Tracking William Nygren's Harris Associates Portfolio - Q3 2025 Update
2025-12-17 22:56:01 ET
This article is part of a series that provides an ongoing analysis of the changes made to Harris Associates 13F stock portfolio on a quarterly basis. It is based on Harris Associates’ regulatory 13F Form filed on 11/14/2025. William Nygren’s 13F portfolio value increased from $61.50B to $62.38B this quarter. The portfolio is diversified with recent 13F reports showing around 200 positions. There are 42 securities that are significantly large (more than ~1% of the portfolio each) and they are the focus of this article. The largest five stakes are Alphabet, IQVIA Holdings, Charles Schwab, Capital One Financial, and Airbnb. They add up to ~18% of the portfolio. Please visit our Tracking William Nygren’s Harris Associates Portfolio series to get an idea of their investment philosophy and our last update for the fund’s moves during Q2 2025....
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Tracking William Nygren's Harris Associates Portfolio - Q3 2025 UpdateNASDAQ: FCNCA
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