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S&P Global

1,213 hedge funds and large institutions have $72.5B invested in S&P Global in 2020 Q3 according to their latest regulatory filings, with 91 funds opening new positions, 426 increasing their positions, 487 reducing their positions, and 49 closing their positions.

New
Increased
Maintained
Reduced
Closed

86% more first-time investments, than exits

New positions opened: 91 | Existing positions closed: 49

9% more capital invested

Capital invested by funds: $66.6B → $72.5B (+$5.83B)

3% more funds holding

Funds holding: 1,1791,213 (+34)

0.47% less ownership

Funds ownership: 83.97%83.5% (-0.47%)

6% less funds holding in top 10

Funds holding in top 10: 6561 (-4)

12% less call options, than puts

Call options by funds: $664M | Put options by funds: $751M

13% less repeat investments, than reductions

Existing positions increased: 426 | Existing positions reduced: 487

Holders
1,213
Holders Change
+34
Holders Change %
+2.88%
% of All Funds
24.48%
Holding in Top 10
61
Holding in Top 10 Change
-4
Holding in Top 10 Change %
-6.15%
% of All Funds
1.23%
New
91
Increased
426
Reduced
487
Closed
49
Calls
$664M
Puts
$751M
Net Calls
-$86.3M
Net Calls Change
+$36.9M
Name Holding Trade Value Shares
Change
Change in
Stake
AI
451
Atria Investments
North Carolina
$5.66M +$1.22M +3,467 +28%
ClearBridge Investments
452
ClearBridge Investments
New York
$5.61M -$18K -51 -0.3%
NMERB
453
New Mexico Educational Retirement Board
New Mexico
$5.58M -$353K -1,000 -6%
KJHP
454
K.J. Harrison & Partners
Ontario, Canada
$5.47M
HFS
455
Hantz Financial Services
Michigan
$5.42M +$9.17K +26 +0.2%
DAM
456
Deltec Asset Management
New York
$5.41M
SIA
457
Sit Investment Associates
Minnesota
$5.4M -$1.4M -3,980 -21%
SCM
458
Silvant Capital Management
Georgia
$5.38M -$94.2K -267 -2%
LG
459
Leuthold Group
Minnesota
$5.37M -$104K -295 -2%
DT
460
Diversified Trust
Tennessee
$5.36M +$195K +554 +4%
AB
461
Amalgamated Bank
New York
$5.34M -$143K -405 -3%
MCM
462
Mattern Capital Management
Colorado
$5.32M +$119K +338 +2%
NC
463
Northcape Capital
Australia
$5.16M +$1.24M +3,511 +32%
CIM
464
Chapman Investment Management
California
$5.13M +$706 +2 +0%
KRS
465
Kentucky Retirement Systems
Kentucky
$5.07M +$233K +660 +5%
SCM
466
Sirios Capital Management
Massachusetts
$5.07M -$489K -1,387 -9%
V
467
Veritable
Delaware
$5.05M -$75.2K -213 -1%
William Blair & Company
468
William Blair & Company
Illinois
$4.96M +$74.8K +212 +2%
AC
469
Athanor Capital
New York
$4.9M +$419K +1,189 +10%
Cambridge Investment Research Advisors
470
Cambridge Investment Research Advisors
Iowa
$4.86M +$394K +1,117 +9%
BA
471
Bridgewater Associates
Connecticut
$4.78M +$2.33M +6,598 +99%
PI
472
PEAK6 Investments
Illinois
$4.78M +$4.68M +13,257 New
BAM
473
Bell Asset Management
Australia
$4.71M +$36.3K +103 +0.8%
CCG
474
Cypress Capital Group
Florida
$4.69M +$521K +1,477 +13%
MYLI
475
Meiji Yasuda Life Insurance
Japan
$4.52M +$261K +741 +6%

SPGI Hedge Fund Activity: Q3 2020 in Review

1,213 of the 4,956 institutional investors tracked by Wall St. Rank reported a position in S&P Global (SPGI) for Q3 2020, worth a combined $72.5B — up 8.7% from $66.6B a quarter earlier.

Buyers outnumbered sellers: 91 funds opened new SPGI positions and 49 closed out — a net gain of 42 holders — while 426 added to existing stakes and 487 trimmed.

The largest buyer was C WorldWide Group, opening a new position worth an estimated $244M. The largest seller was Nordea Investment Management, cutting an estimated $185M.

  • 1,213 institutional investors held S&P Global (SPGI) as of Q3 2020, up from 1,179 in Q2 2020.
  • Funds reported $72.5B of S&P Global stock for Q3 2020, up 8.7% quarter-over-quarter.
  • 91 funds opened new S&P Global positions in Q3 2020 and 49 closed out, a net change of +42 holders.
  • The largest S&P Global buyer in Q3 2020 was C WorldWide Group, an estimated $244M added.
  • The largest S&P Global seller in Q3 2020 was Nordea Investment Management, an estimated $185M sold.

Based on aggregated 13F filings for Q3 2020.