Fund Insights
Common Fund Bets
See what stocks and ETFs funds are collectively bullish/bearish on
Largest Fund Trades
Explore the largest stock and ETF buys and sells made by funds
High Conviction Trades
Discover high conviction trades that caused a significant change in a fund's stake in a stock
Fund Manager Portfolios
Gain insights from the world’s largest funds and super investors
WSR Indexes
Fund Manager Index
Stock index based on fund manager consensus updated each quarter
Search
Sign in
Sign up
Fisher Asset Management’s
Sony
SONY
Stock Holding History
Fisher Asset Management’s Portfolio
SONY Stock Details
SONY Fund Activity
Bought
Maintained
Sold
Quarter
Market Value
Status
Shares
Change in
Stake
Trade Value
Portfolio Weight
Portfolio Position
2026
Q1
$2.29B
Buy
110,630,948
+1,649,360
+2%
+$37M
0.78%
35
2025
Q4
$2.79B
Buy
108,981,588
+4,337,062
+4%
+$122M
0.95%
28
2025
Q3
$3.13B
Buy
104,644,526
+2,766,460
+3%
+$74.4M
1.13%
24
2025
Q2
$2.65B
Buy
101,878,066
+16,280,542
+19%
+$407M
1.05%
28
2025
Q1
$2.17B
Buy
85,597,524
+40,177,432
+88%
+$928M
0.94%
31
2024
Q4
$961M
Buy
45,420,092
+2,238,317
+5%
+$43.6M
0.38%
69
2024
Q3
$834M
Buy
43,181,775
+4,860,375
+13%
+$88.6M
0.34%
74
2024
Q2
$651M
Buy
38,321,400
+4,239,070
+12%
+$70.1M
0.28%
89
2024
Q1
$584M
Buy
34,082,330
+2,288,770
+7%
+$42.1M
0.27%
93
2023
Q4
$602M
Buy
31,793,560
+1,707,830
+6%
+$29.6M
0.32%
83
2023
Q3
$496M
Buy
30,085,730
+2,116,865
+8%
+$36.9M
0.28%
97
2023
Q2
$504M
Buy
27,968,865
+1,484,850
+6%
+$27.9M
0.28%
100
2023
Q1
$480M
Buy
26,484,015
+1,304,665
+5%
+$22.6M
0.29%
102
2022
Q4
$384M
Buy
25,179,350
+1,462,285
+6%
+$21.8M
0.26%
96
2022
Q3
$304M
Buy
23,717,065
+22,516,875
+1,876%
+$361M
0.23%
103
2022
Q2
$19.6M
Buy
1,200,190
+20,305
+2%
+$360K
0.01%
301
2022
Q1
$24.2M
Sell
1,179,885
-1,385
-0.1%
-$30.1K
0.01%
302
2021
Q4
$29.9M
Sell
1,181,270
-7,175
-0.6%
-$171K
0.02%
285
2021
Q3
$26.3M
Buy
+1,188,445
New
+$24.9M
0.02%
288
2020
Q4
–
Sell
-17,110
Closed
-$263K
–
950
2020
Q3
$263K
Buy
+17,110
New
+$266K
﹤0.01%
769
Other funds holding SONY
Primecap Management
Pasadena, California
$127B AUM
44.11%
1-Year Est. Return
Aristotle Capital Management
Los Angeles, California
$47.8B AUM
13.38%
1-Year Est. Return
Morgan Stanley
New York
$1.66T AUM
25.57%
1-Year Est. Return
Bank of America
Charlotte, North Carolina
$1.37T AUM
24.88%
1-Year Est. Return
MIP
Mondrian Investment Partners
London, United Kingdom
$6.69B AUM
BlackRock
New York
$5.7T AUM
30.48%
1-Year Est. Return
Goldman Sachs
New York
$761B AUM
31.28%
1-Year Est. Return
Northern Trust
Chicago, Illinois
$757B AUM
28.64%
1-Year Est. Return
Capital International Investors
Los Angeles, California
$427B AUM
29.17%
1-Year Est. Return
HL
Harding Loevner
Bridgewater, New Jersey
$9.72B AUM
22.38%
1-Year Est. Return
Sign up
Sign in
Fund Insights
Common Fund Bets
See what stocks and ETFs funds are collectively bullish/bearish on
Largest Fund Trades
Explore the largest stock and ETF buys and sells made by funds
High Conviction Trades
Discover high conviction trades that caused a significant change in a fund's stake in a stock
Fund Manager Portfolios
Gain insights from the world’s largest funds and super investors
WSR Indexes
Fund Manager Index
Stock index based on fund manager consensus updated each quarter
Theme
Close