Sequoia Fund Holdings Activity

Sequoia Fund Portfolio 13F

Sequoia Fund has disclosed a total of 5 changes to the portfolio in the latest (2024 Q1) SEC report(s): decreased the number of shares of 5 position(s).

What stocks is Sequoia Fund buying now?

In the recent quarter Sequoia Fund has not purchased any securities.

What does Sequoia Fund invest in?

Sequoia Fund's top 5 holdings (by % of portfolio) are (RYCEF) ROLLS-ROYCE HOLDINGS PLC (7.99%), (ICE) INTERCONTINENTAL EXCHANGE IN (7.27%), (CNSWF) CONSTELLATION SOFTWARE INC (6.83%), (SCHW) SCHWAB (CHARLES) CORP (6.49%) and (GOOGL) ALPHABET INC-CL A (6.37%).

In the latest report(s) the following change has been made to the top investments: (GOOGL) ALPHABET INC-CL A (reduced shares -3.9%).

2022 Q1 (13 results)
DIS
-100.00%
-985,048
-3.78%
$154.89
33.68% $102.72
0.00%
PROSF
-100.00%
-1,973,651
-4.09%
$83.71
55.38% $37.35
0.00%
GOOG
-5.70%
-45,200
-0.16%
$139.65
27.56% $178.13
2.59%
W
+8.33%
+89,904
+0.25%
$110.78
45.89% $59.94
3.21%
CACC
-2.80%
-8,584
-0.12%
$550.37
11.20% $488.72
4.07%
NFLX
+80.75%
+217,309
+2.02%
$374.59
72.05% $644.50
4.51%
CNSWF
-4.65%
-5,764
-0.24%
$1,709.39
61.23% $2,756.00
5.01%
UMGNF
+4.66%
+340,079
+0.23%
$26.77
15.33% $30.87
5.07%
META
+6.75%
+61,735
+0.34%
$222.36
114.71% $477.44
5.38%
SCHW
-4.58%
-134,980
-0.28%
$84.31
15.62% $71.14
5.87%
TSM
-4.92%
-120,331
-0.31%
$104.26
53.51% $160.05
6.00%
FWONK
-4.40%
-166,729
-0.29%
$69.84
3.72% $72.44
6.26%
UNH
-4.69%
-30,659
-0.39%
$509.97
1.11% $504.32
7.88%
2021 Q4 (20 results)
DIS
-1.28%
-12,724
-0.04%
$154.89
33.68% $102.72
0.00%
BRK.A
-100.00%
-128
-1.08%
$411,378.98
48.29% $610,040.00
0.00%
PROSF
-1.55%
-31,128
-0.05%
$83.71
55.38% $37.35
0.00%
BRK.B
+59.82%
+57,500
+0.35%
$299.00
34.93% $403.44
0.95%
LBRDA
-16.95%
-71,545
-0.24%
$160.90
67.84% $51.74
1.16%
RYCEF
-9.94%
-7,861,033
-0.27%
$1.66
245.72% $5.75
2.44%
J
-4.24%
-45,160
-0.13%
$139.23
0.31% $138.80
2.93%
NFLX
-4.41%
-12,404
-0.15%
$602.44
6.98% $644.50
3.34%
ERFSF
-4.47%
-70,617
-0.18%
$123.87
49.45% $62.62
3.85%
W
+29.61%
+246,610
+0.96%
$189.97
68.45% $59.94
4.22%
CACC
-33.30%
-153,195
-2.17%
$687.68
28.93% $488.72
4.35%
CNSWF
-4.30%
-5,570
-0.21%
$1,855.36
48.54% $2,756.00
4.74%
FWONK
-1.23%
-47,321
-0.06%
$63.24
14.55% $72.44
4.93%
MU
-7.55%
-216,601
-0.42%
$93.15
41.89% $132.17
5.09%
SCHW
-3.75%
-114,584
-0.20%
$84.10
15.41% $71.14
5.10%
ANTM
-6.56%
-42,383
-0.40%
$463.54
4.11% $482.58
5.76%
TSM
-1.60%
-39,649
-0.10%
$120.31
33.03% $160.05
6.06%
META
-5.48%
-52,958
-0.37%
$336.35
41.95% $477.44
6.33%
KMX
-5.29%
-132,780
-0.36%
$130.23
46.60% $69.54
6.37%
UNH
-2.79%
-18,782
-0.19%
$502.14
0.43% $504.32
6.77%
2021 Q3 (13 results)
FIS
-100.00%
-698,957
-2.08%
$141.67
46.89% $75.24
0.00%
VIVEF
-100.00%
-5,383,123
-3.80%
$33.59
67.46% $10.93
0.00%
HCXLF
-100.00%
-1,724,939
-0.42%
$11.50
21.27% $13.95
0.00%
ANET
-100.00%
-54,067
-1.65%
$1,449.24
78.57% $310.64
0.00%
BRK.B
-60.14%
-145,000
-0.83%
$272.94
47.81% $403.44
0.55%
GOOG
-22.01%
-224,000
-0.63%
$133.27
33.67% $178.13
2.22%
PROSF
+33.70%
+505,301
+0.85%
$79.91
53.26% $37.35
3.37%
UMGNF
buy
+7,303,152
+4.11%
$26.78
15.29% $30.87
4.11%
W
+82.41%
+376,234
+2.02%
$255.51
76.54% $59.94
4.47%
CACC
-19.18%
-109,179
-1.34%
$585.30
16.50% $488.72
5.66%
TSM
+19.78%
+410,268
+0.96%
$111.65
43.35% $160.05
5.83%
KMX
+5.38%
+128,097
+0.34%
$127.96
45.65% $69.54
6.74%
META
+9.13%
+80,917
+0.58%
$339.39
40.68% $477.44
6.90%
46 of 272

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.