Sponsored
The Analysis of Codex Capital Asset Management L.L.C.'s Holdings & P&L
Currently, Codex Capital Asset Management L.L.C. holds 33 types of securities in its portfolio with a total value $288.9M. In the most recent quarter, they have increased their positions in N/A (+17.5K shares, valued at $3.9M), BRK.B (+4.5K shares, valued at $2.3M), N/A (+7.5K shares, valued at $664.5K); decreased their positions in NVDA (-32.4K shares, valued at $6.5M), HON (-16.1K shares, valued at $3.6M), LLY (-2.7K shares, valued at $3.3M); initiated new positions in N/A (+17.5K shares, valued at $3.9M), N/A (+7.5K shares, valued at $664.5K), AXP (+1.9K shares, valued at $640.9K).
1M P&L
-5.5M-2.58%
3M P&L
+12.0M+6.10%
HY P&L
+24.2M+13.08%
P&L figures are estimated based on reported 13F stock holdings and market price changes. They are approximations and may not reflect actual fund performance. Stock split events may also affect the accuracy of these calculations, and we cannot guarantee that all splits have been fully accounted for.
Top Holding Treemap
Top Industries by Value
1Semiconductors42.9M
19.0%
2Aerospace & Defense26.4M
11.7%
3Internet Content & Information25.5M
11.3%
Top Industries by Stock Count
1N/A3 stocks
12.5%
2Internet Content & Information2 stocks
8.3%
3Aerospace & Defense2 stocks
8.3%
Sponsored
Stock Holdings
TickerCompany NameSharesShares △%Event DateReport DateHistory
Sponsored
Sponsored
Sponsored
Sponsored
NVDA
-14.22%NVIDIA CORPORATION
Shares195.6K
Event2026-06-30
Filed2026-07-27
GEV
-2.74%GEV
Shares20.6K
Event2026-06-30
Filed2026-07-27
GE
-0.83%GENERAL ELECTRIC CO
Shares53.9K
Event2026-06-30
Filed2026-07-27
LLY
-14.83%LILLY ELI & CO
Shares15.7K
Event2026-06-30
Filed2026-07-27
BRK.B
14.76%BERKSHIRE HATHAWAY INC DEL
Shares35.2K
Event2026-06-30
Filed2026-07-27
MSFT
-2.33%MICROSOFT CORP
Shares37.7K
Event2026-06-30
Filed2026-07-27
META PLATFORMS INC
-2.51%META PLATFORMS INC
Shares24.9K
Event2026-06-30
Filed2026-07-27
GOOGL
1.69%ALPHABET INC
Shares36.8K
Event2026-06-30
Filed2026-07-27
SPDR S&P 500 ETF TR
-2.32%SPDR S&P 500 ETF TR
Shares16.9K
Event2026-06-30
Filed2026-07-27
GOOG
-1.85%ALPHABET INC
Shares35.0K
Event2026-06-30
Filed2026-07-27
AMZN
0.00%AMAZON COM INC
Shares45.9K
Event2026-06-30
Filed2026-07-27
JPMORGAN CHASE & CO
-25.70%JPMORGAN CHASE & CO
Shares28.1K
Event2026-06-30
Filed2026-07-27
ETN
-0.50%EATON CORP PLC
Shares19.9K
Event2026-06-30
Filed2026-07-27
BROADCOM
0.00%BROADCOM
Shares21.0K
Event2026-06-30
Filed2026-07-27
RYCEY
-0.51%ROLLS ROYCE
Shares387.0K
Event2026-06-30
Filed2026-07-27
MASTERCARD INCORPORATED
0.71%MASTERCARD INCORPORATED
Shares14.2K
Event2026-06-30
Filed2026-07-27
TMO
-0.19%THERMO FISHER SCIENTIFIC INC
Shares13.3K
Event2026-06-30
Filed2026-07-27
BA
9.43%BOEING
Shares29.0K
Event2026-06-30
Filed2026-07-27
VISA INC
-0.51%VISA INC
Shares17.8K
Event2026-06-30
Filed2026-07-27
QQQ
0.00%INVESCO QQQ TR
Shares6.8K
Event2026-06-30
Filed2026-07-27
HON
-47.92%HONEYWELL INTERNATIONAL INC
Shares17.5K
Event2026-06-30
Filed2026-07-27
HONEYWELL AEROSPACE
NewHONEYWELL AEROSPACE
Shares17.5K
Event2026-06-30
Filed2026-07-27
TSM
2.60%TAIWAN SEMICONDUCTOR
Shares7.9K
Event2026-06-30
Filed2026-07-27
IJK
-2.00%ISHARES TR
Shares22.1K
Event2026-06-30
Filed2026-07-27
SHOP
-16.33%SHOPIFY
Shares20.5K
Event2026-06-30
Filed2026-07-27
TDY
0.00%TELEDYNE TECHNOLOGIES
Shares3.1K
Event2026-06-30
Filed2026-07-27
ISRG
0.62%INTUITIVE SURGICAL
Shares4.8K
Event2026-06-30
Filed2026-07-27
GEHC
-35.36%GE HEALTHCARE
Shares26.2K
Event2026-06-30
Filed2026-07-27
VRTX
12.33%VERTEX PHARMA
Shares3.4K
Event2026-06-30
Filed2026-07-27
NXP SEMI
0.00%NXP SEMI
Shares5.5K
Event2026-06-30
Filed2026-07-27
AAPL
0.00%APPLE INC
Shares3.0K
Event2026-06-30
Filed2026-07-27
SOLSTICE
NewSOLSTICE
Shares7.5K
Event2026-06-30
Filed2026-07-27
AXP
NewAMERICAN EXPRESS
Shares1.9K
Event2026-06-30
Filed2026-07-27
Call Option Holdings
No call option holdings data available
No call option holdings data available
Put Option Holdings
No put option holdings data available
No put option holdings data available