OR-PA

OR-PA

OR-PA

Letters With This Ticker

Quarter Letter Date Fund Name QTD YTD Tickers Keywords/Themes Theme Commentary Pitches Letter
2024 Q3 Sep 30, 2024 YCG Investment - - AON, CME, CNI, CP, GOOGL, MMC, OR.PA, PGR, RMS.PA, RSG, UL, WM Bear Markets, insurance, long-term, Luxury, Pricing Power, Railroads, Waste management
2023 Q3 Sep 30, 2023 Torre Financial 0.6% 32.9% 0700.HK, ACN, ADBE, ASML, CDNS, COST, GE, GOOGL, INTU, IT, LIN, MA, MSCI, MSFT, OR.PA, PG, RELX.L aerospace, Compounding, concentrated, Consumer Staples, long-term, Quality, software, technology 0GEG LN
CDNS
2025 Q2 Aug 11, 2025 Aoris International Fund 8.2% - ACN, APH, ATCO-A.ST, CPRT, DPLM.L, HLMA.L, JKHY, MSFT, OR.PA Beauty, Concentration, growth, Industrial, international, Quality, software, technology
2025 Q2 Jul 8, 2025 Fundsmith Equity Fund - -1.9% BF-B, COLOB.CO, EL.PA, GOOGL, IDXX, INTU, MC.PA, META, MSFT, NVO, OR.PA, PEP, PM, WAT, ZTS Currency, global, healthcare, large cap, Quality, technology
2024 Q2 Jul 8, 2024 Fundsmith Equity Fund -2.0% 7.1% AAPL, AMZN, BF-B, GOOGL, IDXX, META, MSFT, NKE, NOVO-B.CO, NVDA, OR.PA, SYK, TXN, WAT Concentration, long-term, Quality, semiconductors, technology
2025 Q2 Jul 31, 2025 PGIM Jennison Global Opportunities Fund - - 1211.HK, 1810.HK, AAPL, CEG, CRWD, GALDA.SW, LLY, MELI, META, MSFT, NFLX, NVDA, NVO, OR.PA, ORLY, PWR, RMS.PA, SPOT, TOST, VRTX AI, consumer, global, growth, technology
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 Jun 30, 2025 Thornburg International Equity Fund 10.8% 21.8% 0027.HK, 005930.KS, 3690.HK, 6758.T, 8306.T, ALC, AZN, BABA, BNP.PA, CP, CSU.TO, FCX, NVO, OR.PA, SU.PA, TTE China, Europe, international, Japan, rates, semiconductors, Trade Policy, value
2025 Q2 Jun 30, 2025 Magellan Global Fund - - AAPL, AMZN, ASML, GOOGL, MC.PA, META, MSFT, OR.PA Big tech, China, Decoupling, Europe, regulation, technology, US AAPL
2025 Q2 Jun 30, 2025 Andvari Associates 8.2% - ACN, APH, ATCO-A.ST, CPRT, DPLM.L, HLMA.L, JKHY, MSFT, OR.PA AI, Beauty, Cloud, growth, Industrial, international, Quality, technology JKHY
OR.PA
ACN
CPRT
HLMA.L
DPLM.L
MSFT
APH
2024 Q1 May 9, 2024 Polen Capital – Global SMID Company Growth 3.5% 9.5% AAPL, ABNB, ACN, ADBE, ADP, AMZN, GLOB, META, MSFT, NESN.SW, NVDA, OR.PA, PAYC, SAP, SGE.L, TSLA, WDAY AI, Cloud, global, growth, Quality, technology
2025 Q1 Apr 5, 2025 13D Activist Fund -10.2% -10.2% AAPL, AVGO, BLCO, CL, CMG, CNI, DKS, FTRE, HR, JNJ, KVUE, MIDD, MSFT, OR.PA, PG, QRVO, SN, SWKS, WEN, YETI activism, consumer, M&A, semiconductors, small cap, value, volatility
2025 Q1 Apr 30, 2025 Bell Global Equities Fund -8.6% -8.6% 4684.T, AAPL, ADP, AMZN, ASML, AUTO.L, AVGO, BJ, BNZL.L, DECK, EW, FI, GOOGL, ICLR, IT, META, MSFT, NVDA, NVO, OR.PA, PEP, RMV.L Cloud, Global Equities, Quality, tariffs, technology, Trade Policy
2025 Q1 Apr 27, 2025 Aoris International Fund -0.8% -0.8% ACN, APH, CPRT, EXPN.L, FAST, GGG, GWW, MSCI, MSFT, OR.PA, RELX.L, V AI, concentrated, international, Quality, Resilience, Trade Policy, value GWW
EXPN.L
CPRT
MSFT
ACN
REL.L
V
2026 Q1 Apr 18, 2026 Baillie Gifford – US Equity Growth -6.0% - 6920.T, ADYEN.AS, AI.PA, ASML, LONN SW, MBLY, OR.PA, SIK.SW, SPOT, TSM AI, growth, international, long-term, Quality, semiconductors, technology
2025 Q1 Apr 15, 2025 Polen Capital – Global SMID Company Growth -5.5% -5.5% ABNB, ABT, ACN, ADYEN.AS, AMZN, AON, CSGP, GLOB, GOOGL, MELI, NOW, NVDA, NVO, OR.PA, ORCL, PAYC, SAP, SGE.L, SHOP, WTW, ZTS AI, global, growth, healthcare, Quality, tariffs, technology, volatility MELI
ADYEN
WTW
NVO
AMZN
GLOB
AON
ABT
2024 Q1 Apr 15, 2024 Fundsmith Equity Fund -2.0% 7.1% ADP, AMS.PA, BF-B, GOOGL, IDXX, MC.PA, META, MKC, MSFT, NKE, NVO, OR.PA, PM, SYK, V consumer, global, healthcare, Quality, technology
2024 Q1 Apr 15, 2024 Harding Loevner International Equity 9.5% 11.5% 005930.KS, 0700.HK, ADYEN.AS, ALV.DE, ASML, BBVA, BHP, BNTX, D05.SI, HDB, IFX.DE, MELI, NESN.SW, OR.PA, ROG.SW, SAP, SHEL, SONY, SU.PA, TSM AI, diversification, growth, international, Japan, Quality, semiconductors, technology
2024 Q1 Apr 15, 2024 Harding Loevner Global Equity 5.2% 15.6% 0700.HK, 1398.HK, 2607.HK, 4519.T, 6758.T, AAPL, ABBV, ACN, ADBE, ALC, AMAT, AME, AMZN, ASML, ATCO-A.ST, AVGO, B3SA3.SA, BBCA.JK, BHP, BKNG, CME, COST, CRM, CSCO, CSGP, DE, DHR, GLOB, GMAB, GOOGL, HDB, HON, ISRG, KER.PA, LLY, MELI, META, MSFT, NFLX, NKE, NOC, NOW, NVDA, OR.PA, PINS, RGEN, RIO, ROG.SW, ROK, SAP, SGSN.SW, SLB, SNPS, SU.PA, SY1.DE, TMO, TSLA, TSM, TW, UNH, VRTX AI, global, growth, Quality, software, technology
2025 Q1 Mar 31, 2025 YCG Investment - - CME, CRH, MLM, MSFT, OR.PA, VMC Aggregates, AI, Construction, Cyclical, infrastructure, NIMBY, real estate MLM
VMC
CRH
2025 Q1 Mar 31, 2025 Rothschild & Co LongRun Equity Fund - - 0700.HK, ACN, ADBE, ASML, CDNS, COST, GE, GOOGL, INTU, IT, LIN, MA, MSCI, MSFT, OR.PA, PG, RELX.L Compounding, Consumer Staples, Defensive, long-term, Quality, technology MSCI
GE
CDS
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
2025 Q4 Feb 8, 2026 SGA – Emerging Markets Growth 0.6% 22.8% 035420.KS, 0700.HK, 1299.HK, 1398.HK, 9983.T, BABA, BJFN, CPALL.BK, CPI.JO, FEMSA, GRAB, HDFCBANK.NS, HTHT, INFY, MELI, MMYT, OR.PA, SE, SLM.JO, TCS.NS, TME, TOTS3.SA, TSM, UL, WALMEX.MX, XP, YUMC AI, Cyclical, E-Commerce, emerging markets, Quality, semiconductors, valuation OR FP
TME
GRAB
SE
BABA
9983 JP
INFY
TSM
2024 Q4 Dec 31, 2024 Harding Loevner International Equity - 1.8% 005930.KS, 6146.T, AAPL, ABEV, ADYEN.AS, AMZN, ASML, ATD.TO, FMSQY, GMAB, GOOGL, LVMUY, MELI, META, MSFT, NESN.SW, NVDA, NVO, OR.PA, TSLA, TSM AI, Consumer Staples, growth, Health Care, international, Quality, semiconductors, Trade Policy
2024 Q4 Dec 31, 2024 Centerstone Investors Fund - - NESN.SW, OR.PA consumer, contrarian, Europe, Food, global, value NESN.SW
2023 Q4 Dec 28, 2023 Alpinum Investment Management 0.0% 0.0% AI.PA, ASML, MC.PA, OR.PA, SAN.PA, SAP.DE, SIE.DE, SU.PA China, credit, Europe, fixed income, inflation, rates, Recession, Valuations
2025 Q3 Nov 3, 2025 Aoris International Fund -2.6% - ACN, APH, CDW, CPRT, CTAS, EXPN.L, GWW, HLMA.L, IHG, JKHY, NKE, OR.PA, RELX, SAP, SPGI AI, Cloud, international, portfolio, Quality, technology, valuation SAP
REL
ACN
IHG
SAP
REL
ACN
2023 Q3 Nov 10, 2023 Aoris International Fund 3.1% 0.0% ACN, APH, CDW, COST, CPRT, CTAS, EXPN.L, FAST, GGG, HLMA.L, MC.PA, MSFT, OR.PA, RELX.L, TSCO concentrated, global, Quality, value
2023 Q3 Oct 31, 2023 Fundsmith Equity Fund -2.0% 7.1% ADP, FTNT, IDXX, MC.PA, META, MKC, MSFT, MTD, NKE, NVO, OR.PA, PG, PM, SYK, V, WAT global, growth, healthcare, long-term, Quality, technology
2025 Q3 Oct 10, 2025 Thornburg International Equity Fund 5.5% 28.5% 0027.HK, 005930.KS, 3690.HK, 6758.T, 8306.T, ALC, AZN, BABA, BNP.PA, CP, CSU.TO, FCX, NVO, OR.PA, SU.PA, TTE Bottom-up, Diversified, fundamentals, international, value
2025 Q4 Jan 23, 2026 Aoris International Fund 0.0% 0.0% ACN, AMZN, APH, ATCO-A.ST, CPRT, FAST, GWW, HLMA.L, IHG.L, JKHY, MSCI, OR.PA, RELX.L, SAP.DE AI, international, long-term, Quality, technology, value
2025 Q4 Jan 21, 2026 Polen Capital – Global SMID Company Growth -2.7% 1.8% 0700.HK, ADBE, AMZN, BSX, CSGP, GOOGL, ICLR, LLY, MELI, NVDA, OR.PA, ORCL, PAYC, SGE.L, SHL.DE, SHOP, SPOT, TSM, WDAY, WTW AI, global, growth, Quality, software, technology SPOT
0700 HK
ORCL
LLY
2025 Q4 Jan 20, 2026 Harding Loevner International Small Companies Equity -1.9% 15.1% 0005.HK, 0700.HK, AAPL, BHP.AX, BP.L, GSK, HSBA.L, LLY, MARS, MC.PA, MKC, MSFT, NESN.SW, OR.PA, PAN, SANOFI, SAP.DE, SHOP.TO, VOW3.DE, WEED.TO AI, Consumer Staples, gold, growth, international, momentum, Quality, small cap EVT GR
HERDEZ MM
4527 JP
002891 CH
CWK LN
DIA IM
2025 Q4 Jan 18, 2026 Mayar Capital 4.5% 14.1% 005930.KS, 7476.T, 7974.T, BFAM, BKNG, BNNTF, CAP.PA, CFR.SW, CRDA.L, GOOGL, JNJ, KVUE, NESN.SW, NKE, OR.PA, PYPL, SOLV, TW.L, UL, UPS, V, VWS.CO defense, fundamentals, global, Quality, Speculation, value NKE
TW LN
BKNG
2025 Q4 Jan 18, 2026 Magellan Global Opportunities Fund No. 2 1.4% 0.0% AMT, AMZN, CMG, CRM, DG, ES, GOOGL, MA, MELI, META, MSFT, NESN.SW, NVO, OR.PA, SAP, TSM AI, Cloud, consumer, Defensive, global, Quality, technology
2025 Q4 Jan 15, 2026 Baillie Gifford -International Concentrated Growth -6.7% 16.7% 0700.HK, 1211.HK, 1810.HK, 2413.T, 3690.HK, ADYEN.AS, ASML, ATCO-A.ST, BABA, BNTX, CPNG, DHER.DE, KER.PA, KINV-B.ST, MELI, MRNA, NU, NVDA, NVO, OCDO.L, OR.PA, PDD, RACE, RMS.PA, SAP, SE, SHOP, SPOT, TSLA, TSM, WISE.L AI, concentrated, E-Commerce, growth, international, semiconductors, technology
2025 Q4 Jan 15, 2026 Baillie Gifford – US Equity Growth -2.4% 17.2% 1299.HK, 6146.T, 6857.T, 6861.T, ADYEN.AS, ARGX, ASML, ATCO-A.ST, DSV.CO, GALP.SW, MELI, NU, OR.PA, RACE, RMS.PA, SE, SHOP, SPOT, TSM, WTC.AX AI, E-Commerce, growth, international, semiconductors, technology GALD SW
DSV DC
RACE
SE
SPOT
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 Fundsmith Equity Fund -2.0% 7.1% ADP, AMS.PA, COLOB.CO, IDXX, MAR, MC.PA, META, MSFT, NVO, OR.PA, OTIS, PM, SYK, V consumer, global, healthcare, large cap, Quality, technology
2023 Q4 Sep 1, 2024 Fundsmith Equity Fund -2.0% 7.1% AAPL, ADBE, AMZN, BF.B, DEO, EL, FTNT, GOOGL, IBM, IDXX, MAR, META, MKC, MSFT, MTD, NVDA, NVO, OR.PA, PG, TSLA AI, global, large cap, Pharmaceuticals, Quality, technology, value
2024 Q2 Jul 20, 2024 Aoris International Fund 3.1% 0.0% ACN, APH, CDW, CMPGY, CTAS, MC.PA, MSCI, MSFT, NVDA, OR.PA, V Concentration, international, management, Quality, technology, value V
MSCI
2024 Q2 Jul 18, 2024 Harding Loevner International Equity 9.5% 11.5% 700.HK, ALV.DE, ASML, BAP, BBVA, BHP.AX, D05.SI, GFNORTEO.MX, HDFC.NS, ICICIBANK.NS, IFX.DE, LIN, NESN.SW, NVDA, NVO, OR.PA, RIO, SAP.DE, SHEL, TSM AI, Banking, emerging markets, international, M&A, Political Risk, semiconductors, technology
2024 Q2 Jul 18, 2024 Harding Loevner Global Equity 5.2% 15.6% 0700.HK, 1299.HK, ABBV, ADYEN.AS, ALC, AMZN, BKNG, CME, COST, DHR, GOOGL, ISRG, KER.PA, META, NFLX, OR.PA, PINS, SLB, SONY, TW AI, competition, global, growth, innovation, Quality, semiconductors, technology
2023 Q2 Jul 7, 2023 Fundsmith Equity Fund -2.0% 7.1% AAPL, ADBE, ADP, AMS.MC, AMZN, COLOB.CO, EL, GOOGL, IDXX, MC.PA, META, MKC, MSFT, MTD, NVO, OR.PA, PEP, PG, PM, SYK, WAT consumer, fundamentals, global, healthcare, Quality, technology
2023 Q2 Jun 30, 2023 Aoris International Fund 3.1% 0.0% ACN, APH, CDW, COST, CPRT, CTAS, EXPN.L, FAST, GGG, HLMA.L, MC.PA, MSFT, OR.PA, RELX.L, TSCO concentrated, global, Quality, value
2025 Q1 Apr 18, 2025 Baillie Gifford – US Equity Growth 1.9% 1.9% 1211.HK, 6146.T, 6273.T, ASML, GALDF, GMAB, OR.PA, PDD, SPOT, WTC.AX, WXB China, Geopolitical, growth, international, long-term, technology, volatility
2025 Q1 Apr 14, 2025 Fundsmith Equity Fund -5.7% -5.7% ADP, BF-B, IDXX, MAR, MC.PA, META, MSFT, NVO, OR.PA, OTIS, PM, SYK, UL, V, WAT equities, global, growth, healthcare, long-term, Quality, technology
2025 Q1 Mar 31, 2025 Mayar Capital 2.9% 2.9% 005930.KS, 7974.T, AHT.L, ALO.PA, BH, BLND.L, BNR.DE, CAP.PA, CFR.PA, EA, FOUR.L, GOOGL, HLCL.L, JNJ, JSG.L, KERY.PA, KVUE, LH, MA, NESN.SW, NKE, NVO, OR.PA, PYPL, SAP, SOLV, SOM.L, UL, UPS, V, VTY.L, VWS.CO AI, Europe, global, Pharmaceuticals, Quality, risk management, technology, value NKE
NVO
CAP.PA
2025 Q1 Mar 31, 2025 Harding Loevner International Equity 5.1% 5.1% 005930.KS, 1299.HK, 6146.T, 6367.T, AI.PA, ALV.DE, ASML, BBVA, D05.SI, HDFCBANK.NS, LIN, MELI, MFC.TO, NESN.SW, OR.PA, ROG.SW, SHEL, SNE, SU.PA, TSM AI, international, Policy Uncertainty, semiconductors, tariffs, Trade Policy
2023 Q1 Mar 31, 2023 Aoris International Fund 3.1% 0.0% ACN, COST, CTAS, EL, FAST, GGG, KER.PA, MC.PA, NKE, OR.PA, TSCO concentrated, Conservative, growth, international, long-term, Quality, ROIC GGG
MC.PA
2023 Q1 Mar 31, 2023 Fundsmith Equity Fund -2.0% 7.1% ADBE, ADP, BF-B, EL, IDXX, MC.PA, META, MKC, MSFT, NVO, OR.PA, PM, SYK, V, WAT Concentration, consumer, global, healthcare, Quality, technology
2023 Q4 Jan 31, 2024 Harding Loevner International Equity 9.5% 11.5% 005930.KS, 1810.HK, 4507.T, 4519.T, 6301.T, 6383.T, 8306.T, ADYEY, ALFVY, ATD, ATLKY, BAC, BBVA, BHP, D05.SI, DASTY, ENNEF, FMX, IFX.DE, KRYAY, LOGI, MFC, NZYMF, OR.PA, PNGAY, RIO, SAP, SBGSY, SYSMF, TSM emerging markets, Europe, financials, growth, industrials, international, Quality, technology
2024 Q4 Jan 28, 2025 Aoris International Fund - 22.9% APH, CDW, CMPGY, COST, CTAS, DPLM.L, HLMA.L, MC.PA, MSCI, OR.PA, RELX.L, SHW, TSCO, V global, Intrinsic Value, large cap, Long Term, Quality, value
2023 Q4 Jan 26, 2024 Aoris International Fund 3.1% 0.0% ATCO-A.ST, COST, CPRT, FAST, GGG, MSFT, NKE, OR.PA, RELX.L, TSCO concentrated, international, Long Term, Quality, Resilience, value REL.L
FAST
OR.PA
COST
AAPL|MSFT|NFLX|NVDA|UNH
CPRT
ATCO-A.ST
2024 Q4 Jan 18, 2025 Mayar Capital -10.0% -1.5% 005930.KS, AHT.L, BNR.DE, CAP.PA, CFR.SW, EA, FIMK.L, GOOGL, JNJ, JSG.L, LH, NESN.SW, OR.PA, PYPL, SAP, SOLV, UL, UPS, V, VRS.L Concentration, global, Quality, technology, Valuations, value AHT.L
MSTR
NVDA
CSCO
2024 Q4 Jan 16, 2025 Polen Capital – Global SMID Company Growth 2.3% 12.0% ABNB, ADBE, AMZN, CSGP, CSL.AX, GOOGL, ICLR, MC.PA, NVO, OR.PA, ORCL, PAYC, SHOP.TO AI, Cloud, E-Commerce, global, growth, Quality, software CSGP
PAYC
AMZN
SHOP.TO
2024 Q4 Jan 13, 2025 Fundsmith Equity Fund - 8.9% AAPL, ADP, AMZN, ATCO-A.ST, BF-B, DEO, GOOGL, IDXX, LLY, META, MKC, MSFT, NKE, NVDA, NVO, OR.PA, PM, SAP.DE, SYK, TXN AI, Concentration, long-term, Quality, technology, volatility

Pitches With This Ticker

Date Pitch Type Author Company Industry Sub Industry Bull / Bear Stock Exchange Keywords Action
Apr 28, 2026 Fund Letters Aoris International Fund L'Oréal S.A. Consumer Staples Personal Products Bull Euronext Paris Acquisitions, Aesop, beauty products, Brand Building, Cosmetics, Distribution Channels, global scale, market share gains, product innovation
Apr 13, 2026 Fund Letters Andvari Associates L'Oréal S.A. Consumer Staples Personal Care Products Bull Euronext Paris beauty products, brand portfolio, consumer staples, Cosmetics, diversification, Emerging markets, Global Market Leader, R&D investment
Mar 16, 2026 Substack Rijnberk Invest Insights L'Oréal S.A. Consumer Goods Personal Products Bull Euronext Paris beauty industry, Brand investment, cash flow, Competitive Advantage, Emerging markets, innovation, long-term growth, market share, Pricing power, resilience

BSD Shareholders of OR-PA

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.