This portfolio view aggregates one or more SEC Form 13F filings submitted by NVIDIA CORP each quarter. Holdings are organized into Stocks/ETFs, Options, Debt, and Other, with transaction markers indicating New Buy, Add, Reduce, No Change, or Sold Out. Reported anomalies are corrected where possible, and share counts are adjusted to reflect corporate actions such as stock splits. Since 2013, we have collected 8 quarters of portfolio data for this firm, providing a transparent record of institutional strategy over time.
| Name | Shares | Value | % of Portfolio | % Change | ||
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Note: Shares, Shares Change - split-adjusted.