HLN-L

HLN-L

HLN-L

Letters With This Ticker

Quarter Letter Date Fund Name QTD YTD Tickers Keywords/Themes Theme Commentary Pitches Letter
2023 Q2 Aug 4, 2023 Springview Capital Management 3.9% 5.5% ATVI, BRK-B, CPRT, EXO.MI, FFH, FMX, HLN.L, HLT, MKL, WRB, WTM Buybacks, Concentration, insurance, Long/Short, Quality, value WRB
FMX
HLN.L
2025 Q2 Jul 16, 2025 Harding Loevner International Equity 9.2% 14.8% 002352.SZ, 005930.KS, 0669.HK, 0700.HK, 1299.HK, 2057.HK, 2308.TW, 2318.HK, 2330.TW, 300760.SZ, 4507.T, 4519.T, 4684.T, 6146.T, 6301.T, 6383.T, 6690.HK, 6758.T, 6861.T, 6869.T, 8113.T, ADYEN.AS, AI.PA, ALC, ALFA.ST, ALV.DE, ASML, ASSA-B.ST, ATCO-A.ST, ATD.TO, BAP, BBVA, BHP, CNR, COLOB.CO, D05.SI, DSY.PA, EPI-A.ST, FMX, GFNORTEO.MX, GMAB, HDB, HLN.L, LIN, MELI, MFC, NESN.SW, NTES, NVS, NZYM-B.CO, OR.PA, RIO, ROG.SW, RYA.L, SAF.PA, SAP, SEB-A.ST, SHEL, SOON.SW, SU.PA, SY1.DE, TLKM aerospace, AI, defense, Europe, Health Care, international
2025 Q2 Jul 16, 2025 Harding Loevner Global Equity 10.2% 7.9% 0700.HK, 1299.HK, 300760.SZ, 4519.T, 6146.T, 6758.T, 6861.T, ABBV, ACN, ADBE, ALC, ALFA.ST, AMAT, AME, AMZN, APH, ASML, ATCO-A.ST, ATD.TO, ATKR, AVGO, BBCA.JK, BKNG, CME, CPG.L, CRM, CSGP, D05.SI, DE, DHR, DPLM.L, EPIA.ST, GLOB, GMAB, GOOGL, HDFCBANK.NS, HEI, HLN.L, HON, JNJ, META, MSFT, NFLX, NOC, NOW, NVDA, PGR, ROG.SW, SAP, SGS.SW, SHEL, SLB, SNPS, SU.PA, SY1.DE, TMO, TSM, TTD, TW, V, VRTX, WALMEX.MX AI, Cloud, Data centers, global, growth, semiconductors, technology ADBE
BKNG
ADBE
2024 Q1 Apr 29, 2024 Springview Capital Management 11.3% 11.3% BRK-A, CPRT, CRH, EXO.MI, FFH, FMX, HLN.L, HLT, MSGS, NTDOY, WRB Concentration, global, insurance, Long/Short, value
2024 Q1 Apr 20, 2024 ClearBridge Investments Dividend Strategy 0.0% 0.0% AMT, AMZN, AVGO, CMCSA, DEO, DIS, DTE, GOOGL, HLN.L, KO, KVUE, MA, META, MSFT, NESN.SW, NVDA, ORCL, SAP, TMUS, V AI, Consumer Staples, diversification, dividends, large cap, technology, Utilities, value
2026 Q1 Mar 31, 2026 Harris Associates International Equity Strategy -6.7% -6.7% 005930 KS, 8113.T, ADS.DE, CNHI, CPG.L, CPNG, DSY.PA, GLEN.L, HLN.L, LSEG.L, MC.PA, SAP.DE AI, Asia, Europe, international, Mining, semiconductors, software, value
2025 Q1 Mar 31, 2025 Platinum International Brands Fund -6.0% -6.0% 0700.HK, AMZN, BIRK, EL.PA, GOOGL, HLN.L, ITX.MC, JD, JD.L, META, NESN.SW, PNDORA.CO, V, ZTS brands, China, consumer, E-Commerce, Luxury, tariffs, technology
2024 Q1 Mar 31, 2024 Platinum International Brands Fund 0.7% 0.7% 0700.HK, 3690.HK, BFIT.AS, GOOGL, HEIA.AS, HLN.L, JD, TCOM, TM, V China, Consumer Brands, global, positioning, underperformance, value
2023 Q1 Mar 31, 2023 Platinum International Brands Fund 6.6% 6.6% 0700.HK, 1448.HK, 2502.T, 3690.HK, 5938.T, BFIT.AS, BMW.DE, GOOGL, HLN.L, JD, META, MWG.HM, NIEN.TW, PNDORA.CO, SMCP.PA, TCOM China, Consumer Brands, demographics, E-Commerce, Reopening, Travel
2025 Q4 Feb 8, 2026 SGA – International Growth 1.0% 9.6% 1299.HK, 6098.T, 9983.T, ADYEN.AS, ALC, AON, ARM, BABA, CP, DSY.PA, EXPN.L, FEMSAUBD.MX, GALD, GRAB, HDFCBANK.NS, HEIA.AS, HLN.L, INFY, LIN, MELI, OR.PA, SAP, SE, SGE.L, SHOP, SRT3.DE, STE, TEAM, TSM, UL, UMG.AS, WALMEX.MX, WCN, YUMC AI, Cyclical, E-Commerce, growth, international, Quality, Southeast Asia, valuation TEAM
ARM
DSY FP
SRT GR
9983 JP
2023 Q4 Feb 21, 2024 Springview Capital Management 6.5% 15.3% BRK-B, CPRT, CRH, EXOR.MI, FFH, FMX, HLN.L, HLT, MKL, NTDOY, UNP, WRB, WTM Concentration, insurance, Long/Short, tax efficiency, underperformance, value FMX
FFH
SUNP IN
MKL
WRB
2024 Q4 Feb 10, 2025 Springview Capital Management 5.4% 19.7% AMZN, BRK-B, CPRT, CR, CRH, FFH, FMX, HLN.L, HLT, HOOD, MCY, MKL, MSGS, SEG, SPOT, V, VAC, WRB, WS, WTM Capital Allocation, Concentration, long-term, P&C Insurance, risk management, value
2024 Q4 Dec 31, 2024 Harding Loevner Global Equity - 14.5% 0700.HK, 1299.HK, 4519.T, 6758.T, 6861.T, 9962.T, AAPL, ABBV, ACN, ADBE, ADYEN.AS, ALC, ALFA.ST, AMAT, AMZN, ATCO-A.ST, ATKR, ATU.TO, AVGO, BBCA.JK, BKNG, CME, CRM, CSGP, D05.SI, DE, DHR, DPLM.L, EPI-A.ST, GLOB, GMAB, GOOGL, HDFCBANK.NS, HLN.L, HON, META, MSFT, NFLX, NOC, NOW, NVDA, RGEN, ROG.SW, ROK, SAP, SGSN.SW, SHEL, SLB, SNPS, SU.PA, SY1.DE, TMO, TSM, TW, UNH, VRTX, WMMVY AI, Data centers, geopolitics, global, growth, semiconductors, technology, Trade Policy
2024 Q4 Dec 31, 2024 Platinum International Brands Fund 12.0% 21.0% AAPL, AMER, AMZN, BIRK, CFR.SW, ELF, GOOGL, HLN.L, ITX.MC, JD.L, META, NIKE, PAN.CO, PUMA.DE, SJP.L, TCOM, ZTS Beauty, brands, consumer, global, Luxury, Travel
2023 Q3 Dec 10, 2023 Cooper Investors Global Equities Fund (Unhedged) 5.5% 5.4% 6758.T, 8035.T, 8113.T, ADYEN.AS, AHT.L, AJG, AON, APG, BKNG, BME.L, CDW, COST, CRM, DHR, ERF.PA, FER.MC, FERG.L, G24.DE, HDB, HLMA.L, HLN.L, IQV, LBRDK, LSEG.L, RELX.L, RTO.L, TSM, ULTA, UNP, URI, YUMC China, cyclicals, Equipment Rental, global, infrastructure, Railroads, value SUNP IN
AHT.L
ANDURIL
MELI|NFLX|ORCL|TCOM|VRTX|YUMC
2025 Q3 Nov 5, 2025 ClearBridge Investments Large Cap Value - - AMT, AMZN, APD, AVGO, CMCSA, CVS, DE, GOOGL, HLN.L, INTC, JNJ, MCHP, ORLY, PNC, SRE, TMO, TSM, UNH, USB, WEC AI, healthcare, Outperformance, Quality, semiconductors, technology, Utilities, value
2025 Q3 Nov 4, 2025 Aristotle International Equity Fund 1.1% 15.9% 005930.KS, 3064.T, 7532.T, ACN, ALC, BAP, BN, CCJ, D05.SI, EBS.VI, HLN.L, MUV2.DE, NEM.DE, SAF.PA, SONY, WMMVY AI, Banking, E-Commerce, international, semiconductors, technology, Trade Policy WMMVY
9830 JP
BAP
005930 KS
WMMVY
9830 JP
BAP
005930 KS
2023 Q3 Nov 10, 2023 Springview Capital Management 2.5% 8.2% AAPL, AMZN, BRK-B, CPRT, EXO.MI, FFH, FMX, GOOGL, HLN.L, HLT, META, MKL, MSFT, NVDA, TSLA, V, WRB, WTM Concentration, insurance, Long/Short, Quality, special situations, value
2025 Q3 Oct 24, 2025 Titan Wealth - - AAPL, ALB, AU, CRWD, GIVN.SW, GOOGL, HLN.L, HON, IBKR, IFF, JPM, LHX, MELI, MSFT, NFLX, NVDA, ORCL, PFE, SFM, SQM AI, Asia, cybersecurity, defense, emerging markets, Global Equities, infrastructure, technology
2024 Q3 Oct 18, 2024 Titan Wealth - - 1972.HK, 300750.SZ, 3690.HK, ABNB, BIO, BMW.DE, CRM, DEO, DIS, EBAY, EL, EW, GOOGL, HEIA.AS, HLN.L, LVMH.PA, MA, META, MSFT, NFLX, NVDA, ORCL, PYPL, SNY, STLA, TMO, UL emerging markets, global, healthcare, income, Multi-Manager, Rate Cuts, technology
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
2024 Q4 Jan 7, 2025 ClearBridge Investments Dividend Strategy 0.0% 0.0% AAPL, AMZN, APO, AVGO, DEO, EQT, GOOGL, HLN.L, JPM, KVUE, MDLZ, MET, META, MSFT, NESN.SW, NVDA, ORCL, TSLA, UPS, WMB diversification, dividends, Natural Gas, Quality, technology, value
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
2024 Q3 Sep 30, 2024 ClearBridge Investments International Growth ADR Strategy 5.7% 0.0% 0992.HK, 1299.HK, 4091.T, 4543.T, 7936.T, 8035.T, 8766.T, ARGX, ASML, BN.PA, CPG.L, EL.PA, HLN.L, ICLR, ITX.MC, LSEG.L, NESN.SW, NVO, RTO.L, SAP, SPOT China, cyclicals, growth, international, Japan, Stimulus, Value rotation BN.PA
0992.HK
4091.T
8766.T
7936.T
4543.T
2024 Q3 Sep 30, 2024 Harding Loevner International Equity 9.5% 11.5% 005930.KS, 1398.HK, 4507.T, 4519.T, 6758.T, 6869.T, 7974.T, ADYEN.AS, ALC.SW, ALV.DE, BNTX, COLOB.CO, HDB, HLN.L, MELI, NESN.SW, OR.PA, ROG.SW, SHEL.L, TSMC China, Europe, financials, healthcare, international, Japan, momentum
2024 Q3 Sep 30, 2024 Harding Loevner Global Equity 5.2% 15.6% 0700.HK, 1299.HK, ADYEN.AS, AMZN, B3SA3.SA, BBCA.JK, BKNG, CME, CPG.L, GOOGL, HDFCBANK.NS, HLN.L, KER.PA, META, NFLX, PINS, SLB, SONY, TW, WALMEX.MX AI, China, global, growth, healthcare, momentum, Quality, semiconductors
2024 Q2 Jun 30, 2024 ClearBridge Investments Dividend Strategy 0.0% 0.0% AAPL, APD, AVB, CMCSA, DEO, GOOGL, HLN.L, INTC, MA, MDLZ, META, MSFT, NESN.SW, NVDA, ORCL, PXD, SRE, TRV, V, VMC, WMB, XOM Concentration, diversification, dividends, Passive investing, technology, valuation
2025 Q1 Mar 31, 2025 Harding Loevner Global Equity -2.1% -2.1% 002230.SZ, 0700.HK, 1299.HK, 4519.T, 6758.T, 6861.T, ABBV, ACN, ADBE, ALC, ALFA.ST, AMAT, AME, AMZN, APH, ASML, ATCO-A.ST, ATD.TO, ATKR, AVGO, BBCA.JK, BKNG, CME, COMP.L, CRM, CSGP, D05.SI, DE, DHR, DPLM.L, EPI-A.ST, GLOB, GMAB, GOOGL, HDFCBANK.NS, HEI, HLN.L, HON, META, MSFT, NFLX, NOC, NOW, NVDA, ROG.SW, SAP, SGSN.SW, SHEL, SLB, SNPS, SU.PA, SY1.DE, TMO, TSM, TTD, TW, UNH, VRTX, WMMVY AI, Geopolitical, global, Policy Uncertainty, Quality, semiconductors, technology, Trade Policy
2023 Q4 Jan 15, 2024 Cooper Investors Global Equities Fund (Unhedged) 5.5% 5.4% 6758.T, 8035.T, ADYEN.AS, AIT.L, AON, CDW, CRM, DHR, EUFI.PA, FER.MC, FTV, GEHC, GOOGL, HLN.L, LSEG.L, MSFT, RTO.L, URI, WDAY, YUMC cyclicals, global, healthcare, technology, Turnarounds, value ADYEN.AS
LSEG.L
GEHC

Pitches With This Ticker

Date Pitch Type Author Company Industry Sub Industry Bull / Bear Stock Exchange Keywords Action
Apr 28, 2026 Fund Letters Springview Capital Management Haleon PLC Consumer Staples Personal Products Bull London Stock Exchange Branded Products, Consumer healthcare, deleveraging, Free Cash Flow, Pharmaceutical, spinoff, UK, Value

BSD Shareholders of HLN-L

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.