13F-HR: Alphabet Inc. Discloses Q1 2025 13F Holdings, Valued at $1.58 Billion
13F Holdings Report
Alphabet Inc.'s latest 13F filing reveals $1.58 billion in managed investments as of March 31, 2025, across 44 holdings.
Summary
- Alphabet Inc. filed its Form 13F for the quarter ended March 31, 2025.
- The report indicates total assets under management of $1,577,003,761 across 44 holdings.
- The filing includes holdings managed by Alphabet Inc. and five other included managers: GV Management Company, L.L.C., Google LLC, CapitalG II LP, Verily Life Sciences LLC, and CapitalG III LP.
- The largest holdings include ARM Holdings PLC, AST SpaceMobile Inc., and Freshworks Inc.
Sentiment
Score: 5
Explanation: The document is a standard regulatory filing, so the sentiment is neutral.
Positives
- The filing provides transparency into Alphabet's investment portfolio.
- The diversity of holdings across different sectors, including technology and biotechnology, suggests a diversified investment strategy.
Industry Context
13F filings are a standard requirement for institutional investment managers with over $100 million in assets under management, providing insights into their investment strategies and portfolio composition. Alphabet's filing offers a glimpse into the company's investment decisions and its exposure to various sectors and companies.
Stakeholder Impact
- Shareholders can use this information to understand Alphabet's investment strategy.
- The companies listed in the filing may see some impact on their stock prices based on Alphabet's holdings.
Key Dates
| Date | Description |
|---|---|
| 03-31-2025 | Report for the Calendar Year or Quarter Ended |
| 05-01-2025 | Date of Signing |
Keywords
13F filing, Alphabet Inc., institutional investment manager, holdings, investments, portfolio
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