Broyhill Asset Management has filed its 13F form on August 14, 2025 for Q2 2025 where it was disclosed a total value porftolio of $110 Billion distributed in 76 stocks.

Among their holdings, we can observe that their the top five positions include companies like: Ishares Barclays 1 3 Year Trea with a value of $9.84B, Philip Morris International Inc. with a value of $6.49B, Avantor, Inc. with a value of $4.9B, Baxter International Inc with a value of $4.03B, and Nice Ltd. with a value of $3.72B.

Examining the 13F form we can see an decrease of $12.9B in the current position value, from $123B to 110B.

Broyhill Asset Management is based out at Charlotte, NC

Below you can find more details about Broyhill Asset Management portfolio as well as his latest detailed transactions.

Portfolio value $110 Billion
Technology: $19.8 Billion
ETFs: $19.4 Billion
Financial Services: $19.4 Billion
Consumer Defensive: $13.2 Billion
Healthcare: $12.9 Billion
Basic Materials: $4.9 Billion
Communication Services: $4.75 Billion
Consumer Cyclical: $4.65 Billion
Other: $6.08 Billion

Stock Holdings Table Companies Only

Stock Market Cap. Holding Value (Reported) # of Shares. Last Trade Trade History

Summary

  • Portfolio
  • No. of Stocks 76
  • Current Value $110 Billion
  • Prior Value $123 Billion
  • Filing
  • Period Q2 2025
  • Filing Date August 14, 2025
  • Form Type 13F-HR
  • Activity in Q2 2025
  • New Purchases 5 stocks
  • Additional Purchases 8 stocks
  • Sold out of 0 stocks
  • Reduced holdings in 26 stocks
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