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AQR CAPITAL MANAGEMENT LLC

13F
AQR CAPITAL MANAGEMENT LLC
Last update 2024-08-15 2594 Stocks (311 new)
Value $65.24 Bil Turnover 18 %
Countries:
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AQR CAPITAL MANAGEMENT LLC Profile

AQR Capital Management LLC is an investment management firm that was founded in 1998 by Clifford S. Asness, David G. Kabiller, Robert J. Krail; and John M. Liew. The company’s first product was a hedge fund, but there was intention from the start to expand. AQR Capital Management would expand into traditional portfolio management in 2000 and then form a partnership with CNH in 2004 to add convertible arbitrage and merger strategies into its line of offerings, becoming one of the first investment managers to have alternative strategies offered in a mutual fund format in 2009. The company’s philosophy is to focus on delivering “superior, long-term results for our clients by seeking to filter out market noise to identify and isolate what matters most, and by developing ideas that stand up to rigorous testing.” AQR Capital Management utilizes a research driven approach to conduct its business, focusing on quantitative analysis to provide fundamental investment information and risks. Research is very important to the founders and company values and the company has endowed the AQR Capital Management Distinguished Service Professor of Finance chair at the University of Chicago: Booth School of Business and regularly publishes articles in leading financial journals that have won various awards and recognitions. Its line of products and services are offered to its broad client base including pension funds, insurance companies, endowments, foundations, sovereign wealth funds, and financial advisors. The company currently has over 500 employees and 24 principals with over a third of the employees holding advanced degrees. AQR Capital Management is currently based in Greenwich and has additional offices in Chicago, Los Angeles, London, and Sydney. As of 2015, the company has a total asset under management value of approximately $132 billion. Some of the company’s mutual funds include its Equity Market Neutral Fund, Risk-Balanced Commodities Strategy Fund, Risk Parity Fund, Large Cap Defensive Style Fund, and Large Cap Momentum Style Fund.
AQR CAPITAL MANAGEMENT LLC Top Holdings of 2024-06-30 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
NVDA
NVIDIA Corp
15,556,015
1921790.060
-8.04%
2.950
-0.21%
0.060
+50.53%
+200.70%
3652026.400
Semiconductors
AAPL
Apple Inc
8,219,549
1731201.430
-2.26%
2.650
-0.06%
0.050
+8.54%
+18.60%
3438547.416
Hardware
MSFT
Microsoft Corp
3,868,943
1729224.210
-2.79%
2.650
-0.08%
0.050
+6.97%
+13.75%
3163021.329
Software
AMZN
Amazon.com Inc
5,223,797
1009498.690
+0.54%
1.550
+0.01%
0.050
+29.05%
+38.25%
2208678.062
Retail - Cyclical
GOOGL
Alphabet Inc
4,609,018
839532.610
-7.89%
1.290
-0.10%
0.040
+13.87%
+29.71%
2221027.770
Interactive Media
META
Meta Platforms Inc
1,608,580
811078.230
-9.40%
1.240
-0.14%
0.060
+21.14%
+67.67%
1493739.865
Interactive Media
CI
The Cigna Group
1,547,245
510466.960
+63.38%
0.780
+0.30%
0.550
-2.52%
+7.99%
88866.976
Healthcare Plans
GOOG
Alphabet Inc
2,752,699
504900.100
+2.42%
0.770
+0.02%
0.020
+13.54%
+29.66%
2221027.770
Interactive Media
MCK
McKesson Corp
857,611
500879.130
+7.91%
0.770
+0.06%
0.660
-1.49%
+31.68%
77153.770
Medical Distribution
JNJ
Johnson & Johnson
3,350,292
489176.130
+38.57%
0.750
+0.21%
0.140
-0.62%
+2.34%
377346.748
Drug Manufacturers

AQR CAPITAL MANAGEMENT LLC's Historical Top Holdings Breakdowns

AQR CAPITAL MANAGEMENT LLC's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
HUM
Humana Inc2024-06-30Reduce
-0.41%
â—Ź
302.09 ($337.63) 373.65
$287.76
-14.77%
Reduce -87.76%
97,986
-702,568
XOM
Exxon Mobil Corp2024-06-30Add
+0.32%
â—Ź
108.36 ($116.47) 122.2
$121.15
4.02%
Add 105.66%
3,562,523
1,830,265
TSM
Taiwan Semiconductor Manufacturing Co Ltd2024-06-30Reduce
-0.32%
â—Ź
127.7 ($151.69) 179.69
$201.19
32.63%
Reduce -92.83%
109,124
-1,411,917
CI
The Cigna Group2024-06-30Add
+0.30%
â—Ź
330.57 ($344.84) 364.08
$319.49
-7.35%
Add 63.38%
1,547,245
600,215
CMCSA
Comcast Corp2024-06-30Add
+0.25%
â—Ź
36.9 ($39.13) 42.28
$44.19
12.93%
Add 92.12%
8,722,620
4,182,525
ADBE
Adobe Inc2024-06-30Reduce
-0.24%
â—Ź
439.02 ($484.22) 555.54
$500.92
3.45%
Reduce -33.69%
540,370
-274,515
PHM
PulteGroup Inc2024-06-30Reduce
-0.23%
â—Ź
105.43 ($113.55) 122.07
$131.16
15.51%
Reduce -34.69%
2,058,227
-1,093,380
ZM
Zoom Video Communications Inc2024-06-30Add
+0.23%
â—Ź
56.21 ($61.43) 64.73
$80.19
30.54%
Add 78.53%
5,731,354
2,520,987
JNJ
Johnson & Johnson2024-06-30Add
+0.21%
â—Ź
144.38 ($148.72) 157.78
$156.73
5.39%
Add 38.57%
3,350,292
932,477
NVDA
NVIDIA Corp2024-06-30Reduce
-0.21%
â—Ź
76.2 ($101.1) 135.58
$148.88
47.26%
Reduce -8.04%
15,556,015
-1,360,215

AQR CAPITAL MANAGEMENT LLC Total Holding History ($B)

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AQR CAPITAL MANAGEMENT LLC's Asset Allocation

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AQR CAPITAL MANAGEMENT LLC Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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AQR CAPITAL MANAGEMENT LLC's Hypothetical Growth since 2024-06-30

AQR CAPITAL MANAGEMENT LLC's Yearly Returns

Year Portfolio % % Excess Gain %

AQR CAPITAL MANAGEMENT LLC's Holdings Heat Map

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