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CIK: 0002057382
Total reported value
$394.2M
$394.2M
88 檔
31.5%
During the Q2 2025 filing period, Aurdan Capital Management, LLC (CIK: 0002057382) submitted its Form 13F report to the U.S. SEC, disclosing a tracked public equity portfolio valued at $394.2M across 88 reported positions.
During Q2 2025, Aurdan Capital Management, LLC's portfolio maintained high stability with no major positional turnover, reflecting a continuous long-term holding approach.
| # | Ticker | Issuer | Asset Subclass | Weight | Weight Change | Shares Change | 4Q Trend |
|---|---|---|---|---|---|---|---|
| 1 | IUSG | Ishares Core S&p U.s. Growth | ETF-Other | 14.71% | +0.34% | +0.34% | |
| 2 | IVV | Ishares Core S&p 500 ETF | ETF-Large Cap & Growth | 10.07% | +0.27% | +1.57% | |
| 3 | VIG | Vanguard Dividend Apprec ETF | ETF-Other | 9.28% | -0.26% | +21.33% | |
| 4 | VXF | Vanguard Extended Market ETF | ETF-Other | 4.59% | -1.90% | +7.06% | |
| 5 | VGIT | Vanguard Intermediate-term T | ETF-Other | 3.66% | -0.55% | — | |
| 6 | PM | Philip Morris International | Stock-Consumer Staples | 3.36% | -0.27% | -1.98% | |
| 7 | GWW | Ww Grainger Inc | Stock-Industrials | 3.17% | +0.03% | -3.18% | |
| 8 | COR | Cencora Inc | Stock-Healthcare | 3.08% | -0.74% | -4.89% | |
| 9 | MRSH | Marsh & Mclennan Cos | Stock-Financials | 2.84% | -0.39% | -3.09% | |
| 10 | LOW | Lowe's Cos Inc | Stock-Consumer Disc | 2.77% | -0.58% | -6.39% | |
| 11 | ROST | Ross Stores Inc | Stock-Consumer Disc | 1.98% | -0.52% | -6.50% | |
| 12 | MCHP | Microchip Technology Inc | Stock-Tech | 1.85% | +0.20% | -12.96% | |
| 13 | ABT | Abbott Laboratories | Stock-Healthcare | 1.72% | -0.30% | -2.43% | |
| 14 | CGDV | Cap Group Dividend Value | ETF-Other | 1.70% | -0.03% | +38.85% | |
| 15 | UNH | Unitedhealth Group Inc | Stock-Healthcare | 1.68% | +0.25% | -8.25% | |
| 16 | AMGN | Amgen Inc | Stock-Healthcare | 1.61% | -0.17% | -22.61% | |
| 17 | STT | State Street CORP | Stock-Financials | 1.51% | +0.11% | -5.26% | |
| 18 | CVX | Chevron CORP | Stock-Energy | 1.38% | -0.53% | -6.74% | |
| 19 | CGGR | Cap Group Growth Equity | ETF-Other | 1.34% | -0.01% | -0.86% | |
| 20 | JNJ | Johnson & Johnson | Stock-Healthcare | 1.26% | -0.29% | -8.43% | |
| 21 | GPIQ | Gs Nasdaq-100 Pr Inc Etf-usd | ETF-Tech | 1.16% | +0.09% | +376.23% | |
| 22 | SYY | Sysco CORP | Stock-Consumer Staples | 1.15% | -0.07% | -11.42% | |
| 23 | JGRO | Jpmorgan Active Growth ETF | ETF-Other | 1.12% | +0.27% | +25.12% | |
| 24 | APD | Air Products & Chemicals Inc | Stock-Materials | 1.12% | -0.12% | -15.07% | |
| 25 | MSFT | Microsoft CORP | Stock-Tech | 1.09% | -0.05% | +1.61% | |
| 26 | ADP | Automatic Data Processing | Stock-Tech | 1.09% | -0.04% | -0.35% | |
| 27 | KO | Coca-cola Co/the | Stock-Consumer Staples | 1.05% | -0.13% | -4.57% | |
| 28 | WRB | Wr Berkley CORP | Stock-Financials | 0.89% | -0.12% | -7.66% | |
| 29 | DIS | Walt Disney Co/the | Stock-Comm Services | 0.88% | -0.09% | -10.86% | |
| 30 | AZO | Autozone Inc | Stock-Consumer Disc | 0.86% | -0.26% | EXIT | |
| 31 | USB | US Bancorp | Stock-Financials | 0.80% | -0.05% | -15.35% | |
| 32 | SCI | Service CORP International | Stock-Consumer Disc | 0.78% | -0.15% | -8.54% | |
| 33 | PVAL | Putnam Focused Lrg Cap Value | ETF-Other | 0.77% | +0.02% | — | |
| 34 | ITW | Illinois Tool Works | Stock-Industrials | 0.70% | -0.08% | — | |
| 35 | MDLZ | Mondelez International Inc-a | Stock-Consumer Staples | 0.69% | — | -11.29% | |
| 36 | MDT | Medtronic plc | Stock-Healthcare | 0.69% | -0.24% | EXIT | |
| 37 | TMO | Thermo Fisher Scientific Inc | Stock-Healthcare | 0.68% | -0.17% | EXIT | |
| 38 | KDP | Keurig Dr Pepper Inc | Stock-Consumer Staples | 0.61% | — | -7.81% | |
| 39 | 62C | Piper Sandler Cos | Stock-Other | 0.52% | — | — | |
| 40 | IEFA | Ishares Core Msci Eafe ETF | ETF-Other | 0.46% | -0.32% | +15.69% | |
| 41 | GPIX | Gldm SA S&p 500 Pr In Etf-us | ETF-Large Cap & Growth | 0.45% | +0.03% | — | |
| 42 | DGX | Quest Diagnostics Inc | Stock-Healthcare | 0.42% | -0.02% | -8.69% | |
| 43 | MO | Altria Group Inc | Stock-Consumer Staples | 0.42% | -0.03% | — | |
| 44 | HON | Honeywell International Inc | Stock-Industrials | 0.40% | -0.34% | EXIT | |
| 45 | GPN | Global Payments Inc | Stock-Industrials | 0.39% | — | -13.90% | |
| 46 | AFL | Aflac Inc | Stock-Financials | 0.38% | -0.03% | — | |
| 47 | KR | Kroger Co | Stock-Consumer Staples | 0.33% | -0.11% | — | |
| 48 | AAPL | Apple Inc | Stock-Tech | 0.32% | -0.12% | +40.31% | |
| 49 | JBND | Jpmorgan Active Bond ETF | ETF-Other | 0.31% | -0.06% | +19.33% | |
| 50 | STE | STERIS plc | Stock-Healthcare | 0.31% | -0.06% | EXIT |
According to official SEC Form 13F filings, Aurdan Capital Management, LLC reported a total U.S. public equity portfolio value of $394.2M across 88 disclosed positions in Q2 2025.
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In terms of portfolio concentration, the top 5 core holdings (including IUSG, IVV, VIG) accounted for 31.5% of total reported equity market value during Q2 2025.
During Q2 2025, Aurdan Capital Management, LLC's top holdings by market value included IUSG (14.7%)、IVV (10.1%)、VIG (9.3%). The largest single position, IUSG, represented 14.7% of total portfolio value.
In Q2 2025, Aurdan Capital Management, LLC made 0 total portfolio adjustments, initiating 0 new buys, adding to 0 positions, trimming 0 holdings, and fully liquidating 0 stocks.
All holding records on this page are fetched directly from the U.S. Securities and Exchange Commission (SEC) EDGAR system (Form 13F-HR). AlphaSMO parses CUSIP identifiers and formats data into Schema.org-compliant datasets.
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