Cliff Asness’s PWR Holdings & Trades

First Buy
Q2 2013
Duration Held
50 Quarters
Largest Add
Q1 2016
+952,177 Shares
Current Position
102,326 Shares
$42.12 M Value

Cliff Asness's PWR Position Overview

Cliff Asness (via Aqr Capital Management LLC) currently holds 102,326 shares of Quanta Services, Inc. (PWR) worth $42.12 M, representing 0.03% of the portfolio. First purchased in 2013-Q2, this long-term strategic position has been held for 50 quarters.

Based on 13F filings since 2013, Cliff Asness has maintained a long-term strategic position in PWR, representing a significant commitment to this investment thesis. Largest addition occurred in Q1 2016, adding 952,177 shares. Largest reduction occurred in Q1 2018, reducing 1.25 M shares.

Analysis based on 13F filings available since 2013 Q2

Cliff Asness's Quanta Services (PWR) Holding Value Over Time

Track share changes against reported price movement

Quarterly Quanta Services (PWR) Trades by Cliff Asness

Report Date Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q2 2013 +110,998 Add 0.00% 110,997 $26.46
Q3 2013 -89,820 Reduce 80.92% 21,177 $27.53
Q4 2013 +18,423 Add 87.00% 39,600 $31.57
Q1 2014 +19,100 Add 48.23% 58,700 $36.90
Q2 2014 +69,180 Add 117.85% 127,880 $34.58
Q3 2014 +53,428 Add 41.78% 181,308 $36.29
Q4 2014 +203,083 Add 112.01% 384,391 $28.39
Q1 2015 -115,700 Reduce 30.10% 268,691 $28.53
Q2 2015 +62,570 Add 23.29% 331,261 $28.82
Q3 2015 -198,925 Reduce 60.05% 132,336 $24.21
Q4 2015 +801,687 Add 605.80% 934,023 $20.25
Q1 2016 +952,177 Add 101.94% 1.89 M $22.56
Q2 2016 +584,078 Add 30.97% 2.47 M $23.12
Q3 2016 +846,481 Add 34.27% 3.32 M $27.99
Q4 2016 -576,011 Reduce 17.37% 2.74 M $34.85
Q1 2017 -583,379 Reduce 21.29% 2.16 M $37.11
Q2 2017 -571,844 Reduce 26.51% 1.59 M $32.92
Q3 2017 +79,399 Add 5.01% 1.66 M $37.51
Q4 2017 +391,266 Add 23.50% 2.06 M $39.11
Q1 2018 -1.25 M Reduce 61.00% 801,812 $34.35
Q2 2018 +284,338 Add 35.46% 1.09 M $33.40
Q3 2018 -232,508 Reduce 21.41% 853,642 $33.38
Q4 2018 +6,913 Add 0.81% 860,555 $30.10
Q1 2019 +489,093 Add 56.83% 1.35 M $37.57
Q2 2019 +512,376 Add 37.96% 1.86 M $38.19
Q3 2019 +153,773 Add 8.26% 2.02 M $37.40
Q4 2019 -436,629 Reduce 21.66% 1.58 M $40.71
Q1 2020 +45,246 Add 2.87% 1.62 M $30.29
Q2 2020 -206,699 Reduce 12.72% 1.42 M $38.84
Q3 2020 +144,002 Add 10.16% 1.56 M $52.86
Q4 2020 -395,854 Reduce 25.35% 1.17 M $71.25
Q1 2021 -748,461 Reduce 64.20% 417,402 $87.77
Q2 2021 -251,996 Reduce 60.37% 165,406 $90.39
Q3 2021 -80,750 Reduce 48.82% 84,656 $113.83
Q4 2021 -14,959 Reduce 17.67% 69,697 $113.41
Q1 2022 -5,171 Reduce 7.42% 64,526 $131.61
Q2 2022 -13,872 Reduce 21.50% 50,654 $119.93
Q3 2022 -11,344 Reduce 22.40% 39,310 $127.40
Q4 2022 -8,482 Reduce 21.58% 30,828 $140.85
Q1 2023 +552 Add 1.79% 31,380 $166.64
Q2 2023 +460 Add 1.47% 31,840 $195.31
Q3 2023 +2,528 Add 7.94% 34,368 $187.07
Q4 2023 +532 Add 1.55% 34,900 $215.80
Q1 2024 +3,239 Add 9.28% 38,139 $259.80
Q2 2024 +57 Add 0.15% 38,196 $254.09
Q3 2024 -3,327 Reduce 8.71% 34,869 $296.95
Q4 2024 +5,042 Add 14.46% 39,911 $316.05
Q1 2025 +1,622 Add 4.06% 41,533 $248.47
Q2 2025 -3,201 Reduce 7.71% 38,332 $377.07
Q3 2025 +63,994 Add 166.95% 102,326 $411.65

Cliff Asness's Quanta Services Investment FAQs

Cliff Asness first purchased Quanta Services, Inc. (PWR) in Q2 2013, acquiring 110,997 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 Quanta Services, Inc. (PWR) for 50 quarters since Q2 2013.

Cliff Asness's largest addition to Quanta Services, Inc. (PWR) was in Q1 2016, adding 1,886,200 shares worth $42.55 M.

According to the latest 13F filing for Q3 2025, Cliff Asness's firm, Aqr Capital Management LLC, owns 102,326 shares of Quanta Services, Inc. (PWR), valued at approximately $42.12 M.

As of the Q3 2025 filing, Quanta Services, Inc. (PWR) represents approximately 0.03% of Cliff Asness's publicly disclosed stock portfolio, making it one of their key holdings.

Cliff Asness's peak holding in Quanta Services, Inc. (PWR) was 3,316,759 shares, as reported at the end of Q3 2016.