Cardano Risk Management B.V.Cardano Risk Management B.V.

Institutional investor · Portfolio as of Q1 2022

SEC EDGAR SourceSEC Filings

Top Holdings5 positions

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Activity:
Stock
Shares
Value
Weight
Avg Buy
Est. P&L
Held
Conviction

APPLE INC

2M$343.6M31.2%$111.77+52.80%
13 qtrssince 2019-Q1
Increased
79

MICROSOFT CORP

1.1M$341.8M31.0%$177.66+71.28%
13 qtrssince 2019-Q1
Increased
81

AMAZON.COM INC

57,800$188.4M17.1%$114.53+45.20%
10 qtrssince 2019-Q4
Increased
81

ALPHABET INC-CL C

44,787$125.1M11.4%$87.25+62.27%
13 qtrssince 2019-Q1
Increased
85

ALPHABET INC-CL A

36,627$101.9M9.3%$78.91+78.51%
13 qtrssince 2019-Q1
Increased
77
$1.1B
AUM
5
Positions
Q1 2022
Filing
Rating · 5.0
Quarterly Portfolio Change
+10%Q4'20$732.2M-0%Q1'21$731.5M+13%Q2'21$823.2M-2%Q3'21$806M+13%Q4'21$910.6M+21%Q1'22$1.1B
Activity profile
$ moved · Q1'22
New0%Increased100%Decreased0%Exited0%
Composition
Equity vs derivatives
Equity100%Puts0%Calls0%
Holding period
Avg 2.9 years
<1Q0%1-4Q0%1-2Y0%2Y+100%

Cardano Risk Management B.V. manages $1.1B across 5 positions as of Q1 2022. Top holdings: AAPL (31.2%), MSFT (31.0%), AMZN (17.1%). Fund DNA: Concentrated Value. HoldingsIntel Rating: 5/5.0.

Q1 2022 Summary

Increased 5. Top move: GOOG (INCREASED, conviction 85). Portfolio: $1.1B across 5 positions.

Top holdings by portfolio weight

Total AUM$1B
AAPL31.21%
MSFT31.05%
AMZN17.12%
GOOG11.36%
GOOGL9.25%

Portfolio allocation by GICS sector

Sectors3
Technology62.26%
Communication Services20.62%
Consumer Cyclical17.12%

Behavioral investing profile

7-dimension quality assessment
Elite(5.0 / 5.0)
Track Record64
Conviction53
Concentration82
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Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

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Accumulation Streaks

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5Q
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Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

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