AFLAC INC Holdings

AFLAC INC is an investment fund managing more than 236.09M US dollars. The largest holdings include Trupanion, Diamond Offshore Drilling and Sharecare. In Q3 2022 the fund bought assets of total value of 7.03M US dollars and sold assets of total value of 34.51M US dollars.

AFLAC INC portfolio value:

$236.09M
portfolio value

AFLAC INC quarter portfolio value change:

-0.83%
quarter

AFLAC INC portfolio changes

Portfolio changes (number of shares)
Period Buy Sel
Q2 2022 11509000 107464000
Q3 2022 7027000 34511000

AFLAC INC 13F holdings

Stock
Portfolio share: 91.54%
Portfolio value: 216.10M
Avg. open price: N/A
Current price: $54.12
P/L: N/A
N/A
Q1 2022
Portfolio share: 5.49%
Portfolio value: 12.95M
Avg. open price: N/A
Current price: N/A
P/L: N/A
N/A
Q2 2022
Portfolio share: 1.78%
Portfolio value: 4.19M
Avg. open price: N/A
Current price: $2.14
P/L: N/A
N/A
Q3 2022
Portfolio share: 1.20%
Portfolio value: 2.83M
Avg. open price: N/A
Current price: $0.99
P/L: N/A
N/A
Q3 2022
Portfolio share: 0.00%
Portfolio value: 0
Avg. open price: N/A
Current price: $41.36
P/L: N/A
Sold -100.00% shares
Q3 2022

Showing TOP 5 AFLAC's 13F holdings.

Frequently Asked Questions (FAQ)

What is the biggest position of AFLAC INC?

The biggest position of the AFLAC INC is Trupanion, Inc. (TRUP) with 91.54% portfolio share worth of 216.11M US dollars.

Top 5 AFLAC's holdings represent 100% of the portfolio:

  • Trupanion, Inc. (TRUP)91.54%
  • Diamond Offshore Drilling Inc. ()5.49%
  • Sharecare, Inc. (SHCR)1.78%
  • Pagaya Technologies Ltd. (PGY)1.2%
  • SPDR Blackstone Senior Loan ETF (SRLN)0%

Who is the portfolio manager of AFLAC INC?

The portfolio manager of the AFLAC INC is .

What is the total asset value of the AFLAC INC portfolio?

AFLAC INC total asset value (portfolio value) is 236.09M US dollars.

Who is ?

is the portfolio manager of the AFLAC INC.

What is (AFLAC INC) fund performance?

AFLAC's quarterly performance is -0.83%, annualy 0.00%.

What is the AFLAC INC CIK?

AFLAC's Central Index Key is 0000004977 .