Long-term investor
Aviva PLC @avivaplc
Institutional investment manager. Holdings disclosed quarterly to the SEC on Form 13F (CIK 0001140022).
Record
- Tracked since 2025-06-30 (431 days), 31 trades recorded
- Returns: week n/a · month n/a · 90 days +7.6% · 6 months +4.4% · 1 year +12.3% · all +12.3%
- Max drawdown -5.0% · Sharpe 0.58 · win rate 28% · data quality Good
- Source: SEC 13F Filings (live) (SEC EDGAR; typical delay 45 days)
Open positions
- NVDA · 6.5% · long · since 2025-06-30
- AAPL · 5.7% · long · since 2025-06-30
- MSFT · 4.0% · long · since 2025-06-30
- AMZN · 3.0% · long · since 2025-06-30
- GOOGL · 3.0% · long · since 2025-06-30
- G0593M107 · 3.0% · long · since 2026-03-31
- AVGO · 2.6% · long · since 2025-06-30
- 02079K107 · 2.3% · long · since 2025-06-30
- MU · 1.8% · long · since 2025-06-30
- META · 1.7% · long · since 2025-06-30
- TSLA · 1.6% · long · since 2025-06-30
- JPM · 1.5% · long · since 2025-06-30
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