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F&V Capital Management, LLC

分散型投资策略逆势操作型高品质投资策略

申报总市值

US$4.7亿

申报季度: 2026-03-31 · 持股只数: 59

F&V Capital Management, LLC在最新一期 13F 报告中披露了 59 项持股,申报期为 2026-03-31,总持股市值约为 US$4.7亿,季度换手率为 22.5%。

浏览其他1 亿至 10 亿美元机构浏览其他以“F”开头的机构

机构性格雪花图

集中度
13.7
持仓稳定性
22.49
动能/逆势
0
行业集中度
58.46
多样化
100
仓位均衡度
89.81

近期动向

  • 减仓 MLI

    -36.2% -US$762.8万

  • 加仓 PSX

    +0.6% US$747.8万

  • 减仓 HPQ

    -96.4% -US$719.3万

  • 减仓 NEM

    -48.1% -US$711.0万

  • 加仓 CVX

    -1.1% US$647.9万

  • 加仓 GOOGL

    +71.3% US$411.0万

持仓地图

新建仓加仓不变减仓

前十大持股占比

本季完整持股清单

#代码标的名称资产子类别占比占比变动持仓量变化4Q Trend
1RTXRtx CORP股票-工业6.04%+0.21%-0.89%
2CVXChevron CORP股票-能源5.37%+1.34%-1.13%
3PSXPhillips 66股票-能源5.34%+1.56%+0.62%
4AMATApplied Materials INC股票-科技4.89%-0.31%-28.87%
5FDXFedex CORP股票-工业4.77%+0.82%-1.60%
6URIUnited Rentals INC股票-工业4.52%-0.58%-0.93%
7ALLAllstate CORP股票-金融3.94%-0.12%-1.82%
8CSCOCisco Systems INC股票-科技3.77%-0.68%
9ONOn Semiconductor股票-科技3.61%+0.40%-0.94%
10BMYBristol-myers Squibb Co股票-医疗保健3.54%+0.33%-1.30%
11AEPAmerican Electric Power股票-公用事业3.51%+0.36%-1.13%
12METAMeta Platforms Inc-class A股票-通信服务3.48%-0.58%-0.53%
13MDTMedtronic plc股票-医疗保健3.23%-0.38%-0.13%
14FOXFox CORP - Class B股票-通信服务3.19%-0.75%-0.30%
15CAGConagra Brands INC股票-非周期性消费2.96%-0.28%+1.36%
16VMIValmont Industries股票-工业2.95%-0.11%-2.38%
17MLIMueller Industries INC股票-工业2.58%-1.64%-36.25%
18QRVOQorvo INC股票-科技2.52%-0.26%-0.12%
19VZVerizon Communications INC股票-通信服务2.41%+0.41%-1.65%
20ORCLOracle CORP股票-科技2.39%-0.82%-0.58%
21GOOGLAlphabet Inc-cl A股票-通信服务2.38%+0.86%+71.34%
22LEALear CORP股票-周期性消费2.19%+0.09%-0.28%
23PYPLPaypal Holdings INC股票-金融2.19%-0.63%+1.11%
24CVSCvs Health CORP股票-医疗保健2.18%-0.28%-1.35%
25DVNDevon Energy CORP股票-能源2.00%+2.00%NEW
26NEMNewmont CORP股票-原材料1.93%-1.52%-48.13%
27DHIDr Horton INC股票-周期性消费1.85%-0.12%-0.72%
28BABoeing Co/the股票-工业1.63%+1.63%NEW
29AXGNAxogen INC股票-其他1.24%+0.10%
30USFRWisdomtree Floating Rate TreETF-其他1.23%+0.24%+24.95%
31SPYSs Spdr S&p 500 ETF Trust-usETF-大型股与成长0.85%-0.03%+2.47%
32GLDSpdr Gold SharesETF-避险与商品0.59%+0.59%NEW
33IVVIshares Core S&p 500 ETFETF-大型股与成长0.44%-0.03%
34QQQInvesco Qqq Trust Series 1ETF-科技型0.44%-0.06%-6.75%
35VGKVanguard Ftse Europe ETFETF-其他0.42%+0.02%+7.60%
36IDEVIshares Core Msci Dev MktsETF-其他0.32%+0.02%+4.73%
37DESWisdomtree US Smallcap DividETF-其他0.31%+0.04%+4.82%
38VTVanguard Tot World Stk ETFETF-其他0.29%+0.10%+54.97%
39VWOVanguard Ftse Emerging MarkeETF-新兴市场0.27%+2.84%
40VTIVanguard Total Stock Mkt ETFETF-其他0.26%-0.48%-62.59%
41COPConocophillips股票-能源0.21%+0.06%
42GILDGilead Sciences INC股票-医疗保健0.18%+0.02%
43AVEMAvantis Emerging Markets EqETF-新兴市场0.17%-8.90%
44EWJIshares Msci Japan ETFETF-其他0.14%+0.02%+11.10%
45EWGIshares Msci Germany ETFETF-其他0.14%
46EMXCIshares Msci Emr Mrk Ex ChnaETF-其他0.14%+0.02%+5.12%
47PSQProshares Short QqqETF-其他0.14%+0.04%+32.33%
48AAPLApple INC股票-科技0.12%-4.37%
49BKRBaker Hughes Co股票-能源0.12%+0.03%
50IJRIshares Core S&p Small-cap EETF-中小型股0.10%
150 of 59

本季持股变动

F&V Capital Management, LLC 在 2026-03-31 最显著的持仓异动: 新建仓: Devon Energy CORP (DVN); 新建仓: Boeing Co/the (BA); 新建仓: Spdr Gold Shares (GLD); 清仓: Vertex Pharmaceuticals INC (VRTX); 清仓: Affirm Holdings INC (AFRM).

F&V Capital Management, LLC 于截至 2026-03-31 该季申报之持仓异动,含代码、发行人、权重变化、股数变化与操作类型
#代码标的名称占比变动持仓量变化异动类型
1PSXPhillips 66+1.6%+0.62%加仓
2CVXChevron CORP+1.3%-1.13%减仓
3GOOGLAlphabet Inc-cl A+0.9%+71.34%加仓
4FDXFedex CORP+0.8%-1.60%减仓
5VZVerizon Communications INC+0.4%-1.65%减仓
6ONOn Semiconductor+0.4%-0.94%减仓
7AEPAmerican Electric Power+0.4%-1.13%减仓
8BMYBristol-myers Squibb Co+0.3%-1.30%减仓
9USFRWisdomtree Floating Rate Tre+0.2%+24.95%加仓
10RTXRtx CORP+0.2%-0.89%减仓
11VTVanguard Tot World Stk ETF+0.1%+54.97%加仓
12LEALear CORP+0.1%-0.28%减仓
13COPConocophillips+0.1%不变
14PSQProshares Short Qqq0%+32.33%加仓
15DESWisdomtree US Smallcap Divid0%+4.82%加仓
16BKRBaker Hughes Co0%不变
17VGKVanguard Ftse Europe ETF0%+7.60%加仓
18GILDGilead Sciences INC0%不变
19EWJIshares Msci Japan ETF0%+11.10%加仓
20IDEVIshares Core Msci Dev Mkts0%+4.73%加仓
21EMXCIshares Msci Emr Mrk Ex Chna0%+5.12%加仓
22IVVIshares Core S&p 500 ETF0%不变
23SPYSs Spdr S&p 500 ETF Trust-us0%+2.47%加仓
24QQQInvesco Qqq Trust Series 1-0.1%-6.75%减仓
25VMIValmont Industries-0.1%-2.38%减仓
26DHIDr Horton INC-0.1%-0.72%减仓
27ALLAllstate CORP-0.1%-1.82%减仓
28QRVOQorvo INC-0.3%-0.12%减仓
29CVSCvs Health CORP-0.3%-1.35%减仓
30CAGConagra Brands INC-0.3%+1.36%加仓
31AMATApplied Materials INC-0.3%-28.87%减仓
32MDTMedtronic plc-0.4%-0.13%减仓
33VTIVanguard Total Stock Mkt ETF-0.5%-62.59%减仓
34METAMeta Platforms Inc-class A-0.6%-0.53%减仓
35URIUnited Rentals INC-0.6%-0.93%减仓
36PYPLPaypal Holdings INC-0.6%+1.11%加仓
37FOXFox CORP - Class B-0.8%-0.30%减仓
38ORCLOracle CORP-0.8%-0.58%减仓
39NEMNewmont CORP-1.5%-48.13%减仓
40HPQHp INC-1.5%-96.40%减仓
41MLIMueller Industries INC-1.6%-36.25%减仓
42DVNDevon Energy CORPNEW新建仓
43BABoeing Co/theNEW新建仓
44GLDSpdr Gold SharesNEW新建仓
45VRTXVertex Pharmaceuticals INCEXIT清仓
46AFRMAffirm Holdings INCEXIT清仓
47VTWOVanguard Russell 2000 ETFEXIT清仓
48MSFTMicrosoft CORPEXIT清仓
49PLTRPalantir Technologies Inc-aEXIT清仓
50SOFISofi Technologies INCNEW新建仓

FAQ

F&V Capital Management, LLC 是什么机构?属于哪种投资人类型?
F&V Capital Management, LLC 是一家投资管理机构,每季依规定向 SEC 申报 Form 13F,披露其在美国上市股票的持仓信息。根据最新一期申报(2026-03-31),该机构追踪的股票投资组合估值约为 US$4.7亿,分布在 59 个已申报仓位之中。
F&V Capital Management, LLC 目前前几大持股有哪些?
根据最新 13F 申报,F&V Capital Management, LLC 按市值排列的前几大持股为: 1. Rtx CORP (RTX) — US$2856.5万 (6.0%) 2. Chevron CORP (CVX) — US$2541.2万 (5.4%) 3. Phillips 66 (PSX) — US$2525.7万 (5.3%) 4. Applied Materials INC (AMAT) — US$2314.3万 (4.9%) 5. Fedex CORP (FDX) — US$2257.0万 (4.8%)
F&V Capital Management, LLC 在最新一期 13F 申报中做了哪些操作?
在最新申报季度中,F&V Capital Management, LLC 共进行了 46 项显著调整:新建仓 4 个仓位、加仓 13 个既有持股、减仓 24 个仓位,并完全清仓 5 个持股。 其中幅度最大的异动:新建仓: Devon Energy CORP (DVN); 新建仓: Boeing Co/the (BA); 新建仓: Spdr Gold Shares (GLD); 清仓: Vertex Pharmaceuticals INC (VRTX); 清仓: Affirm Holdings INC (AFRM)
F&V Capital Management, LLC 主要集中投资哪些行业板块?
根据目前已申报的股票投资组合,F&V Capital Management, LLC 的主要板块分布如下: • Industrials: 24.4% • Information Technology: 22.0% • Energy: 21.4% • Communication Services: 16.2% • Health Care: 11.6% • Financials: 4.3%