PA
Parvus Asset Management Europe Ltd
Concentrated strategyLong-term holder
Total reported value
$1.7B
Reporting period: 2025-03-31 · Number of holdings: 1
Parvus Asset Management Europe Ltd disclosed 1 holdings in its latest 13F filing for the period ending 2025-03-31, with total reported value of $1.7B and a quarterly turnover rate of 0.0%.
Personality snowflake
- Concentration
- 100
- Portfolio Stability
- 0
- Momentum/Contrarian
- 50
- Sector conviction
- 0
- Diversification
- 2
- Sizing Uniformity
- —
Recent moves
No holding changes this quarter
Holdings Map
New buyAddUnchangedTrim
Top 10 holdings by weight
Full holdings list this quarter
| # | Ticker | Issuer | Asset Subclass | Weight | Weight Change | Shares Change | 4Q Trend |
|---|---|---|---|---|---|---|---|
| 1 | FLUT | Flutter Entertainment plc | Stock-Consumer Disc | 100.00% | — | -9.45% |
Reported value over time
Sector allocation
Sector allocation over time
Quarterly history
Holding changes this quarter
| # | Ticker | Issuer | Weight Change | Shares Change | Action |
|---|
FAQ
What is Parvus Asset Management Europe Ltd and what type of investor is it?
Parvus Asset Management Europe Ltd is a investment manager that files SEC Form 13F quarterly, disclosing its U.S. public equity holdings to regulators. As of the most recent reporting period (2025-03-31), the firm manages a tracked equity portfolio valued at approximately $1.7B, spread across 1 disclosed positions.
What are Parvus Asset Management Europe Ltd's largest equity positions?
Based on the latest 13F filing, Parvus Asset Management Europe Ltd's top holdings by market value are:
1. Flutter Entertainment plc (FLUT) — $1.7B (100.0%)
What changes did Parvus Asset Management Europe Ltd make in its most recent portfolio filing?
No notable portfolio changes were recorded for Parvus Asset Management Europe Ltd in the most recent quarter. Holdings appear to have remained relatively stable.
What sectors does Parvus Asset Management Europe Ltd focus on?
Parvus Asset Management Europe Ltd is concentrated in the following sectors based on its current disclosed equity portfolio:
• Consumer Discretionary: 100.0%