Cliff Asness’s B Holdings & Trades

First Buy
Q4 2012
Duration Held
52 Quarters
Largest Add
Q2 2016
+7.25 M Shares
Current Position
130,306 Shares
$4.27 M Value

Cliff Asness's B Position Overview

Cliff Asness (via Aqr Capital Management LLC) currently holds 130,306 shares of Barrick Mining Corporation (B) worth $4.27 M, representing 0.00% of the portfolio. First purchased in 2012-Q4, this long-term strategic position has been held for 52 quarters.

Based on 13F filings since 2013, Cliff Asness has maintained a long-term strategic position in B, representing a significant commitment to this investment thesis. Largest addition occurred in Q2 2016, adding 7.26 M shares. Largest reduction occurred in Q3 2016, reducing 7.14 M shares.

Analysis based on 13F filings available since 2013 Q2

Cliff Asness's Barrick Mining Corporation (B) Holding Value Over Time

Track share changes against reported price movement

Quarterly Barrick Mining Corporation (B) Trades by Cliff Asness

Period Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q4 2012 +26,901 Add 0.00% 26,900 $35.02
Q4 2012 +177,768 Add 0.00% 177,767 $22.46
Q2 2013 +47,901 Add 0.00% 47,900 $15.74
Q3 2013 +20,200 Add 42.17% 68,100 $18.62
Q3 2013 -32,176 Reduce 67.17% 15,724 $34.91
Q4 2013 -4,400 Reduce 27.98% 11,324 $38.33
Q4 2013 +25,776 Add 163.93% 41,500 $17.64
Q1 2014 +8,500 Add 75.06% 19,824 $38.49
Q1 2014 +35,976 Add 317.70% 47,300 $17.82
Q2 2014 -29,176 Reduce 61.68% 18,124 $38.51
Q2 2014 -300 Reduce 0.63% 47,000 $18.30
Q3 2014 +31,076 Add 171.46% 49,200 $14.65
Q4 2014 +1.26 M Add 2551.04% 1.3 M $10.81
Q1 2015 -35,100 Reduce 2.69% 1.27 M $10.94
Q2 2015 +193,692 Add 15.26% 1.46 M $10.69
Q3 2015 -1.46 M Reduce 99.54% 6,670 $35.98
Q3 2015 +802,732 Add 54.87% 2.27 M $6.33
Q4 2015 +11,757 Add 176.27% 18,427 $35.38
Q4 2015 +2.07 M Add 31024.95% 2.08 M $7.37
Q1 2016 +25,289 Add 137.24% 43,716 $35.02
Q1 2016 +3.07 M Add 16653.20% 3.09 M $13.64
Q2 2016 -16,774 Reduce 38.37% 26,942 $33.11
Q2 2016 +7.25 M Add 16579.11% 7.29 M $21.24
Q3 2016 +7.16 M Add 26567.42% 7.18 M $17.68
Q3 2016 +20,891 Add 77.54% 47,833 $40.54
Q4 2016 -7.13 M Reduce 99.22% 55,797 $47.42
Q4 2016 -620,427 Reduce 8.64% 6.56 M $16.02
Q1 2017 -478 Reduce 0.86% 55,319 $51.34
Q1 2017 +3.29 M Add 5898.03% 3.35 M $18.94
Q2 2017 +19,613 Add 35.45% 74,932 $58.53
Q2 2017 +2.05 M Add 3705.14% 2.1 M $15.89
Q3 2017 +5,674 Add 7.57% 80,606 $70.44
Q3 2017 +1.98 M Add 2641.71% 2.05 M $16.06
Q4 2017 +21,813 Add 27.06% 102,419 $63.27
Q4 2017 +1.61 M Add 1992.09% 1.69 M $14.51
Q1 2018 -7,448 Reduce 7.27% 94,971 $59.89
Q1 2018 +1.37 M Add 1333.84% 1.47 M $12.45
Q2 2018 -23,160 Reduce 24.39% 71,811 $58.90
Q2 2018 +1.48 M Add 1556.92% 1.57 M $13.13
Q3 2018 -18,613 Reduce 25.92% 53,198 $71.04
Q3 2018 +1.28 M Add 1780.13% 1.35 M $11.06
Q4 2018 -1.33 M Reduce 98.69% 17,685 $53.60
Q4 2018 +742,219 Add 54.97% 2.09 M $13.51
Q1 2019 +3.41 M Add 19294.66% 3.43 M $13.71
Q2 2019 -3.42 M Reduce 99.59% 14,187 $56.32
Q2 2019 -3.37 M Reduce 98.24% 60,537 $15.78
Q3 2019 +2,322 Add 16.37% 16,509 $51.55
Q3 2019 +47,196 Add 332.67% 61,383 $17.33
Q4 2019 -8,397 Reduce 50.86% 8,112 $62.01
Q4 2019 +44,070 Add 266.95% 60,579 $18.59
Q1 2020 -3,320 Reduce 40.93% 4,792 $41.74
Q1 2020 +16,751 Add 206.50% 24,863 $18.30
Q2 2020 +17,666 Add 368.66% 22,458 $26.94
Q2 2020 +7,201 Add 150.27% 11,993 $39.52
Q3 2020 -2,624 Reduce 21.88% 9,369 $35.76
Q3 2020 +14,319 Add 119.39% 26,312 $28.12
Q4 2020 -217 Reduce 2.32% 9,152 $50.70
Q4 2020 +13,996 Add 149.39% 23,365 $22.77
Q1 2021 -2,602 Reduce 28.43% 6,550 $49.47
Q1 2021 +12,248 Add 133.83% 21,400 $19.81
Q2 2021 +4,345 Add 66.34% 10,895 $51.22
Q2 2021 +23,692 Add 361.71% 30,242 $20.67
Q3 2021 +20,774 Add 190.67% 31,669 $18.06
Q4 2021 +4,488 Add 41.19% 15,383 $46.61
Q4 2021 +22,286 Add 204.55% 33,181 $18.99
Q1 2022 -6,524 Reduce 42.41% 8,859 $40.19
Q1 2022 +23,614 Add 153.51% 38,997 $24.54
Q2 2022 +22,739 Add 256.68% 31,598 $31.14
Q2 2022 +27,815 Add 313.97% 36,674 $17.70
Q3 2022 +20,705 Add 65.53% 52,303 $28.89
Q3 2022 +4,769 Add 15.09% 36,367 $15.51
Q4 2022 -25,830 Reduce 49.39% 26,473 $40.85
Q4 2022 -20,344 Reduce 38.90% 31,959 $17.18
Q1 2023 -7,134 Reduce 26.95% 19,339 $40.28
Q1 2023 -2,085 Reduce 7.88% 24,388 $18.57
Q2 2023 +659 Add 3.41% 19,998 $42.19
Q2 2023 +14,829 Add 76.68% 34,168 $16.93
Q3 2023 +899 Add 4.50% 20,897 $33.97
Q3 2023 +24,729 Add 123.66% 44,727 $14.55
Q4 2023 -9,937 Reduce 47.55% 10,960 $32.63
Q4 2023 +17,243 Add 82.51% 38,140 $18.09
Q1 2024 -3,487 Reduce 31.82% 7,473 $37.15
Q1 2024 +24,229 Add 221.07% 35,189 $16.64
Q2 2024 +36,428 Add 487.46% 43,901 $16.68
Q3 2024 +40,410 Add 92.05% 84,311 $19.89
Q4 2024 -7,170 Reduce 8.50% 77,141 $15.50
Q4 2024 -79,693 Reduce 94.52% 4,618 $47.26
Q1 2025 +5,754 Add 7.46% 82,895 $19.44
Q2 2025 +16,017 Add 19.32% 98,912 $20.82
Q3 2025 +31,394 Add 31.74% 130,306 $32.77

Cliff Asness's Barrick Mining Corporation Investment FAQs

Cliff Asness first purchased Barrick Mining Corporation (B) in Q4 2012, acquiring 26,900 shares, as reported in their 13F filing for that period. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

Cliff Asness has held Barrick Mining Corporation (B) for 52 quarters since Q4 2012. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

Cliff Asness's largest addition to Barrick Mining Corporation (B) was in Q2 2016, adding 7,291,441 shares worth $154.85 M. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

According to the latest 13F filing for Q3 2025, Cliff Asness's firm, Aqr Capital Management LLC, owns 130,306 shares of Barrick Mining Corporation (B), valued at approximately $4.27 M. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

As of the Q3 2025 filing, Barrick Mining Corporation (B) represents approximately 0.00% of Cliff Asness's publicly disclosed stock portfolio, making it one of their key holdings. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

Cliff Asness's peak holding in Barrick Mining Corporation (B) was 7,291,441 shares, as reported at the end of Q2 2016. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.