Condor Capital将其VOO股份提升到2025年3季度的11.5%,其持有量最大,同时增加SPLG职位,并减少中位的ETF职位。
Condor Capital boosted its VOO stake to 11.5% in Q3 2025, its largest holding, while大幅 increasing SPLG and reducing mid-cap ETF positions.
Condor Capital Management在2025年第三季度将先锋标普500 ETF(VOO)的持股比例增加1.5%,使其成为其最大持股,占比为11.5%,同时其在SPDR投资组合标普500 ETF(SPLG)中的持仓也增加了216%。
Condor Capital Management increased its stake in the Vanguard S&P 500 ETF (VOO) by 1.5% in Q3 2025, making it its largest holding at 11.5% of the portfolio, while also boosting its position in the SPDR Portfolio S&P 500 ETF (SPLG) by 216%.
在同一期间,公司减少了先锋中位电子信托基金(VO)和先锋中位增长信托基金(VOT)的持有量。
The firm reduced holdings in the Vanguard Mid-Cap ETF (VO) and Vanguard Mid-Cap Growth ETF (VOT) during the same period.
VOO的市场上限为8 400.39亿美元,是一个重要的基准跟踪器,而SPLG和VTV也开展了大量活动。
VOO, with a $840.39 billion market cap, is a major benchmark tracker, while SPLG and VTV also saw significant activity.
这些举动反映了公司股权分配的战略转变。
These moves reflect strategic shifts in the firm’s equity allocation.