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Asset Manager ← All Institutions

Hedges Asset Management LLC

Q4 2025 · Filed 2026-01-27
Market Value
$140M
+7.5%
Holdings
111
+2
New Purchases
10
Added To
21
Closed
5
Reduced
34
Top 10 Concentration
34.6%
Turnover
13.5%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
BCS 2.19% 0.00% +2.19% $3M
SH 1.78% 0.00% +1.78% $2M
IMAX 1.49% 0.00% +1.49% $2M
TGT 0.74% 0.00% +0.74% $1M
HON 1.25% 0.52% +0.73% $2M
LUV 2.66% 2.22% +0.44% $4M
Q 0.29% 0.00% +0.29% $412K
EW 0.24% 0.00% +0.24% $332K
WY 0.94% 0.70% +0.24% $1M
PAAS 1.65% 1.43% +0.22% $2M
PPLT 1.26% 1.05% +0.21% $2M
AA 0.19% 0.00% +0.19% $266K
SQM 0.58% 0.39% +0.19% $805K
FIGS 0.52% 0.33% +0.18% $721K
SLV 0.58% 0.41% +0.17% $805K

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
GBCI 9.29% 10.84% -1.55% $13M
UL 0.00% 1.18% -1.18% $0
WBD 0.21% 1.14% -0.94% $288K
PENN 1.92% 2.60% -0.69% $3M
DD 0.00% 0.62% -0.62% $0
GE 4.78% 5.30% -0.52% $7M
LYFT 1.21% 1.61% -0.40% $2M
NTNX 0.71% 1.09% -0.39% $987K
UBER 0.57% 0.91% -0.34% $797K
NVST 0.32% 0.64% -0.32% $452K
GLPI 2.50% 2.80% -0.30% $3M
WYNN 1.63% 1.91% -0.28% $2M
CRSP 0.85% 1.12% -0.27% $1M
KHC 0.80% 1.06% -0.26% $1M
VZ 1.60% 1.84% -0.24% $2M

Sector Allocation Over Time

Market Cap Concentration

TierHoldingsValueWeight
Mega Cap 13 $22M 16.0%
Large Cap 63 $70M 50.0%
Mid Cap 24 $34M 24.6%
Small Cap 8 $12M 8.5%
Micro Cap 3 $1M 0.9%

Portfolio Analytics

Avg Market Cap
$70.8B
Median Market Cap
$27.6B
Avg P/E
27.8
Median P/E
23.0
Avg Dividend Yield
0.02%
Avg Beta
0.93
# Stocks
91
# ETFs / Funds
20

Top Holdings (111 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 GBCI 9.29% 295,223 $13M $44.05 -$1M +5,000 +1.7%
2 GE 4.78% 21,700 $7M $308.03 -$220K -1,250 -5.5%
3 BA 3.97% 25,600 $6M $217.12 $238K +950 +3.9%
4 SHEL 2.94% 56,100 $4M $73.48 $109K
5 LUV 2.66% 90,100 $4M $41.33 $826K -700 -0.8%
6 GLPI 2.50% 78,260 $3M $44.69 -$150K
7 GDX 2.44% 39,900 $3M $85.77 $374K
8 BCS 2.19% 120,500 $3M $25.45 +120,500 NEW
9 PENN 1.92% 182,150 $3M $14.75 -$706K +6,000 +3.4%
10 BP 1.86% 75,067 $3M $34.73 $28K +211 +0.3%
11 SH 1.78% 69,000 $2M $36.03 +69,000 NEW
12 PAAS 1.65% 44,572 $2M $51.81 $452K -3,381 -7.0%
13 B 1.64% 52,800 $2M $43.55 $300K -8,200 -13.4%
14 WYNN 1.63% 19,015 $2M $120.33 -$202K -400 -2.1%
15 NGD 1.60% 257,500 $2M $8.71 $322K -10,000 -3.7%
16 VZ 1.60% 54,850 $2M $40.73 -$163K +300 +0.6%
17 PHYS 1.53% 65,000 $2M $33.02 $221K
18 ARCO 1.51% 287,900 $2M $7.34 $94K -11,200 -3.7%
19 IMAX 1.49% 56,500 $2M $36.96 +56,500 NEW
20 PSQ 1.47% 68,300 $2M $30.20 -$169K -3,600 -5.0%
21 LIND 1.44% 139,900 $2M $14.42 $209K -1,400 -1.0%
22 INTC 1.38% 52,400 $2M $36.90 $169K -200 -0.4%
23 DOW 1.37% 82,200 $2M $23.38 $67K +1,300 +1.6%
24 NEM 1.34% 18,850 $2M $99.85 $284K -100 -0.5%
25 PPLT 1.26% 9,450 $2M $186.43 $390K -150 -1.6%
26 VGK 1.25% 21,000 $2M $83.61 $80K
27 HON 1.25% 8,950 $2M $195.09 $1M +5,725 +177.5%
28 ELAN 1.23% 76,000 $2M $22.63 $179K -500 -0.7%
29 LYFT 1.21% 87,600 $2M $19.37 -$405K -7,900 -8.3%
30 CVX 1.21% 11,100 $2M $152.41 -$32K
31 FDX 1.19% 5,750 $2M $288.86 $305K
32 WFC 1.07% 16,000 $1M $93.20 $24K -1,500 -8.6%
33 BKD 1.06% 137,000 $1M $10.79 $275K -5,000 -3.5%
34 MRK 1.05% 13,900 $1M $105.26 $296K
35 FMC 0.99% 100,100 $1M $13.87 -$532 +58,800 +142.4%
36 IBM 0.97% 4,600 $1M $296.21 $8K -200 -4.2%
37 L 0.96% 12,700 $1M $105.31 $62K
38 SLB 0.95% 34,700 $1M $38.38 $129K -300 -0.9%
39 WY 0.94% 55,500 $1M $23.69 $398K +18,500 +50.0%
40 F-PD 0.88% 93,700 $1M $13.12 $109K
41 TSN 0.87% 20,750 $1M $58.62 $90K
42 CRSP 0.85% 22,775 $1M $52.44 -$264K +275 +1.2%
43 CNHI 0.80% 121,000 $1M $9.22 -$72K +11,500 +10.5%
44 KHC 0.80% 45,900 $1M $24.25 -$265K -7,025 -13.3%
45 WMB 0.79% 18,400 $1M $60.11 -$60K
46 IFF 0.77% 15,900 $1M $67.39 -$24K -1,900 -10.7%
47 SHAK 0.76% 13,050 $1M $81.17 -$160K +25 +0.2%
48 VTRS 0.75% 84,500 $1M $12.45 $225K +1,000 +1.2%
49 TGT 0.74% 10,550 $1M $97.75 +10,550 NEW
50 UPS 0.71% 10,000 $992K $99.19 $140K -200 -2.0%
51 NTNX 0.71% 19,100 $987K $51.69 -$434K
52 SCHW 0.67% 9,400 $939K $99.91 $42K
53 BMY 0.65% 16,775 $905K $53.94 $67K -1,800 -9.7%
54 DOG 0.63% 37,450 $880K $23.49 $40K +2,950 +8.6%
55 GT 0.60% 96,000 $841K $8.76 -$4K -17,000 -15.0%
56 BAC 0.59% 14,900 $820K $55.00 $46K -100 -0.7%
57 SLV 0.58% 12,500 $805K $64.42 $276K
58 SQM 0.58% 11,700 $805K $68.80 $302K
59 UBER 0.57% 9,750 $797K $81.71 -$394K -2,400 -19.8%
60 EUFN 0.56% 21,000 $779K $37.09 $58K
61 DIS 0.55% 6,750 $768K $113.77 $75K +700 +11.6%
62 CNK 0.54% 32,500 $755K $23.24 -$147K +300 +0.9%
63 FIGS 0.52% 63,500 $721K $11.36 $290K -1,000 -1.6%
64 MGM 0.49% 18,700 $682K $36.49 $34K
65 NTR 0.46% 10,400 $642K $61.72 $25K -100 -0.9%
66 MMM 0.43% 3,800 $608K $160.10 $19K
67 MSOS 0.43% 128,000 $604K $4.72 $231K +50,000 +64.1%
68 BROS 0.38% 8,600 $526K $61.22 $76K
69 WPM 0.34% 4,000 $470K $117.52 $23K
70 HP 0.33% 16,300 $467K $28.68 $107K
71 HMC 0.33% 15,800 $466K $29.48 -$18K +100 +0.6%
72 ABNB 0.32% 3,350 $455K $135.72 $48K
73 NVST 0.32% 20,800 $452K $21.71 -$380K -20,000 -49.0%
74 IEV 0.32% 6,500 $446K $68.60 $20K
75 FXI 0.31% 11,400 $437K $38.29 -$32K
76 CCJ 0.31% 4,700 $430K $91.49 $27K -100 -2.1%
77 Q 0.29% 5,050 $412K $81.65 +5,050 NEW
78 KWEB 0.29% 11,800 $402K $34.05 -$94K
79 CPB 0.28% 14,000 $390K $27.87 $90K +4,500 +47.4%
80 MDT 0.27% 3,900 $375K $96.06 $3K
81 INSP 0.26% 3,900 $360K $92.23 $100K +400 +11.4%
82 DFE 0.26% 5,000 $359K $71.84 $7K
83 ROG 0.25% 3,800 $348K $91.57 $42K
84 KMI 0.25% 12,500 $344K $27.49 -$10K
85 VEU 0.24% 4,600 $338K $73.56 $10K
86 EW 0.24% 3,900 $332K $85.25 +3,900 NEW
87 WAB 0.24% 1,550 $331K $213.45 $72 -100 -6.1%
88 SGOL 0.23% 8,000 $329K $41.08 $34K
89 COP 0.23% 3,400 $318K $93.61 $91K +1,000 +41.7%
90 MCD 0.22% 1,000 $306K $305.63 $2K
91 GVA 0.21% 2,500 $288K $115.35 $14K
92 WBD 0.21% 10,000 $288K $28.82 -$1M -66,300 -86.9%
93 RSP 0.21% 1,500 $287K $191.56 $3K
94 PSLV 0.20% 12,000 $284K $23.65 -$211K -19,500 -61.9%
95 GEHC 0.20% 3,400 $279K $82.02 $998 -300 -8.1%
96 AA 0.19% 5,000 $266K $53.14 +5,000 NEW
97 EEM 0.18% 4,700 $257K $54.71 $6K
98 DAL 0.18% 3,700 $257K $69.40 $47K
99 VEA 0.18% 4,000 $250K $62.47 $10K
100 FNV 0.18% 1,200 $249K $207.28 -$19K

New Positions

SymbolValue% Port
BCS $3M 2.19%
SH $2M 1.78%
IMAX $2M 1.49%
TGT $1M 0.74%
Q $412K 0.29%
EW $332K 0.24%
AA $266K 0.19%
MBLY $230K 0.16%
ALB $212K 0.15%
SGMO $52K 0.04%

Sold Out Positions

SymbolValue% Port
GEV —%
DD —%
UL —%
CRWV —%
BABA —%
View SEC EDGAR Filings for Hedges Asset Management LLC →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms