Cliff Asness’s SMP Holdings & Trades

First Buy
Q4 2012
Duration Held
52 Quarters
Largest Add
Q2 2013
+430,775 Shares
Current Position
4,912 Shares
$200,511 Value

Cliff Asness's SMP Position Overview

Cliff Asness (via Aqr Capital Management LLC) currently holds 4,912 shares of Standard Motor Products, Inc. (SMP) worth $200,511, 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 SMP, representing a significant commitment to this investment thesis. Largest addition occurred in Q2 2013, adding 87,916 shares. Largest reduction occurred in Q3 2013, reducing 199,421 shares.

Analysis based on 13F filings available since 2013 Q2

Cliff Asness's Standard Motor Products (SMP) Holding Value Over Time

Track share changes against reported price movement

Quarterly Standard Motor Products (SMP) Trades by Cliff Asness

Report Date Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q4 2012 +342,859 Add 0.00% 342,858 $22.22
Q2 2013 +430,775 Add 0.00% 430,774 $34.34
Q3 2013 -199,421 Reduce 46.29% 231,353 $32.16
Q4 2013 -33,601 Reduce 14.52% 197,752 $36.80
Q1 2014 -33,100 Reduce 16.74% 164,652 $35.77
Q2 2014 -56,900 Reduce 34.56% 107,752 $44.67
Q3 2014 -35,600 Reduce 33.04% 72,152 $34.43
Q4 2014 -20,318 Reduce 28.16% 51,834 $38.12
Q1 2015 -2,665 Reduce 5.14% 49,169 $42.26
Q2 2015 -19,348 Reduce 39.35% 29,821 $35.11
Q3 2015 -10,152 Reduce 34.04% 19,669 $34.88
Q4 2015 +8,123 Add 41.30% 27,792 $38.07
Q1 2016 +35,803 Add 128.82% 63,595 $34.66
Q2 2016 -7,924 Reduce 12.46% 55,671 $39.79
Q3 2016 -15,241 Reduce 27.38% 40,430 $47.76
Q4 2016 -14,548 Reduce 35.98% 25,882 $53.20
Q1 2017 +2,030 Add 7.84% 27,912 $49.15
Q2 2017 +13,144 Add 47.09% 41,056 $52.22
Q3 2017 +18,710 Add 45.57% 59,766 $48.25
Q4 2017 +9,306 Add 15.57% 69,072 $44.91
Q1 2018 -53,073 Reduce 76.84% 15,999 $47.57
Q2 2018 -15,999 Sold Out 15,999 $47.57
Q1 2019 +6,320 New Buy 6,320 $49.05
Q2 2019 +4,369 Add 69.13% 10,689 $45.37
Q3 2019 +21,354 Add 199.78% 32,043 $48.56
Q4 2019 +60,674 Add 189.35% 92,717 $53.22
Q1 2020 -12,147 Reduce 13.10% 80,570 $41.57
Q2 2020 -10,967 Reduce 13.61% 69,603 $41.21
Q3 2020 -6,816 Reduce 9.79% 62,787 $44.64
Q4 2020 +46,008 Add 73.28% 108,795 $40.46
Q1 2021 +25,867 Add 23.78% 134,662 $41.58
Q2 2021 -24,245 Reduce 18.00% 110,417 $43.35
Q3 2021 -18,871 Reduce 17.09% 91,546 $43.70
Q4 2021 -26,972 Reduce 29.46% 64,574 $52.39
Q1 2022 -4,640 Reduce 7.19% 59,934 $43.15
Q2 2022 -21,860 Reduce 36.47% 38,074 $44.99
Q3 2022 +15,761 Add 41.40% 53,835 $32.51
Q4 2022 -5,099 Reduce 9.47% 48,736 $34.80
Q1 2023 +13,438 Add 27.57% 62,174 $36.91
Q2 2023 +12,956 Add 20.84% 75,130 $37.52
Q3 2023 +73,937 Add 98.41% 149,067 $33.62
Q4 2023 +8,853 Add 5.94% 157,920 $39.81
Q1 2024 -23,319 Reduce 14.77% 134,601 $33.55
Q2 2024 +9,665 Add 7.18% 144,266 $27.73
Q3 2024 -58,058 Reduce 40.24% 86,208 $33.20
Q4 2024 -18,537 Reduce 21.50% 67,671 $30.98
Q1 2025 -25,471 Reduce 37.64% 42,200 $24.93
Q2 2025 -42,200 Sold Out 42,200 $24.93
Q3 2025 +4,912 New Buy 4,912 $40.82

Cliff Asness's Standard Motor Products Investment FAQs

Cliff Asness first purchased Standard Motor Products, Inc. (SMP) in Q4 2012, acquiring 342,858 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 Standard Motor Products, Inc. (SMP) for 52 quarters since Q4 2012.

Cliff Asness's largest addition to Standard Motor Products, Inc. (SMP) was in Q2 2013, adding 430,774 shares worth $14.79 M.

According to the latest 13F filing for Q3 2025, Cliff Asness's firm, Aqr Capital Management LLC, owns 4,912 shares of Standard Motor Products, Inc. (SMP), valued at approximately $200,511.

As of the Q3 2025 filing, Standard Motor Products, Inc. (SMP) represents approximately 0.00% of Cliff Asness's publicly disclosed stock portfolio, making it one of their key holdings.

Cliff Asness's peak holding in Standard Motor Products, Inc. (SMP) was 430,774 shares, as reported at the end of Q2 2013.