Azvalor Blue Chips FI (Trades, Portfolio) recently submitted its report for the fourth quarter of 2024, shedding light on its strategic investment decisions. This fund is known for its focus on international companies, particularly those with high market capitalizations of at least 3 billion Euros. Adhering to the Value Investment philosophy, Azvalor Blue Chips FI (Trades, Portfolio) seeks to acquire companies at prices below their intrinsic value, with a long-term vision. The fund primarily invests in OECD markets but allows for up to 35% exposure in emerging markets. This approach aims to capitalize on prospective appreciation over the medium to long term, without bias towards any specific sector or country.
Azvalor Blue Chips FI (Trades, Portfolio) added a total of 12 stocks, among them:
Azvalor Blue Chips FI (Trades, Portfolio) also increased stakes in a total of 7 stocks, among them:
Azvalor Blue Chips FI (Trades, Portfolio) completely exited 7 holdings in the fourth quarter of 2024, as detailed below:
Azvalor Blue Chips FI (Trades, Portfolio) also reduced positions in 10 stocks. The most significant changes include:
At the fourth quarter of 2024, Azvalor Blue Chips FI (Trades, Portfolio)'s portfolio included 30 stocks. The top holdings included 9.52% in Noble Corp PLC (NE, Financial), 9.43% in Barrick Gold Corp (GOLD, Financial), 8.58% in PrairieSky Royalty Ltd (TSX:PSK, Financial), 7.42% in Schlumberger Ltd (SLB, Financial), and 6.25% in Tenaris SA (MIL:TEN, Financial).
The holdings are mainly concentrated in 7 of the 11 industries: Energy, Basic Materials, Consumer Defensive, Financial Services, Real Estate, Industrials, and Healthcare.
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