Vivaldi Capital Management L.P. 13F annual report

Vivaldi Capital Management L.P. is an investment fund managing more than $343 billion ran by Meredith Weeks. There are currently 152 companies in Mrs. Weeks’s portfolio. The largest investments include Spdr Ser Tr and Apple Inc, together worth $48.8 billion.

Limited to 30 biggest holdings

$343 billion Assets Under Management (AUM)

As of 7th August 2024, Vivaldi Capital Management L.P.’s top holding is 693,987 shares of Spdr Ser Tr currently worth over $35.9 billion and making up 10.2% of the portfolio value. In addition, the fund holds 61,255 shares of Apple Inc worth $12.9 billion, whose value grew 20.2% in the past six months. The third-largest holding is Spdr Index Shs Fds worth $14.5 billion and the next is Schwab Strategic Tr worth $50.5 billion, with 1,117,008 shares owned.

Currently, Vivaldi Capital Management L.P.'s portfolio is worth at least $343 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 Vivaldi Capital Management L.P.

The Vivaldi Capital Management L.P. office and employees reside in Chicago, Illinois. According to the last 13-F report filed with the SEC, Meredith Weeks serves as the Compliance Manager at Vivaldi Capital Management L.P..

Recent trades

In the most recent 13F filing, Vivaldi Capital Management L.P. revealed that it had opened a new position in ServiceNow Inc and bought 1,773 shares worth $1.39 billion. This means they effectively own approximately 0.1% of the company. ServiceNow Inc makes up 5.3% of the fund's Technology sector allocation and has grown its share price by 44.6% in the past year.

The investment fund also strengthened its position in Apple Inc by buying 859 additional shares. This makes their stake in Apple Inc total 61,255 shares worth $12.9 billion. Apple Inc soared 23.3% in the past year.

On the other hand, there are companies that Vivaldi Capital Management L.P. is getting rid of from its portfolio. Vivaldi Capital Management L.P. closed its position in Alliancebernstein Global Hig on 14th August 2024. It sold the previously owned 118,899 shares for $1.25 billion. Meredith Weeks also disclosed a decreased stake in Spdr Ser Tr by approximately 0.1%. This leaves the value of the investment at $35.9 billion and 693,987 shares.

One of the smaller hedge funds

The two most similar investment funds to Vivaldi Capital Management L.P. are Turim 21 Investimentos Ltda and Insights. They manage $351 billion and $350 billion respectively.


Meredith Weeks investment strategy

Vivaldi Capital Management L.P.’s portfolio is diversified across 12 sectors. Currently, their heaviest sector is Technology — making up 7.5% of the total portfolio value. The fund focuses on investments in the United States as 39.5% 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 30% of the total holdings value. On the other hand, small-cap stocks make up only 3.3% of the portfolio. The average market cap of the portfolio companies is close to $229 billion.

The complete list of Vivaldi Capital Management L.P. 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
Spdr Ser Tr
0.51%
693,987
$35,879,654,000 10.23%
Apple Inc
1.42%
61,255
$12,901,461,000 3.68%
Spdr Index Shs Fds
1.04%
406,412
$14,487,995,000 4.13%
Schwab Strategic Tr
2.75%
1,117,008
$50,468,258,000 14.39%
Ishares Tr
1.54%
487,725
$50,976,735,000 14.53%
Microsoft Corporation
5.20%
19,531
$8,729,362,000 2.49%
Spdr S&p 500 Etf Tr
0.10%
14,914
$8,116,567,000 2.31%
Vanguard Index Fds
1.17%
96,969
$21,816,704,000 6.22%
Ishares Gold Tr
1.24%
147,143
$6,463,992,000 1.84%
Gaming & Leisure Pptys Inc
0.00%
122,787
$5,551,179,000 1.58%
NVIDIA Corp
1,003.49%
42,639
$5,267,625,000 1.50%
Tesla Inc
1.23%
25,378
$5,021,799,000 1.43%
Spdr Gold Tr
No change
23,353
$5,021,129,000 1.43%
Angel Oak Mortgage Reit Inc
3.10%
327,978
$4,296,510,000 1.22%
Pimco Etf Tr
17.73%
40,572
$4,083,551,000 1.16%
Vanguard Tax-managed Fds
0.26%
75,201
$3,716,413,000 1.06%
Coinbase Global Inc
0.14%
13,808
$3,068,552,000 0.87%
Alphabet Inc
4.15%
28,362
$5,186,973,000 1.48%
First Tr Exchange-traded Fd
0.90%
73,446
$3,330,708,000 0.95%
Amazon.com Inc.
0.63%
13,825
$2,671,681,000 0.76%
Eli Lilly & Co
6.53%
2,577
$2,333,164,000 0.67%
Blackstone Strategic Cred 20
13.09%
191,462
$2,276,480,000 0.65%
Halozyme Therapeutics Inc.
No change
35,078
$1,836,684,000 0.52%
Berkshire Hathaway Inc.
7.97%
4,429
$1,801,717,000 0.51%
Vanguard Intl Equity Index F
0.73%
45,811
$3,234,349,000 0.92%
Blackrock Municipal Income
12.32%
125,853
$1,553,021,000 0.44%
Nuveen Amt Free Mun Cr Inc F
13.10%
113,084
$1,409,027,000 0.40%
Nuveen Municipal Credit Inc
13.15%
113,028
$1,395,892,000 0.40%
ServiceNow Inc
Opened
1,773
$1,394,766,000 0.40%
Abbvie Inc
1.84%
8,030
$1,377,354,000 0.39%
Blackrock Munivest Fd Ii Inc
13.10%
124,391
$1,374,516,000 0.39%
Pimco Mun Income Fd Ii
13.14%
161,134
$1,374,469,000 0.39%
Blackrock Cr Allocation Inco
12.89%
126,899
$1,359,086,000 0.39%
Vanguard Specialized Funds
0.59%
7,435
$1,357,229,000 0.39%
Pgim High Yield Bond Fund In
13.06%
105,098
$1,353,660,000 0.39%
Blackrock Muniyild Qult Fd I
13.08%
110,193
$1,353,174,000 0.39%
Blackrock Muniyield Fd Inc
13.26%
124,153
$1,347,065,000 0.38%
Thermo Fisher Scientific Inc.
1.41%
2,304
$1,274,112,000 0.36%
Meta Platforms Inc
16.95%
2,504
$1,262,667,000 0.36%
Dnp Select Income Fd Inc
No change
152,219
$1,251,240,000 0.36%
Alliancebernstein Global Hig
Closed
118,899
$1,248,441,000
JPMorgan Chase & Co.
6.22%
6,132
$1,240,258,000 0.35%
Dws Mun Income Tr New
12.34%
127,706
$1,209,376,000 0.34%
Unitedhealth Group Inc
1.12%
2,287
$1,164,678,000 0.33%
PRA Group Inc
No change
58,636
$1,152,784,000 0.33%
General Electric Co
0.96%
7,147
$1,136,159,000 0.32%
Barings Global Short Duratio
13.22%
78,224
$1,130,339,000 0.32%
Boeing Co.
0.13%
6,207
$1,129,736,000 0.32%
Invesco Quality Mun Income T
13.19%
112,789
$1,118,871,000 0.32%
Nuveen Floating Rate Income
13.26%
128,428
$1,110,903,000 0.32%
Western Asset Managed Muns F
13.25%
106,370
$1,100,928,000 0.31%
Alliancebernstein Natl Mun I
13.27%
98,821
$1,097,902,000 0.31%
Nuveen Cr Strategies Income
13.09%
194,512
$1,079,539,000 0.31%
Doubleline Yield Opportuniti
13.03%
67,349
$1,062,769,000 0.30%
American Centy Etf Tr
1.13%
27,505
$2,073,840,000 0.59%
Fidelity Wise Origin Bitcoin
5.32%
19,695
$1,033,200,000 0.29%
Oracle Corp.
3.40%
7,209
$1,017,864,000 0.29%
Lenz Therapeutics Inc
No change
58,752
$1,015,822,000 0.29%
Merck & Co Inc
4.94%
8,184
$1,013,179,000 0.29%
Select Sector Spdr Tr
4.66%
34,420
$3,433,199,000 0.98%
Walmart Inc
3.94%
13,990
$947,250,000 0.27%
Procter And Gamble Co
4.89%
5,512
$909,119,000 0.26%
Abbott Labs
2.38%
8,517
$885,001,000 0.25%
Motorola Solutions Inc
1.16%
2,270
$876,492,000 0.25%
Vanguard World Fd
2.19%
9,100
$1,988,769,000 0.57%
Exxon Mobil Corp.
3.73%
6,921
$796,746,000 0.23%
Home Depot, Inc.
5.54%
2,151
$740,460,000 0.21%
Costco Whsl Corp New
2.05%
796
$676,592,000 0.19%
Blackrock Calif Mun Income T
0.01%
54,183
$648,567,000 0.18%
Pinstripes Holdings Inc
No change
217,995
$599,486,000 0.17%
D.R. Horton Inc.
0.54%
4,088
$576,122,000 0.16%
AMGEN Inc.
2.70%
1,827
$570,846,000 0.16%
Netflix Inc.
9.56%
825
$556,776,000 0.16%
Broadcom Inc
16.26%
336
$539,458,000 0.15%
CME Group Inc
0.11%
2,716
$533,966,000 0.15%
Coca-Cola Co
4.47%
8,369
$532,687,000 0.15%
Eaton Vance Calif Mun Bd Fd
0.03%
55,952
$532,101,000 0.15%
Cisco Sys Inc
25.94%
11,064
$525,651,000 0.15%
Eaton Vance Calif Mun Incom
0.02%
48,288
$525,373,000 0.15%
First Tr Exchange Traded Fd
1.84%
13,746
$1,247,573,000 0.36%
Us Bancorp Del
1.56%
12,518
$496,965,000 0.14%
Morgan Stanley
2.82%
5,100
$495,669,000 0.14%
Invesco Calif Value Mun Inco
0.03%
42,897
$446,982,000 0.13%
Ark Etf Tr
0.52%
20,922
$696,116,000 0.20%
Visa Inc
17.36%
1,643
$431,238,000 0.12%
Northern Tr Corp
0.12%
5,050
$424,099,000 0.12%
Comcast Corp New
5.58%
10,783
$422,266,000 0.12%
Spdr Dow Jones Indl Average
No change
1,065
$416,553,000 0.12%
Disney Walt Co
1.65%
4,071
$404,212,000 0.12%
Albertsons Cos Inc
No change
20,438
$403,651,000 0.12%
Union Pac Corp
2.92%
1,763
$398,896,000 0.11%
Apollo Global Mgmt Inc
0.54%
3,322
$392,229,000 0.11%
Bank America Corp
8.17%
9,847
$391,607,000 0.11%
Ishares Inc
0.04%
15,283
$830,802,000 0.24%
Pfizer Inc.
27.31%
13,780
$385,564,000 0.11%
First Tr Exch Traded Fd Iii
1.64%
19,351
$379,089,000 0.11%
Altria Group Inc.
1.85%
8,275
$376,926,000 0.11%
Texas Instrs Inc
8.82%
1,912
$371,941,000 0.11%
Bank New York Mellon Corp
2.19%
6,071
$363,592,000 0.10%
Pimco Calif Mun Income Fd Ii
0.01%
60,443
$353,594,000 0.10%
Phillips Edison & Co Inc
No change
10,790
$352,941,000 0.10%
Lam Research Corp.
7.64%
324
$345,011,000 0.10%
UroGen Pharma Ltd
No change
20,124
$337,681,000 0.10%
Broadridge Finl Solutions In
0.88%
1,713
$337,461,000 0.10%
Super Micro Computer Inc
Opened
411
$336,753,000 0.10%
Pepsico Inc
4.80%
2,031
$334,973,000 0.10%
Mcdonalds Corp
3.97%
1,311
$334,092,000 0.10%
Dimensional Etf Trust
1.16%
8,504
$333,945,000 0.10%
Datadog Inc
0.24%
2,540
$329,413,000 0.09%
Mastercard Incorporated
20.91%
746
$329,105,000 0.09%
Johnson & Johnson
45.83%
2,220
$324,475,000 0.09%
Cummins Inc.
2.56%
1,160
$321,239,000 0.09%
NextEra Energy Inc
7.79%
4,522
$320,203,000 0.09%
Brookfield Infrast Partners
No change
11,250
$308,700,000 0.09%
Blackrock Munihldngs Cali Ql
0.01%
27,682
$307,267,000 0.09%
First Tr Exchng Traded Fd Vi
No change
7,315
$302,989,000 0.09%
Independence Rlty Tr Inc
No change
16,160
$302,838,000 0.09%
Fedex Corp
4.18%
996
$298,641,000 0.09%
RPM International, Inc.
0.15%
2,745
$295,582,000 0.08%
Target Corp
4.28%
1,974
$292,231,000 0.08%
Parker-Hannifin Corp.
2.33%
572
$289,323,000 0.08%
VanEck ETF Trust
No change
10,230
$522,213,000 0.15%
Chevron Corp.
2.62%
1,819
$284,511,000 0.08%
Verizon Communications Inc
3.13%
6,383
$263,235,000 0.08%
Global X Fds
3.07%
10,853
$257,650,000 0.07%
Progressive Corp.
11.09%
1,172
$243,436,000 0.07%
Deere & Co.
2.89%
640
$239,123,000 0.07%
Adobe Inc
Opened
429
$238,327,000 0.07%
EA Series Trust
No change
9,367
$232,489,000 0.07%
Franklin Templeton Etf Tr
No change
10,172
$231,329,000 0.07%
Advanced Micro Devices Inc.
Opened
1,415
$229,527,000 0.07%
Lyft Inc
No change
16,128
$227,405,000 0.06%
GMS Inc
No change
2,810
$226,514,000 0.06%
Micron Technology Inc.
Opened
1,721
$226,363,000 0.06%
Cambria Etf Tr
No change
7,863
$224,221,000 0.06%
Vanguard World Fd
Opened
1,754
$223,758,000 0.06%
Pan Amern Silver Corp
No change
11,186
$222,378,000 0.06%
Accenture Plc Ireland
Opened
721
$218,759,000 0.06%
Conagra Brands Inc
2.06%
7,572
$215,196,000 0.06%
Vanguard Bd Index Fds
0.10%
2,933
$211,292,000 0.06%
Ishares Tr
Opened
2,245
$207,792,000 0.06%
Treehouse Foods Inc
Opened
5,511
$201,923,000 0.06%
Bristol-Myers Squibb Co.
Closed
4,490
$201,781,000
Insmed Inc
Opened
3,000
$201,000,000 0.06%
Nuveen Amt Free Qlty Mun Inc
No change
17,247
$197,651,000 0.06%
Nuveen Quality Muncp Income
No change
16,430
$192,888,000 0.05%
Luminar Technologies Inc
0.32%
125,965
$187,688,000 0.05%
Blackrock Muniyield Quality
No change
13,880
$155,178,000 0.04%
Altimmune Inc
Opened
20,000
$133,000,000 0.04%
Kayne Anderson Energy Infrst
No change
12,730
$131,501,000 0.04%
Doubleline Income Solutions
No change
10,100
$126,452,000 0.04%
SoFi Technologies, Inc.
No change
15,788
$104,359,000 0.03%
Galectin Therapeutics Inc
No change
24,032
$54,312,000 0.02%
Indaptus Therapeutics Inc
No change
24,000
$50,880,000 0.01%
No transactions found
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