Occidental Asset Management 13F annual report

Occidental Asset Management is an investment fund managing more than $569 billion ran by Nathan Walsh. There are currently 152 companies in Mr. Walsh’s portfolio. The largest investments include NVIDIA Corp and Apple Inc, together worth $67.4 billion.

$569 billion Assets Under Management (AUM)

As of 8th July 2024, Occidental Asset Management’s top holding is 303,302 shares of NVIDIA Corp currently worth over $37.5 billion and making up 6.6% of the portfolio value. Relative to the number of outstanding shares of NVIDIA Corp, Occidental Asset Management owns more than approximately 0.1% of the company. In addition, the fund holds 141,941 shares of Apple Inc worth $29.9 billion, whose value fell approximately 0.1% in the past six months. The third-largest holding is Spdr Ser Tr worth $58.9 billion and the next is Microsoft worth $16.6 billion, with 37,229 shares owned.

Currently, Occidental Asset Management's portfolio is worth at least $569 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 Occidental Asset Management

The Occidental Asset Management office and employees reside in Burlingame, California. According to the last 13-F report filed with the SEC, Nathan Walsh serves as the CCO at Occidental Asset Management.

Recent trades

In the most recent 13F filing, Occidental Asset Management revealed that it had opened a new position in Direxion Shs Etf Tr and bought 197,021 shares worth $5.7 billion.

The investment fund also strengthened its position in NVIDIA Corp by buying 273,015 additional shares. This makes their stake in NVIDIA Corp total 303,302 shares worth $37.5 billion. NVIDIA Corp dropped approximately 0.1% in the past year.

On the other hand, there are companies that Occidental Asset Management is getting rid of from its portfolio. Occidental Asset Management closed its position in Medtronic Plc on 15th July 2024. It sold the previously owned 35,386 shares for $3.08 billion. Nathan Walsh also disclosed a decreased stake in Flexshares Tr by approximately 0.1%. This leaves the value of the investment at $15.3 billion and 694,266 shares.

One of the average hedge funds

The two most similar investment funds to Occidental Asset Management are Manchester Global Management (uk) Ltd and Quantum Advisors. They manage $569 billion and $569 billion respectively.


Nathan Walsh investment strategy

Occidental Asset Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 16.0% of the total portfolio value. The fund focuses on investments in the United States as 50.7% 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 48% of the total holdings value. On the other hand, small-cap stocks make up only 4.6% of the portfolio. The average market cap of the portfolio companies is close to $179 billion.

The complete list of Occidental Asset Management trades based on 13F SEC filings

These positions were updated on July 15th 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
901.43%
303,302
$37,469,870,000 6.58%
Apple Inc
3.68%
141,941
$29,895,563,000 5.25%
Spdr Ser Tr
4.34%
1,519,059
$58,913,167,000 10.35%
Microsoft Corporation
9.85%
37,229
$16,639,698,000 2.92%
Ishares Tr
3.19%
1,818,202
$130,974,364,000 23.00%
Flexshares Tr
3.30%
694,266
$15,316,114,000 2.69%
Fidelity Merrimack Str Tr
1.21%
326,753
$14,681,012,000 2.58%
Meta Platforms Inc
7.41%
23,887
$12,044,303,000 2.12%
VanEck ETF Trust
19.69%
275,068
$7,627,759,000 1.34%
Select Sector Spdr Tr
7.44%
250,110
$15,794,153,000 2.77%
Direxion Shs Etf Tr
Opened
197,021
$5,696,646,000 1.00%
Amazon.com Inc.
5.15%
26,359
$5,093,938,000 0.89%
Qualcomm, Inc.
0.82%
24,750
$4,929,741,000 0.87%
Netapp Inc
1.09%
37,870
$4,877,656,000 0.86%
Home Depot, Inc.
13.25%
13,495
$4,645,592,000 0.82%
Applied Matls Inc
3.67%
19,440
$4,587,645,000 0.81%
Walmart Inc
9.82%
65,807
$4,455,796,000 0.78%
JPMorgan Chase & Co.
8.18%
21,834
$4,416,145,000 0.78%
Reliance Inc.
2.59%
15,313
$4,373,393,000 0.77%
Hubbell Inc.
1.82%
10,992
$4,017,317,000 0.71%
Visa Inc
12.94%
15,148
$3,976,010,000 0.70%
Southern Copper Corporation
4.41%
34,858
$3,755,576,000 0.66%
Williams Cos Inc
5.30%
85,777
$3,645,523,000 0.64%
Morgan Stanley
4.04%
37,443
$3,639,085,000 0.64%
Marsh & McLennan Cos., Inc.
5.59%
17,202
$3,624,805,000 0.64%
Cummins Inc.
4.60%
12,731
$3,525,596,000 0.62%
AMGEN Inc.
6.40%
11,254
$3,516,312,000 0.62%
Alphabet Inc
0.81%
24,383
$4,465,541,000 0.78%
Cencora Inc.
4.84%
15,528
$3,498,458,000 0.61%
Emerson Elec Co
5.47%
31,599
$3,480,946,000 0.61%
Caterpillar Inc.
4.68%
10,331
$3,441,292,000 0.60%
Spdr Index Shs Fds
4.59%
143,246
$5,142,344,000 0.90%
Unitedhealth Group Inc
5.97%
6,669
$3,396,255,000 0.60%
Broadridge Finl Solutions In
5.28%
17,191
$3,386,627,000 0.59%
Duke Energy Corp.
7.09%
33,046
$3,312,201,000 0.58%
Pepsico Inc
7.42%
19,511
$3,217,949,000 0.57%
Okta Inc
No change
33,501
$3,136,029,000 0.55%
Us Bancorp Del
6.84%
78,727
$3,125,462,000 0.55%
Medtronic Plc
Closed
35,386
$3,083,890,000
Constellation Brands, Inc.
5.44%
11,854
$3,049,797,000 0.54%
Price T Rowe Group Inc
6.69%
26,401
$3,044,299,000 0.53%
Quest Diagnostics, Inc.
5.00%
21,494
$2,942,099,000 0.52%
Jacobs Solutions Inc
6.86%
20,808
$2,907,086,000 0.51%
Cardinal Health, Inc.
Opened
28,346
$2,786,979,000 0.49%
Chubb Limited
5.78%
10,722
$2,734,968,000 0.48%
Illinois Tool Wks Inc
7.28%
11,514
$2,728,357,000 0.48%
Vanguard Index Fds
6.61%
17,817
$5,910,966,000 1.04%
Agilent Technologies Inc.
3.41%
20,414
$2,646,267,000 0.46%
Host Hotels & Resorts Inc
9.56%
146,269
$2,629,917,000 0.46%
Target Corp
5.43%
17,448
$2,583,002,000 0.45%
American Tower Corp.
10.61%
13,193
$2,564,455,000 0.45%
Wisdomtree Tr
4.67%
221,582
$7,772,867,000 1.37%
AT&T Inc.
10.92%
133,095
$2,543,440,000 0.45%
Schwab Strategic Tr
4.58%
120,929
$3,969,095,000 0.70%
Williams-Sonoma, Inc.
4.37%
8,757
$2,472,714,000 0.43%
Omnicom Group, Inc.
6.68%
25,153
$2,256,224,000 0.40%
Comcast Corp New
8.54%
56,999
$2,232,082,000 0.39%
Gilead Sciences, Inc.
10.85%
31,676
$2,173,289,000 0.38%
Baker Hughes Company
7.93%
59,966
$2,109,004,000 0.37%
Berkshire Hathaway Inc.
3.01%
4,719
$1,919,689,000 0.34%
Nxp Semiconductors N V
4.52%
6,979
$1,877,979,000 0.33%
Meritage Homes Corp.
6.62%
11,595
$1,876,651,000 0.33%
Ishares Inc
134.66%
32,657
$1,748,129,000 0.31%
American Eagle Outfitters In
8.37%
83,481
$1,666,281,000 0.29%
Merck & Co Inc
9.65%
12,887
$1,595,411,000 0.28%
Digital Rlty Tr Inc
8.30%
10,331
$1,570,829,000 0.28%
Disney Walt Co
16.56%
15,651
$1,553,988,000 0.27%
UGI Corp.
6.83%
67,304
$1,541,262,000 0.27%
EBay Inc.
10.39%
27,368
$1,470,209,000 0.26%
Tesla Inc
63.42%
7,388
$1,461,937,000 0.26%
Spdr S&p 500 Etf Tr
1.95%
2,620
$1,425,759,000 0.25%
Eli Lilly & Co
5.11%
1,487
$1,346,296,000 0.24%
Church & Dwight Co., Inc.
4.14%
12,739
$1,320,813,000 0.23%
Abbvie Inc
1.59%
7,453
$1,278,339,000 0.22%
Salesforce Inc
10.06%
4,957
$1,274,551,000 0.22%
J P Morgan Exchange Traded F
5.68%
23,001
$1,243,906,000 0.22%
Exxon Mobil Corp.
4.95%
10,626
$1,223,222,000 0.21%
Gap, Inc.
15.80%
45,665
$1,090,937,000 0.19%
Verizon Communications Inc
241.48%
24,259
$1,000,447,000 0.18%
Vanguard Specialized Funds
2.79%
4,738
$864,896,000 0.15%
Cisco Sys Inc
5.48%
17,112
$812,986,000 0.14%
First Tr Exch Traded Fd Iii
5.43%
38,036
$751,972,000 0.13%
Brown & Brown, Inc.
No change
8,350
$746,574,000 0.13%
Gallagher Arthur J & Co
0.53%
2,857
$740,849,000 0.13%
Oracle Corp.
11.04%
5,199
$734,099,000 0.13%
Invesco Exchange Traded Fd T
0.09%
18,148
$941,075,000 0.17%
Ford Mtr Co Del
0.58%
47,915
$600,856,000 0.11%
Coca-Cola Co
12.00%
9,428
$600,063,000 0.11%
Chevron Corp.
60.09%
3,727
$583,006,000 0.10%
Diageo plc
8.24%
4,455
$561,686,000 0.10%
Conocophillips
0.60%
4,842
$553,828,000 0.10%
First Tr Exchange-traded Fd
13.38%
29,893
$923,387,000 0.16%
Advanced Micro Devices Inc.
7.14%
3,198
$518,748,000 0.09%
Netflix Inc.
31.06%
768
$518,308,000 0.09%
Goldman Sachs Etf Tr
No change
5,117
$512,109,000 0.09%
Procter And Gamble Co
23.52%
3,088
$509,273,000 0.09%
Yum Brands Inc.
3.87%
3,784
$501,229,000 0.09%
Johnson & Johnson
21.61%
3,416
$499,219,000 0.09%
Ishares Tr
Closed
4,217
$466,094,000
PayPal Holdings Inc
1.20%
7,621
$442,247,000 0.08%
Broadcom Inc.
1.52%
267
$428,677,000 0.08%
Wells Fargo Co New
18.48%
6,481
$384,926,000 0.07%
Bristol-Myers Squibb Co.
7.50%
9,135
$379,377,000 0.07%
Pfizer Inc.
24.78%
13,230
$370,180,000 0.07%
Spotify Technology S.A.
Closed
1,392
$367,349,000
Vanguard Tax-managed Fds
34.11%
7,395
$365,449,000 0.06%
Pimco Etf Tr
20.53%
3,628
$365,158,000 0.06%
Lockheed Martin Corp.
2.00%
765
$357,332,000 0.06%
Mcdonalds Corp
21.93%
1,390
$354,313,000 0.06%
Mastercard Incorporated
31.61%
787
$347,016,000 0.06%
Bank America Corp
Opened
8,604
$342,186,000 0.06%
Chipotle Mexican Grill
4,900.00%
5,400
$338,310,000 0.06%
Hershey Company
4.78%
1,833
$336,960,000 0.06%
Costco Whsl Corp New
Opened
383
$325,734,000 0.06%
Stryker Corp.
1.30%
933
$317,453,000 0.06%
Micron Technology Inc.
11.73%
2,391
$314,488,000 0.06%
Phathom Pharmaceuticals Inc
No change
29,672
$305,622,000 0.05%
Vanguard Scottsdale Fds
46.83%
3,769
$301,256,000 0.05%
Vanguard Mun Bd Fds
Opened
5,747
$287,982,000 0.05%
Colgate-Palmolive Co.
7.72%
2,860
$277,534,000 0.05%
Ishares Tr
Opened
2,313
$274,738,000 0.05%
Novartis AG
0.40%
2,490
$265,085,000 0.05%
Spdr Gold Tr
2.55%
1,224
$263,172,000 0.05%
Vanguard Intl Equity Index F
4.43%
4,362
$255,803,000 0.04%
Vanguard Whitehall Fds
No change
3,124
$253,919,000 0.04%
Rbb Fd Inc
No change
5,000
$250,100,000 0.04%
Intel Corp.
8.48%
8,034
$248,798,000 0.04%
VanEck ETF Trust
Opened
4,672
$241,309,000 0.04%
Spdr Ser Tr
Closed
3,728
$239,151,000
Philip Morris International Inc
1.93%
2,288
$231,843,000 0.04%
Ross Stores, Inc.
2.21%
1,571
$228,298,000 0.04%
Royal Caribbean Group
Opened
1,405
$223,999,000 0.04%
Vanguard Charlotte Fds
Closed
4,500
$221,371,000
Boeing Co.
Opened
1,211
$220,353,000 0.04%
Nushares Etf Tr
0.89%
2,713
$220,187,000 0.04%
Airbnb, Inc.
Opened
1,436
$217,741,000 0.04%
Shopify Inc
Opened
3,293
$217,503,000 0.04%
Cf Inds Hldgs Inc
0.03%
2,900
$214,948,000 0.04%
Vertex Pharmaceuticals, Inc.
Opened
458
$214,674,000 0.04%
Abrdn Total Dynamic Dividend
0.79%
25,079
$210,914,000 0.04%
Innovator ETFs Trust
No change
6,218
$209,360,000 0.04%
Marathon Pete Corp
5.98%
1,206
$209,217,000 0.04%
Vanguard Intl Equity Index F
Closed
4,966
$207,436,000
Marriott Intl Inc New
Closed
820
$206,894,000
TG Therapeutics Inc
No change
11,623
$206,773,000 0.04%
Blackrock Inc.
Closed
247
$205,924,000
Nushares Etf Tr
Opened
5,444
$205,729,000 0.04%
Phillips 66
Closed
1,251
$204,338,000
Vanguard Index Fds
Opened
1,267
$203,192,000 0.04%
NVR Inc.
Closed
25
$202,499,000
Sysco Corp.
2.24%
2,833
$202,248,000 0.04%
Valero Energy Corp.
Closed
1,184
$202,097,000
Universal Ins Hldgs Inc
Opened
10,450
$196,042,000 0.03%
Virtus Dividend Interest & P
1.13%
15,473
$190,008,000 0.03%
Nuveen Amt Free Qlty Mun Inc
0.26%
15,786
$180,908,000 0.03%
Nuveen Quality Muncp Income
24.32%
13,962
$163,914,000 0.03%
Nuveen Pfd & Income Opportun
6.94%
13,411
$100,180,000 0.02%
Western Asset Emerging Mkts
0.54%
10,633
$98,993,000 0.02%
Cbre Gbl Real Estate Inc Fd
11.36%
18,859
$95,049,000 0.02%
Nuveen Cr Strategies Income
2.28%
17,100
$94,905,000 0.02%
Virtus Convertible & Inc Fd
3.33%
15,606
$45,570,000 0.01%
Nokia Corp
Opened
10,700
$40,446,000 0.01%
Virtus Convertible & Income
8.88%
12,244
$40,038,000 0.01%
No transactions found
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