NATIXIS
โขCIK: 1274981โขFiling: Q4 2025
NATIXIS, with $25.3 billion in assets under management, maintains a concentrated portfolio strategy, heavily weighted in large-cap U.S. equities like VOO and SPYM, which together account for over a quarter of its holdings. Recently, the fund has made notable shifts by adding RL and HST with significant weight increases, while exiting FXI and RBLX, reflecting a focus on high-growth tech and healthcare sectors.
Total AUM
$25.1B
+ $174.7M in options
QoQ Performance
+59.3%
Positions
1,019
+ 11 options
Top 10 Concentration
53.5%
Latest Filing
Q4 2025
Top Holdings Allocation
VOO
SPYM
VOO20.5%
SPYM5.3%
META4.0%
AVGO3.6%
NVDA3.2%
SPY2.5%
AMZN2.4%
JPM2.0%
๐ Biggest Buys
๐ Biggest Sells
Sector Breakdown
Other33.1%
ETF26.6%
Technology18.8%
Consumer6.2%
Financial4.2%
Healthcare4.2%
Real Estate1.8%
Industrial1.7%
๐ช Exited Positionssold since Q3 2025
+853 more exited positions
Changes from Q3 2025
NEW20 new positions
โ121 increased
โ57 decreased
Historical Filings
Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022