Amova Asset Management Americas, Inc.

13F Portfolio Filings

Most recent 13F
Q3 2025
Location
New York, NY
CIK
0001480751
Alternate names
Nikko Asset Management Americas, Inc.
All SEC filings
View on sec.gov
Holdings Value
Quarter Holdings Value ($000) Top Holdings Form Type Date Filed Filing ID
Q3 2025 193 10,320,318 HOOD, SHOP, COIN, TSLA 13F-HR 11/12/2025 000114036125041628
Q2 2025 190 10,025,334 COIN, HOOD, SHOP, RBLX 13F-HR 8/11/2025 000114036125030107
Q1 2025 188 7,757,167 SHOP, HOOD, PLTR, COIN 13F-HR 5/7/2025 000114036125017622
Q4 2024 184 9,227,682 HOOD, COIN, SHOP, PLTR 13F-HR 2/10/2025 000114036125003755
Q3 2024 187 8,827,954 HOOD, TSLA, COIN, SHOP 13F-HR 11/7/2024 000114036124045561
Q2 2024 189 8,663,364 COIN, HOOD, TSLA, SQ 13F-HR 8/9/2024 000114036124036559
Q1 2024 190 10,070,422 COIN, SQ, HOOD, TSLA 13F-HR 5/2/2024 000114036124023966
Q4 2023 192 10,402,942 COIN, SQ, PATH, ROKU 13F-HR 2/8/2024 000114036124006292
Q3 2023 195 8,364,981 COIN, TSLA, ROKU, PATH 13F-HR 11/9/2023 000114036123052280
Q2 2023 197 9,499,632 COIN, SQ, TSLA, ROKU 13F-HR 8/14/2023 000114036123039425
Q1 2023 202 8,678,955 SQ, COIN, TSLA, SHOP 13F-HR 5/3/2023 000114036123022603
Q4 2022 208 6,942,289 SQ, ZM, PATH, SHOP 13F-HR 2/13/2023 000114036123006405
Q3 2022 213 7,828,737 TSLA, ZM, ROKU, SQ 13F-HR 11/14/2022 000156761922019695
Q2 2022 215 8,099,234 ZM, TSLA, ROKU, SQ 13F-HR 8/4/2022 000156761922014913
Q1 2022 217 13,617,915 COIN, SQ, TSLA, TWLO 13F-HR 5/6/2022 000156761922009648
Q4 2021 204 19,018,373 COIN, TSLA, SQ, SHOP 13F-HR 2/8/2022 000156761922002807
Q3 2021 205 23,288,149 TSLA, SQ, COIN, TDOC 13F-HR 11/9/2021 000156761921019588
Q2 2021 206 25,541,737 TSLA, SQ, ROKU, SHOP 13F-HR 8/9/2021 000156761921014670
Q1 2021 217 20,412,866 SQ, TSLA, TDOC, ROKU 13F-HR 5/3/2021 000156761921008864
Q4 2020 214 17,608,125 SQ, TSLA, ROKU, CRSP 13F-HR 2/11/2021 000156761921002989
Q3 2020 211 11,284,063 SQ, TSLA, NVTA, ROKU 13F-HR 11/2/2020 000156761920018540
Q2 2020 174 7,633,145 SQ, TSLA, NVTA, Z 13F-HR 8/7/2020 000156761920014475
Q1 2020 170 5,384,131 SQ, ILMN, TSLA, Z NEW HOLDINGS 5/4/2020 000156761920008924
Q1 2020 169 5,277,908 SQ, ILMN, TSLA, Z 13F-HR 4/30/2020 000156761920008652
Q4 2019 174 6,350,043 SQ, TSLA, ILMN, AAPL 13F-HR 2/6/2020 000156761920002304
Q3 2019 174 5,628,399 SQ, AAPL, TSLA, ILMN 13F-HR 10/29/2019 000156761919020114
Q2 2019 168 5,097,681 SQ, AAPL, NVDA, AMZN 13F-HR 7/29/2019 000156761919015300
Q1 2019 169 3,792,264 SQ, TREE, AAPL, AMZN 13F-HR 4/30/2019 000156761919009479
Q4 2018 147 2,893,766 SQ, AMZN, TREE, BIDU 13F-HR 2/8/2019 000156761919002754
Q3 2018 154 3,596,374 SQ, AMZN, BIDU, AAPL 13F-HR 10/15/2018 000156761918004105
Q2 2018 152 3,346,610 SQ, AMZN, BIDU, AAPL 13F-HR 7/20/2018 000114036118032967
Q1 2018 150 2,812,504 SQ, AMZN, TREE, BABA 13F-HR 4/23/2018 000114036118019241
Q4 2017 260 3,840,319 SQ, TREE, athenahealth Inc, PYPL 13F-HR 2/14/2018 000114036118007575
Q3 2017 334 2,046,418 BBL, AMZN, SQ, MON 13F-HR 10/10/2017 000114036117037844
Q2 2017 315 1,678,895 BBL, MON, RIO, XOM 13F-HR 8/4/2017 000114036117030159
Q1 2017 308 1,356,280 BBL, MON, RIO, TOT 13F-HR 4/26/2017 000114036117016822
Q4 2016 293 1,242,691 BBL, RDS.A, TOT, XOM 13F-HR 2/14/2017 000114036117006987
Q3 2016 245 1,175,740 BBL, XOM, RDS.A, MON 13F-HR 10/28/2016 000114036116083874
Q2 2016 239 1,050,851 XOM, BBL, RDS.A, TOT 13F-HR 7/19/2016 000114036116072799
Q1 2016 230 836,742 XOM, BBL, RDS.A, CVX 13F-HR 5/10/2016 000114036116064268
Q4 2015 184 889,195 XOM, RDS.A, CVX, TOT 13F-HR 1/5/2016 000114036116046289
Q3 2015 183 967,969 XOM, BBL, CVX, ADM 13F-HR 10/15/2015 000114036115037644
Q2 2015 194 1,439,661 BBL, XOM, CVX, RIO 13F-HR 7/24/2015 000114036115028605
Q1 2015 203 1,289,867 BHP BILLITON PLC-ADR, CVX, XOM, MON 13F-HR 5/13/2015 000114036115019341
Q4 2014 202 1,407,192 BHP BILLITON PLC-ADR, MON, XOM, CVX 13F-HR 2/12/2015 000114036115005630
Q3 2014 183 1,648,234 XOM, BBL, MON, FCX 13F-HR 10/16/2014 000114036114038327
Q2 2014 184 1,968,637 BBL, XOM, MON, POT 13F-HR 8/8/2014 000114036114031389
Q1 2014 175 2,208,485 BBL, XOM, POT, MON 13F-HR 5/2/2014 000114036114018519
Q4 2013 175 2,634,964 BBL, XOM, FCX, MON 13F-HR 1/29/2014 000114036114003495