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Op Asset Management LTD 13F Filings, Portfolio & Analysis

CIK: 0002097005
Helsinki Gebhardinaukio 1
Zip Code: 00510
Latest Portfolio Value
$9.41 B
Total Holdings
719
Latest Report Date
Q1 2026
Top 10 Concentration
41.81%

Op Asset Management LTD — Portfolio Overview & Company Profile

Op Asset Management LTD (CIK: 0002097005) is a financial institution headquartered at Gebhardinaukio 1, , Helsinki, Finland 00510. The firm regularly files Form 13F with the U.S. Securities and Exchange Commission (SEC), disclosing its equity holdings and investment positions.

As of the latest reporting period (2026-03-31), the institution manages a portfolio valued at $9.41 B, comprising 719 distinct securities. Over its filing history, it has submitted 2 Form 13F reports.

To view the institution’s full SEC filing history:
🔗 View All SEC Filings

Q1 2026 — Top-10 concentration: 41.8%.

Portfolio Summary (Q1 2026)

Top Buys

Q1 2026

No buy transactions available for this period

Top Sells

Q1 2026

No sell transactions available for this period

Asset Allocation

Stocks/ETFs
$9.41 B 0.00%
Options
$0 0.00%
Debt
$0 0.00%
Other
$0 0.00%

Sector Allocation (Stocks)

Top Stock & ETF Holdings (Q1 2026)

Name Shares Market Value Weight Change Activity
5.27 M $1.06 B 11.30% ▲ 5,273,424
1.43 M $610.56 M 6.49% ▲ 1,426,567
570,878 $431.15 M 4.58% ▲ 570,878
1.16 M $383.75 M 4.08% ▲ 1,157,043
918,435 $328.67 M 3.49% ▲ 918,435
417,637 $276.27 M 2.94% ▲ 417,637
543,055 $233.41 M 2.48% ▲ 543,055
679,658 $225.97 M 2.40% ▲ 679,658
293,158 $202.54 M 2.15% ▲ 293,158
166,613 $177.18 M 1.88% ▲ 166,613

Historical Portfolio Charts