AXA S.A.
โขCIK: 898427โขFiling: Q4 2025
**AXA S.A.** manages $211M across 73 diverse positions, exhibiting a growth-oriented mandate. The portfolio is heavily weighted toward US equities, with the top holding being SPY at $46.3M. Significant allocations are maintained in technology leaders, including NVDA ($10.6M), MSFT ($10.3M), and AAPL ($8.2M). This concentration suggests a tactical bet on established market indices and mega-cap technology names.
Total AUM
$211.4M
QoQ Performance
+6.0%
Positions
72
Top 10 Concentration
59.6%
Latest Filing
Q4 2025
Top Holdings Allocation
SPY
TTE
NVDA
SPY21.9%
TTE5.4%
NVDA5.0%
IEMG4.9%
MSFT4.9%
BRK.B4.2%
AAPL3.9%
AMZN3.7%
๐ Biggest Buys
๐ Biggest Sells
Sector Breakdown
Other34.3%
Technology25.2%
ETF21.9%
Consumer6.5%
Financial4.2%
Healthcare2.8%
Consumer Staples1.6%
Industrial0.9%
๐ช Exited Positionssold since Q3 2025
Changes from Q3 2025
NEW16 new positions
โ14 increased
โ38 decreased
Historical Filings
Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022