAP SE
TE Connectivity plc
AMA SM
2025 Q3 Oct 16, 2025 Polaris Global Equity 5.0% 18.5% 000660.KS, 005930.KS, 055550.KS, 5019.T, 6758.T, 8306.T, 8591.T, ABBV, ALSN, BARRY.SW, BPOP, CAP.PA, CG, CVS, DHL.DE, DTG.DE, ELV, GD, IAG.L, IPS.PA, JAZZ, LKQ, LNTH, LUN.TO, MEOH, MG, MKSI, MNDI.L, MPC, NEE, PUB.PA, SBH, SLM, UNH, UTHR, VIPS AI, Energy Transition, financials, global, healthcare, semiconductors, Trade Policy, Valuations
2025 Q3 Oct 14, 2025 Madison Investors Fund -2.2% -0.1% A, ABNB, ACGL, ACN, ADI, ALC, AMZN, BN, CDW, CHTR, CPRT, DE, DHR, ELV, FERG, FI, GOOGL, IT, KEYS, LBRDA, LOW, MMC, MSCI, NKE, PCAR, PGR, PH, SBUX, SCHW, TJX, TXN, V financials, industrials, large cap, Quality, technology, value
2025 Q3 Oct 14, 2025 Harding Loevner Global Equity 2.5% 10.6% 0700.HK, 1299.HK, 2308.TW, 300760.SZ, 4519.T, 6146.T, 6758.T, 6861.T, ABBV, ACN, ADBE, ALC, ALFA.ST, AME, AMZN, APH, ASML, ATCO-A.ST, ATD.TO, ATKR, AVGO, BKNG, CME, CPG.L, CSGP, D05.SI, DE, DHR, DPLM.L, ELV, EPI-A.ST, GLOB, GMAB, GOOGL, HDB, HEI, HLN.L, HON, JNJ, META, MSFT, NFLX, NOC, NOW, NVDA, PGR, ROG.SW, SAP, SGSN.SW, SHEL, SLB, SNPS, SU.PA, TMO, TSM, TTD, TW, V, VRTX, WMMVY AI, diversification, global, healthcare, momentum, technology, valuation TCEHY US
GOOGL US
TMO US
ELV US
VRTX US
ACN US
2025 Q3 Oct 14, 2025 Sequoia Fund 1.6% 21.6% COF, CSU.TO, ELV, ERF.PA, FWONA, GOOGL, J, META, RR.L, SCHW, TSM, UMG.AS financials, healthcare, Media, semiconductors, technology
2024 Q3 Oct 14, 2024 Sequoia Fund 7.1% 20.8% CSU.TO, ELV, FWONA, GOOGL, ICE, RR.L, SAP.DE, SCHW, TSM, UNH Concentration, financials, healthcare, industrials, technology
2023 Q2 Oct 7, 2023 Sequoia Strategy 7.1% 20.8% CACC, COF, CSU.TO, ELV, ERF.PA, GOOGL, ICE, J, KMX, LBRDK, LMCA, META, MU, NFLX, SCHW, UMG.AS, UNH concentrated, domestic, large cap, Portfolio Management, value
2025 Q4 Jan 30, 2026 Sequoia Fund 0.4% 22.1% ACN, AHT.L, ALGN, COF, CSU.TO, ELV, ERF.PA, GOOGL, ICE, JEC, META, MSA, RR.L, SCHW, TSM, UMG.AS, UNH AI, Concentration, defense, healthcare, long-term, Quality, technology, value ELV
UNH
GOOG
RR LN
ALGN
ACN
MSA
2025 Q4 Jan 30, 2026 Unison Asset Management 0.0% 0.0% AAPL, AMAT, AXP, BAC, BRK-B, CDW, DE, ELV, GOOGL, JPM, LMT, META, NOC, NU, NVDA, ONON, TSLA, TSM, UNH, WFC AI, Cloud, Long Term, semiconductors, technology, value AMRZ
HOLN SW
NU
ONON
BRK.B
TSM
GOOGL
2025 Q4 Jan 29, 2026 Hotchkis & Wiley Global Value Fund 3.8% 23.8% AIG, BNP.PA, CMCSA, CRM, ELV, ERIC, FFIV, FISV, GEHC, GOOGL, UNH, USB, WBD, WDAY AI, financials, global, healthcare, software, technology, valuation, value
2024 Q4 Jan 28, 2025 Artemis US Select Fund 10.8% 29.5% AAPL, AMZN, AVTR, BLDR, CEG, COHR, CPRI, ELV, FI, FWONK, GS, IP, KKR, LIN, NVDA, SAIA, TPG, UNH, VST, WMT AI, Capital markets, energy, large cap, stock selection, technology, Trump
2025 Q4 Jan 23, 2026 GreensKeeper Value Fund 0.0% 0.0% ADBE, AXP, BRK-B, CBOE, CFRUY, CHKP, ELV, FISV, GOOG, ICE, ICLR, LULU, MRK, NVO, SPGI, V, VRTX AI, Concentration, Discipline, financials, Luxury, technology, value ADBE
ICLR
NVO
LULU
FISV
CFRUY
AXP
GOOG
2025 Q4 Jan 20, 2026 Meditation Capital 0.0% 0.0% ELV, GTLB, MOH AI, Health Insurance, Margins, Medicaid, technology, value MOH
ELV
2025 Q4 Jan 20, 2026 Harding Loevner Global Equity 1.9% 12.7% 0700.HK, 1299.HK, 2308.TW, 300124.SZ, 300760.SZ, 4519.T, 6758.T, 6861.T, ABBV, ACN, ADBE, ALFA.ST, AME, AMZN, APH, ASML, ATCO-A.ST, ATD.TO, ATKR, AVGO, BKNG, CME, COMP.L, CSGP, D05.SI, DE, DHR, DPLM.L, EFX, ELV, EPI-A.ST, FN, GMAB, GOOGL, HDFCBANK.NS, HEI, HLN.L, HON, JNJ, META, MSFT, NFLX, NOC, NVDA, PGR, ROG.SW, SAP, SGSN.SW, SHEL, SLB, SU.PA, TMO, TSM, TTD, TW, V, VRTX, WMMVY AI, global, international, semiconductors, technology, value GOOG
2025 Q4 Jan 18, 2026 Distillate Capital Fundamental Stability & Value 0.0% 0.0% BMY, CAH, CSCO, ELV, FFIV, FI, GPS, HCA, JBHT, JNJ, LOW, MO, MPC, MRK, REGN, TDC, TEL, TMUS, UBER, VST free cash flow, fundamentals, international, Quality, rebalancing, small caps, valuation, value
2025 Q4 Jan 18, 2026 Distillate Capital Small/Mid Cap Quality & Value 0.0% 0.0% BMY, CAH, CSCO, ELV, FFIV, FI, GPS, HCA, JBHT, JNJ, LOW, MO, MPC, MRK, REGN, TDC, TEL, TMUS, UBER, VST free cash flow, fundamentals, Quality, rebalancing, small cap, valuation, value
2025 Q4 Jan 18, 2026 Distillate Capital Large Cap Value 0.0% 8.6% 000660.KS, 005930.KS, BMY, CAH, CSCO, ELV, FFIV, FI, HCA, JBHT, JNJ, LOW, MO, MPC, MRK, REGN, TEL, TMUS, UBER, VST FCF, fundamentals, international, Quality, rebalancing, small caps, valuation, value
2025 Q4 Jan 15, 2026 Baillie Gifford – International Alpha -1.7% 17.5% ADYEY, AMZN, APP, CRH, DASH, ELV, ENSG, FTAI, GOOGL, MA, META, MLM, MSCI, MSFT, NFLX, NVDA, RPRX, RYAAY, SCI, TSM AI, global, growth, long-term, Quality, technology IOT
QXO
GAW
AG1 GR
AUTO LN
TSM
6525 JP
DG
META
SE
2024 Q4 Jan 12, 2025 GreensKeeper Value Fund - 23.6% AXP, BRK.B, CBOE, CFR.SW, CHKP, CSCO, ELV, FI, GD, GOOGL, HSY, ICE, LMT, LULU, MC.PA, MRK, SHVA.TA, SPGI, V, VRTX global, healthcare, insurance, payments, Quality, technology, value
2024 Q3 Sep 30, 2024 Hotchkis & Wiley Global Value Fund 5.6% 12.8% 005930.KS, AC.PA, CVS, ELV, ERIC, FFIV, GOOGL, MDT, QAN.AX, SIE.DE, WDAY, WLN.PA, WPP energy, financials, global, semiconductors, technology, Utilities, value GOOGL
WLN.PA
005930.KS
QAN.AX
ERIC
FFIV
2022 Q3 Sep 30, 2022 Artisan Focus Fund 7.0% 28.7% ELV, UNH -
2022 Q3 Sep 11, 2022 Vulcan Value Partners – Large Cap 8.2% 17.6% APP, ARES, ELV, NVDA -
2022 Q4 Aug 2, 2023 Sequoia Strategy 7.1% 20.8% BATRA, CACC, CSU CN, ELV, ERF FP, GOOG, ICE, SCHW, UMG, UNH -
2023 Q2 Jul 31, 2023 Vulcan Value Partners – Large Cap 8.2% 17.6% AMZN, CSGP, CWK, DNB, ELV, ENS, FI, G, GE, GOOGL, MEDP, MLKN, MSFT, PRG, SMRT, SSNC, TDG, UPS AI, Cloud, free cash flow, large cap, payments, technology, value CHKP. ELV
ENS
PRG
MEDP
SFR
DNB
^GSPC
SSNC
FISV
2023 Q2 Jul 31, 2023 Vulcan Value Partners – Small Cap 9.1% 9.4% AMZN, CRNC, CSGP, CW, CWK, DNB, ELV, ENS, FI, G, GE, GOOGL, MEDP, MLKN, MSFT, PRG, SMRT, SSNC, TDG, UPS AI, Cloud, free cash flow, healthcare, payments, small cap, technology, value
2024 Q2 Jul 19, 2024 GreensKeeper Value Fund 4.7% 16.7% AAPL, AMZN, BRK-B, CFRUY, ELV, FI, GOOGL, HSY, META, MSFT, NVDA, TSLA, V, VRTX AI, Concentration, long-term, Quality, technology, value V
BRK.B
ELV
VRTX
GOOGL
2024 Q2 Jun 30, 2024 Polaris Global Equity 6.9% 12.7% 000270.KS, 000660.KS, 066570.KS, 2338.HK, 8001.T, 8002.T, ALSN, ANTO.L, BARN.SW, CG, CVS, DG.PA, DTG.DE, ELV, FTK.DE, GNC.L, JAZZ, LKQ, LUN.TO, MEOH, MG, MPC, MSFT, MUV2.DE, NEE, NVS, OTEX, SRBANK.OL, SVEG.OL, TEP.PA, TSN, U11.SI, UNH, UTHR, WBS, WMB AI, Copper, Energy Transition, financials, global, healthcare, value
2023 Q1 May 23, 2023 ClearBridge Investments Large Cap Value 0.0% 0.0% AXP, BAC, BDX, COP, CVX, DISH, ELV, GOOGL, HON, JNJ, JPM, MCK, META, MSFT, MSI, PGR, SCHW, TEL, UNH, USB Banking, financials, healthcare, large cap, Quality, technology, value MCK
ADI|BDX|FI|FND|HAS|META|MSFT|MSI|ORCL|TMO
ADI|BDX|FI|FND|HAS|META|MSFT|MSI|ORCL|TMO
AVGO|LLY|MRK|NVDA|ORCL|PGR
SCHW
2023 Q3 Apr 10, 2023 Vltava Fund 0.0% 0.0% ELV, HUM, STLA Concentration, healthcare, long-term, Quality, risk management, value CHKP. ELV
2025 Q1 Mar 31, 2025 Distillate Capital Large Cap Value 0.8% 0.8% ABBV, AMZN, CI, CME, ELV, EPAM, JNJ, META, MPC, MRK, MSFT, NTAP, ON, ORCL, PYPL, SCCO, TMUS, VRSN, VST, VTRS AI, free cash flow, Leverage, Market Concentration, Quality, tariffs, uncertainty, valuation
2025 Q1 Mar 31, 2025 Distillate Capital Small/Mid Cap Quality & Value -9.3% -9.3% AAPL, ABBV, AMZN, BABA, CI, ELV, EPAM, GOOGL, JNJ, META, MSFT, NTAP, NVDA, ON, ORCL, PYPL, TMUS, TPG, TSLA, VTRS AI, Leverage, Quality, small caps, tariffs, uncertainty, valuation, value
2025 Q1 Mar 31, 2025 Madison Investors Fund -0.9% -0.9% A, ACGL, ACN, ADI, ALC, AMZN, BN, BRK-B, DHR, ELV, FERG, FI, GOOGL, LOW, NKE, PACR, PGR, TXN, USB, V concentrated, insurance, large cap, payments, Quality, tariffs, value
2023 Q4 Jan 31, 2024 Sequoia Strategy 7.1% 20.8% AHT.L, BAC, CACC, COF, CSU.TO, ELV, ERF.PA, FWONA, GOOGL, ICE, KMX, LBRDK, META, NFLX, RR.L, SAP, SCHW, TSM, UMG.AS, UNH Concentration, financials, healthcare, Intrinsic Value, long-term, Quality, technology, value
2024 Q4 Jan 24, 2025 Sequoia Fund -0.1% 19.8% CHTR, COF, CSU.TO, ELV, EUFI.PA, FWONA, GOOGL, ICE, ICLR, J, KMX, LBRDK, LUMN, RR.L, SAP, SCHW, TSM, UMG.AS, UNH aerospace, Concentration, healthcare, Long/Short, Quality, technology, value

Pitches With This Ticker

Date Pitch Type Author Company Industry Sub Industry Bull / Bear Stock Exchange Keywords Action
Apr 13, 2026 Fund Letters First Eagle Global Fund Elevance Health, Inc. Health Care Managed Health Care Bull NYSE health insurance, Healthcare services, managed care, Margin recovery, Medicaid, US Healthcare
Apr 13, 2026 Fund Letters Hotchkis & Wiley Global Value Fund Elevance Health Inc. Health Care Health Care Providers & Services Bull NYSE Discount Valuation, GDP growth, health insurance, Medicaid, Medicare Advantage, shareholder returns, Temporary Headwinds
Apr 13, 2026 Fund Letters GreensKeeper Value Fund Elevance Health Health Care Health Care Services Bull NYSE defensive, health insurance, Healthcare services, managed care, Medicaid, underwriting
Apr 13, 2026 Fund Letters Orbis Global Equity Elevance Health Health Care Health Care Services Bull NYSE Aging demographics, Defensive growth, Government Programs, Healthcare services, managed care, Medicaid, Medicare Advantage, Value Investment, value-based care
Apr 13, 2026 Fund Letters Oakmark Fund Elevance Health, Inc. Health Care Health Care Services Bull NYSE Depressed valuation, Disciplined Underwriting, End Market Diversification, Health Care Services, managed care, Pricing power, Scale Advantages, US
Apr 13, 2026 Fund Letters Oakmark Global Select Fund Elevance Health Health Care Managed Health Care Bull NYSE contrarian, Cyclical, health insurance, managed care, Medical costs, reimbursement rates, Scale Advantages, Underwriting Cycle
Apr 13, 2026 Fund Letters Oakmark Global Fund Elevance Health Health Care Managed Health Care Bull NYSE contrarian, health insurance, healthcare, managed care, Scale Advantages, underwriting, valuation
Apr 13, 2026 Fund Letters Hotchkis & Wiley Large Cap Fundamental Value Elevance Health Inc. Health Care Managed Health Care Bull NYSE Commercial Insurance, health insurance, managed care, Medical Spending, Scale Advantages, undervalued
Apr 13, 2026 Fund Letters Hotchkis & Wiley Global Value Fund Elevance Health Health Care Health Care Providers & Services Bull NYSE Commercial Insurer, growth, health insurance, Healthcare services, Margins, Medical Spending, undervalued
Feb 4, 2026 Fund Letters Arman Gokgol-Kline Elevance Health, Inc. Health Care Managed Health Care Bull New York Stock Exchange Margins, Medicaid, Policy, recovery, Utilization
Jan 23, 2026 Fund Letters Timothy Liu Elevance Health, Inc. Health Care Managed Health Care Bull New York Stock Exchange buybacks, Managedcare, Marginrecovery, Repricing, valuation
Nov 29, 2025 Fund Letters Julien Albertini Elevance Health Health Care Managed Health Care Bull NYSE buybacks, guidance, managed care, Margins, Medicaid, Pricing, Utilization
Nov 29, 2025 Fund Letters Tyler Hardt Elevance Health Inc. Health Care Managed Health Care Bull NYSE buybacks, Eps recovery, health insurance, Medicare, Pbm, ROIC, valuation
Nov 28, 2025 Fund Letters Julien Albertini Elevance Health Health Care Managed Health Care Bull NYSE buybacks, guidance, managed care, Margins, Medicaid, Pricing, Utilization
Nov 28, 2025 Fund Letters Tyler Hardt Elevance Health Inc. Health Care Managed Health Care Bull NYSE buybacks, Eps recovery, health insurance, Medicare, Pbm, ROIC, valuation
Nov 10, 2025 Seeking Alpha Seeking Alpha Elevance Health, Inc. Healthcare Plans Neutral earnings, Elevance Health, healthcare, managed care, Margins, Medicaid, premiums, Regulatory, service utilization, US market
Nov 10, 2025 Seeking Alpha Seeking Alpha Elevance Health, Inc. Healthcare Plans Neutral earnings decline, Elevance Health, Healthcare services, industry challenges, long-term demand, managed care, Medicaid coverage, operational management, profitability, regulatory changes
Aug 7, 2025 Seeking Alpha Michael B Howard Elevance Health Health Care Healthcare Plans Bull NYSE
Aug 7, 2025 Substack Waterboy Investing Elevance Health Inc. Health Care Healthcare Plans Bull NYSE

BSD Shareholders of ELV

This report provides a detailed summary of investor holdings for a specified stock ticker, highlighting key metrics such as fund name, total assets under management (AUM), invested value, portfolio weight, and shares owned. It also tracks changes in share ownership during the last quarter, including the percentage of shares bought or sold and the percentage of outstanding shares owned. The data is generated using an API that processes investor holdings and calculates these values for each fund. This report helps investors and analysts monitor the stock positions of major funds, identify investment trends, and assess the influence of large investors on individual stocks.

Filing Date: September 30, 2025
Manager Name Fund Name Fund AUM Invested Value Portfolio Weight Shares Owned Shares Bought / Sold During Quarter % Bought / Sold During Quarter % of Shares Outstanding Owned
No investor data available.