Nbw Capital 13F annual report

Nbw Capital is an investment fund managing more than $507 billion ran by Scott Dorsey. There are currently 101 companies in Mr. Dorsey’s portfolio. The largest investments include Microsoft and Alphabet, Inc. Class A, together worth $41.1 billion.

$507 billion Assets Under Management (AUM)

As of 7th August 2024, Nbw Capital’s top holding is 48,708 shares of Microsoft currently worth over $21.8 billion and making up 4.3% of the portfolio value. Relative to the number of outstanding shares of Microsoft, Nbw Capital owns more than approximately 0.1% of the company. In addition, the fund holds 105,872 shares of Alphabet, Inc. Class A worth $19.3 billion. The third-largest holding is Apple Inc worth $18 billion and the next is Enlink Midstream worth $15.2 billion, with 1,101,894 shares owned.

Currently, Nbw Capital's portfolio is worth at least $507 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Nbw Capital

The Nbw Capital office and employees reside in Boston, Massachusetts. According to the last 13-F report filed with the SEC, Scott Dorsey serves as the VP Director of Operations at Nbw Capital.

Recent trades

In the most recent 13F filing, Nbw Capital revealed that it had opened a new position in Marvell Technology Group and bought 121,934 shares worth $8.52 billion.

The investment fund also strengthened its position in Microsoft by buying 335 additional shares. This makes their stake in Microsoft total 48,708 shares worth $21.8 billion. Microsoft soared 27.8% in the past year.

On the other hand, there are companies that Nbw Capital is getting rid of from its portfolio. Nbw Capital closed its position in Ubs Etracs Alerian Mlp / Mlpb on 14th August 2024. It sold the previously owned 233,776 shares for $5.64 billion. Scott Dorsey also disclosed a decreased stake in Alphabet, Inc. Class A by 0.2%. This leaves the value of the investment at $19.3 billion and 105,872 shares.

One of the average hedge funds

The two most similar investment funds to Nbw Capital are Vise Technologies and Sherborne Investors Management L.P.. They manage $507 billion and $507 billion respectively.


Scott Dorsey investment strategy

Nbw Capital’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 10.6% of the total portfolio value. The fund focuses on investments in the United States as 53.5% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 34% of the total holdings value. On the other hand, small-cap stocks make up only 4.0% of the portfolio. The average market cap of the portfolio companies is close to $157 billion.

The complete list of Nbw Capital trades based on 13F SEC filings

These positions were updated on August 14th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Microsoft Corporation
0.69%
48,708
$21,770,050,000 4.29%
Alphabet, Inc. Class A
24.58%
105,872
$19,284,585,000 3.80%
Apple Inc
0.65%
85,681
$18,046,180,000 3.56%
Enlink Midstream LLC
0.32%
1,101,894
$15,162,061,000 2.99%
Spdr S & P 500 Etf Trust
18.16%
27,816
$15,138,167,000 2.99%
Energy Transfer, Lp
2.90%
891,766
$14,464,451,000 2.85%
Western Midstream Partners
6.09%
302,331
$12,011,611,000 2.37%
Mplx, Lp
2.36%
270,884
$11,536,950,000 2.28%
Williams Companies, Inc.
1.64%
266,104
$11,309,420,000 2.23%
Analog Devices Inc.
0.55%
46,139
$10,531,688,000 2.08%
JPMorgan Chase & Co.
0.48%
52,064
$10,530,465,000 2.08%
Vertex Pharmaceuticals, Inc.
0.46%
20,349
$9,537,983,000 1.88%
Palo Alto Networks Inc
0.32%
28,045
$9,507,535,000 1.88%
Plains All American Pipeline,
2.47%
513,805
$9,176,557,000 1.81%
Cheniere Energy Inc.
0.24%
52,237
$9,132,595,000 1.80%
Roper Technologies Inc
6.19%
15,763
$8,884,973,000 1.75%
Chart Industries Inc
0.69%
59,058
$8,524,432,000 1.68%
Marvell Technology Group
Opened
121,934
$8,523,187,000 1.68%
Boston Scientific Corp.
0.35%
102,333
$7,880,664,000 1.55%
Ishares Tr Russell 2000 Growth
2.23%
29,645
$7,782,702,000 1.54%
Antero Midstream Corp
3.91%
518,327
$7,640,140,000 1.51%
Palomar Holdings, Inc.
1.40%
93,893
$7,619,417,000 1.50%
Healthequity Inc
2.27%
88,348
$7,615,598,000 1.50%
Patrick Industries, Inc.
1.75%
68,653
$7,452,283,000 1.47%
Enterprise Products Partners,
0.44%
255,800
$7,413,084,000 1.46%
Illinois Tool Works, Inc.
0.02%
31,068
$7,361,873,000 1.45%
Tyler Technologies, Inc.
1.12%
14,491
$7,285,785,000 1.44%
American Tower Corporation (re
0.56%
36,289
$7,053,856,000 1.39%
Onewater Marine Inc
0.49%
251,841
$6,943,256,000 1.37%
The Descartes Systems Group, I
0.09%
71,443
$6,918,540,000 1.36%
Hannon Armstrong Sustainable I
27.14%
228,753
$6,771,089,000 1.34%
Abbvie Inc
1,167.85%
38,682
$6,634,737,000 1.31%
Bj's Wholesale Club
1.33%
73,680
$6,472,051,000 1.28%
Alerian Mlp Index Etn / Amjb
Opened
223,196
$6,459,292,000 1.27%
Steris Plc
3.43%
29,105
$6,389,712,000 1.26%
Wells Fargo & Company
2.05%
106,461
$6,322,719,000 1.25%
Danaher Corp.
0.18%
24,735
$6,180,040,000 1.22%
PulteGroup Inc
36.41%
53,332
$5,871,853,000 1.16%
Secure Energy Services, Inc.
1.35%
654,034
$5,791,419,000 1.14%
Masco Corp.
10.84%
86,339
$5,756,221,000 1.14%
Ubs Etracs Alerian Mlp / Mlpb
Closed
233,776
$5,644,825,000
Blueprint Medicines Corporatio
0.17%
51,030
$5,500,013,000 1.08%
Spdr Gold Trust
1.21%
24,497
$5,267,100,000 1.04%
Mcdonald's Corporation
1.76%
20,366
$5,190,071,000 1.02%
Plains Gp Holdings
10.43%
267,168
$5,028,102,000 0.99%
Mastercard Inc-a
0.75%
11,349
$5,006,725,000 0.99%
Electronic Arts, Inc.
2.01%
35,617
$4,962,517,000 0.98%
Ishares Msci India Etf
0.52%
86,509
$4,825,472,000 0.95%
Nike, Inc. Class B
33.81%
63,614
$4,794,587,000 0.95%
Archrock Inc
28.76%
236,644
$4,784,942,000 0.94%
Visa Inc-class A Shares
0.11%
18,030
$4,732,334,000 0.93%
Repligen Corp.
7.29%
36,067
$4,546,606,000 0.90%
Unitedhealth Group Inc
2.57%
8,832
$4,497,784,000 0.89%
O'reilly Automotive Inc
Closed
3,889
$4,390,214,000
Cadence Design Systems, Inc.
Opened
13,965
$4,297,729,000 0.85%
Ishares Msci Indonesia
0.72%
222,500
$4,287,575,000 0.85%
S&p Mid Cap 400 Depository Rec
Opened
7,961
$4,259,772,000 0.84%
Waste Management, Inc.
4.18%
19,770
$4,217,732,000 0.83%
O'reilly Automotive Inc
Opened
3,987
$4,210,511,000 0.83%
Raymond James Financial, Inc.
0.26%
33,760
$4,173,012,000 0.82%
Northrop Grumman Corp.
1.02%
8,779
$3,827,205,000 0.75%
ATI Inc
1.22%
66,857
$3,707,221,000 0.73%
Civitas Resources Inc.
10.12%
52,423
$3,617,187,000 0.71%
Hess Midstream LP
5.90%
91,920
$3,349,565,000 0.66%
Malibu Boats Inc
1.52%
94,918
$3,325,927,000 0.66%
Equitrans Midstream Corporatio
18.84%
234,502
$3,043,836,000 0.60%
Fortive Corp
0.87%
39,687
$2,940,807,000 0.58%
Sonos Inc
17.78%
180,430
$2,663,147,000 0.53%
Fox Factory Holding Corp
4.19%
50,027
$2,410,801,000 0.48%
Ngl Energy Partners, Lp
2.96%
451,947
$2,286,852,000 0.45%
Summit Materials Inc
Opened
52,918
$1,937,328,000 0.38%
Gibraltar Industries Inc.
0.29%
26,232
$1,798,204,000 0.35%
Hexcel Corp.
1.12%
27,246
$1,701,513,000 0.34%
Bank Of America Corp.
7.79%
39,906
$1,587,062,000 0.31%
Jpmorgan Alerian Mlp Index Etn
Closed
33,901
$965,839,000
Ishares Russell 2000 Etf
21.70%
4,464
$905,701,000 0.18%
Spyre Therapeutics Inc
No change
34,360
$807,804,000 0.16%
Eli Lilly & Co
10.73%
782
$707,652,000 0.14%
Veralto Corp
0.21%
7,281
$695,085,000 0.14%
Spdr S&p 500 Growth Etf Iv
No change
6,997
$560,670,000 0.11%
Kinder Morgan Inc
5.04%
21,008
$417,429,000 0.08%
Energy Select Sector Spdr
11.34%
4,083
$372,165,000 0.07%
AMGEN Inc.
5.91%
1,003
$313,387,000 0.06%
Oneok Inc.
No change
3,780
$308,259,000 0.06%
Dimensional U.s. Core Equity 2
Closed
9,568
$305,698,000
Invesco QQQ Trust
Closed
687
$305,035,000
NVIDIA Corp
Opened
2,300
$284,142,000 0.06%
Merck & Co Inc
Closed
2,152
$283,956,000
Pepsico, Inc.
21.37%
1,682
$277,412,000 0.05%
Procter & Gamble Co.
Closed
1,684
$273,229,000
Home Depot, Inc.
Opened
777
$267,477,000 0.05%
Target Corp
Closed
1,507
$267,055,000
Facebook, Inc. -a
Opened
527
$265,724,000 0.05%
Phillips 66 Common Stock
Closed
1,598
$261,017,000
Johnson & Johnson
Closed
1,580
$249,940,000
Verizon Communications Inc
Closed
5,926
$248,655,000
The Southern Co.
10.10%
3,195
$247,836,000 0.05%
Medtronic, Inc.
Closed
2,806
$244,543,000
Altria Group Inc.
Closed
5,544
$241,829,000
Cisco Systems, Inc.
Closed
4,804
$239,768,000
Int'l Business Machines Corp
28.39%
1,382
$239,017,000 0.05%
Blackrock Inc.
Closed
286
$238,438,000
AT&T, Inc.
Closed
13,491
$237,436,000
Morgan Stanley
4.50%
2,419
$235,103,000 0.05%
Welltower Inc.
12.93%
2,255
$235,084,000 0.05%
Lockheed Martin Corp.
Closed
514
$233,803,000
Prologis Inc
Closed
1,744
$227,104,000
Conocophillips
Opened
1,964
$224,642,000 0.04%
Cvs/caremark Corp
Closed
2,816
$224,604,000
Ishares Tr S&p 500 Index Fund
28.85%
407
$222,723,000 0.04%
Texas Instrument, Inc.
17.50%
1,136
$220,986,000 0.04%
Philip Morris International Inc
Closed
2,391
$219,063,000
Goldman Sachs Group, Inc.
21.50%
482
$218,018,000 0.04%
Ishares Russell Mid-cap
No change
2,671
$216,565,000 0.04%
Chevrontexaco Corp
Closed
1,369
$215,946,000
Duke Energy Corp.
13.72%
2,107
$211,185,000 0.04%
Alphabet Inc
Opened
1,147
$210,383,000 0.04%
Coca-Cola Co
17.87%
3,235
$205,908,000 0.04%
Nexterra Energy, Inc.
27.35%
2,893
$204,853,000 0.04%
Public Storage
1.66%
712
$204,807,000 0.04%
Raytheon Technologies Corp
Opened
2,026
$203,390,000 0.04%
Exxon Mobil Corp.
Closed
1,722
$200,165,000
Marimed Inc.
No change
22,700
$4,109,000 0.00%
No transactions found
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