Apollon is an investment fund managing more than $287 billion ran by Michael Herman. There are currently 76 companies in Mr. Herman’s portfolio. The largest investments include NVIDIA Corp and Microsoft, together worth $41 billion.
As of 12th July 2024, Apollon’s top holding is 215,563 shares of NVIDIA Corp currently worth over $26.6 billion and making up 8.7% of the portfolio value.
Relative to the number of outstanding shares of NVIDIA Corp, Apollon owns more than approximately 0.1% of the company.
In addition, the fund holds 32,140 shares of Microsoft worth $14.4 billion, whose value grew 10.5% in the past six months.
The third-largest holding is Select Sector Spdr Tr worth $20.7 billion and the next is Apple Inc worth $13 billion, with 61,698 shares owned.
Currently, Apollon's portfolio is worth at least $287 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.
The Apollon office and employees reside in Mount Pleasant, South Carolina. According to the last 13-F report filed with the SEC, Michael Herman serves as the Chief Compliance Officer at Apollon.
In the most recent 13F filing, Apollon revealed that it had opened a new position in
Dimensional Etf Trust and bought 54,912 shares worth $1.63 billion.
The investment fund also strengthened its position in NVIDIA Corp by buying
194,396 additional shares.
This makes their stake in NVIDIA Corp total 215,563 shares worth $26.6 billion.
NVIDIA Corp dropped 74.3% in the past year.
On the other hand, there are companies that Apollon is getting rid of from its portfolio.
Apollon closed its position in Vanguard Tax-managed Fds on 19th July 2024.
It sold the previously owned 29,969 shares for $1.5 billion.
Michael Herman also disclosed a decreased stake in Apple Inc by approximately 0.1%.
This leaves the value of the investment at $13 billion and 61,698 shares.
The two most similar investment funds to Apollon are Brown, Lisle/cummings, Inc and Verde Capital Management. They manage $306 billion and $306 billion respectively.
Apollon’s portfolio is diversified across 10 sectors.
Currently, their heaviest sector is Technology — making up 21.7% of
the total portfolio value.
The fund focuses on investments in the United States as
32.9% 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 3.9% of the portfolio.
The average market cap of the portfolio companies is close to $409 billion.
These positions were updated on July 19th 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 |
---|---|---|---|
NVIDIA Corp |
918.39%
215,563
|
$26,630,594,000 | 8.70% |
Microsoft Corporation |
2.65%
32,140
|
$14,364,833,000 | 4.69% |
Select Sector Spdr Tr |
1.02%
149,577
|
$20,731,711,000 | 6.77% |
Apple Inc |
0.02%
61,698
|
$12,994,728,000 | 4.24% |
Amazon.com Inc. |
0.81%
67,113
|
$12,969,587,000 | 4.24% |
Ishares Tr |
1.72%
416,691
|
$46,528,584,000 | 15.20% |
Alphabet Inc |
0.66%
112,695
|
$20,608,279,000 | 6.73% |
Spdr Ser Tr |
4.80%
315,357
|
$21,722,955,000 | 7.09% |
American Centy Etf Tr |
23.82%
175,787
|
$11,326,427,000 | 3.70% |
Vanguard World Fd |
0.58%
99,779
|
$28,448,042,000 | 9.29% |
Proshares Tr |
0.79%
117,329
|
$10,748,142,000 | 3.51% |
Vanguard Specialized Funds |
4.61%
39,584
|
$7,226,129,000 | 2.36% |
Vanguard Scottsdale Fds |
3.10%
69,109
|
$6,483,147,000 | 2.12% |
Berkshire Hathaway Inc. |
3.98%
11,951
|
$4,861,667,000 | 1.59% |
Costco Whsl Corp New |
11.02%
4,109
|
$3,492,619,000 | 1.14% |
Schwab Strategic Tr |
5.14%
97,859
|
$4,513,467,000 | 1.47% |
Broadcom Inc. |
8.05%
1,826
|
$2,932,350,000 | 0.96% |
Invesco Exch Trd Slf Idx Fd |
8.78%
44,785
|
$2,350,788,000 | 0.77% |
Pacer Fds Tr |
1.77%
39,172
|
$2,134,481,000 | 0.70% |
First Tr Exchng Traded Fd Vi |
18.13%
93,412
|
$2,344,029,000 | 0.77% |
First Tr Value Line Divid In |
41.50%
47,453
|
$1,933,710,000 | 0.63% |
Hartford Fds Exchange Traded |
33.85%
53,055
|
$1,833,406,000 | 0.60% |
Dimensional Etf Trust |
Opened
54,912
|
$1,629,239,000 | 0.53% |
Alps Etf Tr |
14.85%
32,490
|
$1,612,160,000 | 0.53% |
Pimco Etf Tr |
Opened
58,402
|
$1,590,976,000 | 0.52% |
Amplify Etf Tr |
0.00%
24,009
|
$1,554,082,000 | 0.51% |
Vanguard Tax-managed Fds |
Closed
29,969
|
$1,503,559,000 | |
First Tr Exchange Traded Fd |
1.21%
48,942
|
$4,010,186,000 | 1.31% |
Pgim Short Dur Hig Yld Opp F |
15.47%
91,121
|
$1,396,891,000 | 0.46% |
Invesco Exchange Traded Fd T |
0.70%
32,592
|
$2,613,382,000 | 0.85% |
Ssga Active Etf Tr |
Closed
43,310
|
$1,210,512,000 | |
Vanguard Index Fds |
0.58%
17,724
|
$4,623,513,000 | 1.51% |
Eli Lilly & Co |
24.49%
1,210
|
$1,095,643,000 | 0.36% |
Exxon Mobil Corp. |
1.15%
9,094
|
$1,046,917,000 | 0.34% |
Nushares Etf Tr |
1.07%
49,030
|
$1,013,941,000 | 0.33% |
JPMorgan Chase & Co. |
4.60%
4,824
|
$975,687,000 | 0.32% |
Pgim Etf Tr |
194.27%
22,150
|
$913,479,000 | 0.30% |
Vanguard Intl Equity Index F |
Closed
15,273
|
$895,778,000 | |
Vanguard Whitehall Fds |
0.20%
6,621
|
$785,206,000 | 0.26% |
Spdr Ser Tr |
Closed
38,919
|
$1,052,153,000 | |
Meta Platforms Inc |
0.16%
1,243
|
$626,840,000 | 0.20% |
Advanced Micro Devices Inc. |
4.12%
3,793
|
$615,263,000 | 0.20% |
Spdr Gold Tr |
1.70%
2,809
|
$603,963,000 | 0.20% |
Enterprise Prods Partners L |
73.91%
20,000
|
$579,600,000 | 0.19% |
Salesforce Inc |
14.16%
2,127
|
$546,791,000 | 0.18% |
Eastgroup Pptys Inc |
No change
3,205
|
$545,171,000 | 0.18% |
Vanguard Bd Index Fds |
5.95%
7,303
|
$526,181,000 | 0.17% |
Autozone Inc. |
No change
161
|
$477,220,000 | 0.16% |
Caterpillar Inc. |
0.15%
1,307
|
$435,362,000 | 0.14% |
Chevron Corp. |
0.04%
2,617
|
$409,332,000 | 0.13% |
Invesco Exch Traded Fd Tr Ii |
1.45%
13,076
|
$709,285,000 | 0.23% |
T Rowe Price Etf Inc |
Opened
12,700
|
$398,907,000 | 0.13% |
First Tr Lrge Cp Core Alpha |
No change
3,730
|
$361,773,000 | 0.12% |
Disney Walt Co |
3.99%
3,608
|
$358,252,000 | 0.12% |
Walmart Inc |
24.85%
5,236
|
$354,502,000 | 0.12% |
Dimensional Etf Trust |
No change
10,879
|
$350,739,000 | 0.11% |
Lululemon Athletica inc. |
Closed
894
|
$349,241,000 | |
Goldman Sachs Etf Tr |
No change
3,258
|
$348,443,000 | 0.11% |
Deere & Co. |
0.22%
901
|
$336,641,000 | 0.11% |
First Tr Nas100 Eq Weighted |
No change
2,630
|
$324,253,000 | 0.11% |
Mcdonalds Corp |
7.93%
1,231
|
$313,708,000 | 0.10% |
Vanguard Bd Index Fds |
Closed
4,089
|
$313,504,000 | |
VanEck ETF Trust |
5.34%
1,183
|
$308,408,000 | 0.10% |
Johnson & Johnson |
1.55%
2,090
|
$305,547,000 | 0.10% |
J P Morgan Exchange Traded F |
21.46%
6,027
|
$303,610,000 | 0.10% |
Invesco Db Multi-sector Comm |
No change
19,088
|
$302,541,000 | 0.10% |
Elevance Health Inc |
No change
545
|
$295,314,000 | 0.10% |
Vanguard Malvern Fds |
11.05%
5,478
|
$265,902,000 | 0.09% |
Spdr S&p 500 Etf Tr |
14.08%
488
|
$265,362,000 | 0.09% |
AMGEN Inc. |
3.33%
843
|
$263,395,000 | 0.09% |
Iterum Therapeutics Plc |
No change
224,750
|
$257,339,000 | 0.08% |
Mastercard Incorporated |
5.23%
544
|
$239,991,000 | 0.08% |
Adobe Inc |
Closed
452
|
$228,079,000 | |
Visa Inc |
No change
868
|
$227,824,000 | 0.07% |
Spdr Index Shs Fds |
43.44%
6,027
|
$227,037,000 | 0.07% |
Dell Technologies Inc |
Opened
1,619
|
$223,276,000 | 0.07% |
Procter And Gamble Co |
0.45%
1,333
|
$219,786,000 | 0.07% |
First Tr Exchange-traded Fd |
0.45%
6,444
|
$215,695,000 | 0.07% |
Boeing Co. |
Closed
1,086
|
$209,587,000 | |
Cisco Sys Inc |
10.14%
4,385
|
$208,308,000 | 0.07% |
AT&T Inc. |
No change
10,898
|
$208,261,000 | 0.07% |
Tesla Inc |
26.99%
1,047
|
$207,180,000 | 0.07% |
Merck & Co Inc |
No change
1,665
|
$206,127,000 | 0.07% |
Pepsico Inc |
Closed
1,169
|
$204,546,000 | |
Global X Fds |
Closed
5,032
|
$200,324,000 | |
Energy Transfer L P |
No change
10,000
|
$162,200,000 | 0.05% |
Senseonics Holdings Inc |
Closed
10,000
|
$5,311,000 | |
No transactions found | |||
Showing first 500 out of 87 holdings |