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Adviser
Type
Submitted
Adviser Nixon Capital, LLC Type 13F-HR Submitted
05/15/2025
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker90353T100 Stock NameUBER TECHNOLOGIES INC $ Position$27.7 b % Position10.00 % $ Change14.00 % # Shares380,077 # Change6.00 %
Stock Ticker70450Y103 Stock NamePAYPAL HLDGS INC $ Position$23.9 b % Position8.00 % $ Change-23.00 % # Shares366,018 # Change7.00 %
Stock Ticker78440X887 Stock NameSL GREEN RLTY CORP $ Position$21.1 b % Position7.00 % $ Change-10.00 % # Shares366,068 # Change4.00 %
Stock Ticker143658300 Stock NameCARNIVAL CORP $ Position$20.1 b % Position7.00 % $ Change4.00 % # Shares1,031,187 # Change35.00 %
Stock Ticker835699307 Stock NameSONY GROUP CORP $ Position$17.5 b % Position6.00 % $ Change-23.00 % # Shares689,073 # Change-36.00 %
Adviser Nixon Capital, LLC Type 13F-HR Submitted
02/13/2025
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker70450Y103 Stock NamePAYPAL HLDGS INC $ Position$30.8 b % Position10.00 % $ Change20.00 % # Shares343,178 # Change4.00 %
Stock Ticker90353T100 Stock NameUBER TECHNOLOGIES INC $ Position$24.4 b % Position8.00 % $ Change-5.00 % # Shares359,304 # Change5.00 %
Stock Ticker78440X887 Stock NameSL GREEN RLTY CORP $ Position$23.5 b % Position7.00 % $ Change-3.00 % # Shares350,489 # Change0.00 %
Stock Ticker835699307 Stock NameSONY GROUP CORP $ Position$22.6 b % Position7.00 % $ Change13.00 % # Shares1,082,650 # Change422.00 %
Stock Ticker143658300 Stock NameCARNIVAL CORP $ Position$19.3 b % Position6.00 % $ Change43.00 % # Shares763,828 # Change4.00 %
Adviser Nixon Capital, LLC Type 13F-HR Submitted
11/13/2024
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker90353T100 Stock NameUBER TECHNOLOGIES INC $ Position$25.8 b % Position9.00 % $ Change5.00 % # Shares342,848 # Change1.00 %
Stock Ticker78440X887 Stock NameSL GREEN RLTY CORP $ Position$24.3 b % Position9.00 % $ Change24.00 % # Shares349,316 # Change1.00 %
Stock Ticker70450Y103 Stock NamePAYPAL HLDGS INC $ Position$25.8 b % Position9.00 % $ Change41.00 % # Shares330,328 # Change5.00 %
Stock Ticker929042109 Stock NameVORNADO RLTY TR $ Position$23.8 b % Position8.00 % $ Change52.00 % # Shares605,278 # Change1.00 %
Stock Ticker835699307 Stock NameSONY GROUP CORP $ Position$20.0 b % Position7.00 % $ Change15.00 % # Shares207,225 # Change1.00 %
Adviser Nixon Capital, LLC Type N-PX Submitted
08/27/2024
Adviser Nixon Capital, LLC Type 13F-HR Submitted
08/14/2024
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker90353T100 Stock NameUBER TECHNOLOGIES INC $ Position$24.6 b % Position11.00 % $ Change-3.00 % # Shares339,094 # Change3.00 %
Stock Ticker78440X887 Stock NameSL GREEN RLTY CORP $ Position$19.5 b % Position9.00 % $ Change5.00 % # Shares345,087 # Change3.00 %
Stock Ticker835699307 Stock NameSONY GROUP CORP $ Position$17.4 b % Position8.00 % $ Change2.00 % # Shares204,341 # Change3.00 %
Stock Ticker70450Y103 Stock NamePAYPAL HLDGS INC $ Position$18.3 b % Position8.00 % $ Change-11.00 % # Shares315,466 # Change3.00 %
Stock Ticker929042109 Stock NameVORNADO RLTY TR $ Position$15.7 b % Position7.00 % $ Change-6.00 % # Shares598,081 # Change3.00 %
Adviser Nixon Capital, LLC Type 13F-HR Submitted
05/14/2024
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker90353T100 Stock NameUBER TECHNOLOGIES INC $ Position$25.3 b % Position10.00 % $ Change28.00 % # Shares328,906 # Change2.00 %
Stock Ticker70450Y103 Stock NamePAYPAL HLDGS INC $ Position$20.6 b % Position8.00 % $ Change48.00 % # Shares307,005 # Change35.00 %
Stock Ticker835699307 Stock NameSONY GROUP CORP $ Position$17.1 b % Position7.00 % $ Change-6.00 % # Shares199,119 # Change3.00 %
Stock Ticker78440X887 Stock NameSL GREEN RLTY CORP $ Position$18.6 b % Position7.00 % $ Change65.00 % # Shares335,717 # Change35.00 %
Stock Ticker254687106 Stock NameDISNEY WALT CO $ Position$18.0 b % Position7.00 % $ Change59.00 % # Shares147,352 # Change17.00 %
Adviser Nixon Capital, LLC Type 13F-HR Submitted
02/14/2024
Stock Ticker Stock Name $ Position % Position $ Change # Shares # Change
Stock Ticker90353T100 Stock NameUBER TECHNOLOGIES INC $ Position$19.8 b % Position9.00 % $ ChangeN / A # Shares321,262 # ChangeN / A
Stock Ticker835699307 Stock NameSONY GROUP CORP $ Position$18.3 b % Position8.00 % $ ChangeN / A # Shares192,738 # ChangeN / A
Stock Ticker31620R303 Stock NameFIDELITY NATIONAL FINANCIAL $ Position$16.9 b % Position8.00 % $ ChangeN / A # Shares330,491 # ChangeN / A
Stock Ticker828806109 Stock NameSIMON PPTY GROUP INC NEW $ Position$15.5 b % Position7.00 % $ ChangeN / A # Shares108,350 # ChangeN / A
Stock Ticker70450Y103 Stock NamePAYPAL HLDGS INC $ Position$13.9 b % Position6.00 % $ ChangeN / A # Shares227,019 # ChangeN / A