13F-HR: American Financial Group Inc. Discloses Q1 2024 Investment Portfolio

Sentiment:

13F Holdings Report


American Financial Group Inc. reports its holdings for the quarter ended March 31, 2024, revealing a diverse investment portfolio valued at approximately $266.14 million.

Summary

  • American Financial Group Inc. filed its Form 13F for the quarter ended March 31, 2024.
  • The filing discloses the company's holdings as an institutional investment manager.
  • The total value of the reported holdings is approximately $266.14 million.
  • The report includes 93 entries detailing the company's investments.
  • Great American Insurance Company is listed as another included manager with file number 028-00498.

Sentiment

Score: 5

Explanation: The document is a standard regulatory filing, so the sentiment is neutral.

Positives

  • The filing provides transparency into American Financial Group's investment holdings.
  • The portfolio includes a variety of asset classes, including common stock and notes.

Industry Context

Form 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 holdings.

Stakeholder Impact

  • Shareholders can use this information to understand the investment strategy of American Financial Group.

Key Dates

DateDescription
03-31-2024Report for the Calendar Year or Quarter Ended
05-08-2024Date of Signing

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