HIKARI POWER LTD Holdings
HIKARI POWER LTD is an investment fund managing more than 893.79M US dollars. The largest holdings include BERKSHIRE HATHAWAY INC CLASS A, Johnson & Johnson and Danaher. In Q3 2022 the fund bought assets of total value of -13.4M US dollars and sold assets of total value of 961K US dollars.
HIKARI POWER LTD portfolio value:
HIKARI POWER LTD quarter portfolio value change:
HIKARI POWER LTD 1 year portfolio value change:
HIKARI POWER LTD 3 years portfolio value change:
HIKARI POWER LTD 5 years portfolio value change:
HIKARI POWER LTD portfolio changes
Period | Buy | Sel |
---|---|---|
Q1 2016 | 114931000 | 959000 |
Q2 2016 | 60387000 | 78300000 |
Q3 2016 | 12928000 | 46011000 |
Q4 2016 | 19848000 | 164424000 |
Q1 2017 | 11253000 | 41113000 |
Q2 2017 | 57586000 | 44620000 |
Q3 2017 | 29904000 | 13916000 |
Q4 2017 | 31822000 | 796000 |
Q1 2018 | 29872000 | 1975000 |
Q2 2018 | 88534000 | 43467000 |
Q3 2018 | 32335000 | 19441000 |
Q4 2018 | 48379000 | 60991000 |
Q1 2019 | 42742000 | 25682000 |
Q2 2019 | 27837000 | 71187000 |
Q3 2019 | 33646000 | 33938000 |
Q4 2019 | 17084000 | 35156000 |
Q1 2020 | -62304000 | 77867000 |
Q2 2020 | 25763000 | 25459000 |
Q3 2020 | 1164000 | 4565000 |
Q4 2020 | 52585000 | 298000 |
Q1 2021 | 15734000 | 13497000 |
Q2 2021 | 21463000 | 17523000 |
Q3 2021 | 5102000 | 10598000 |
Q4 2021 | 20034000 | 6129000 |
Q1 2022 | 35747000 | 18175000 |
Q2 2022 | -4584000 | 17081000 |
Q3 2022 | -13402000 | 961000 |
HIKARI POWER LTD 13F holdings
Stock |
---|
Portfolio share: 35.61% Portfolio value: 318.26M Avg. open price: N/A Current price: N/A P/L: N/A Bought +3.03% shares Q1 2020 |
Portfolio share: 6.20% Portfolio value: 55.45M Avg. open price: $120.84 Current price: $178.88 P/L: +48.04% Bought +0.97% shares Q4 2020 |
Portfolio share: 5.35% Portfolio value: 47.82M Avg. open price: $72.98 Current price: $274.23 P/L: +275.78% Sold -2.99% shares Q1 2022 |
Portfolio share: 4.74% Portfolio value: 42.34M Avg. open price: $176.31 Current price: $337.35 P/L: +91.34% Bought +0.26% shares Q3 2022 |
Portfolio share: 3.33% Portfolio value: 29.73M Avg. open price: $172.58 Current price: $126.99 P/L: -26.42% Bought +0.51% shares Q3 2022 |
Portfolio share: 3.05% Portfolio value: 27.30M Avg. open price: $196.89 Current price: $217.66 P/L: +10.55% Bought +0.25% shares Q3 2022 |
Portfolio share: 2.99% Portfolio value: 26.75M Avg. open price: $200.31 Current price: $443.87 P/L: +121.60% Bought +1.02% shares Q4 2021 |
Portfolio share: 2.92% Portfolio value: 26.13M Avg. open price: $59.76 Current price: $109.86 P/L: +83.83% Bought +0.38% shares Q1 2022 |
Portfolio share: 2.85% Portfolio value: 25.51M Avg. open price: $69.8 Current price: $120.32 P/L: +72.38% Bought +4.40% shares Q1 2020 |
Portfolio share: 2.29% Portfolio value: 20.42M Avg. open price: $42.85 Current price: $45.22 P/L: +5.54% Sold -14.25% shares Q2 2022 |
Portfolio share: 2.05% Portfolio value: 18.31M Avg. open price: $43.86 Current price: $79.44 P/L: +81.11% Sold -9.92% shares Q1 2022 |
Portfolio share: 2.01% Portfolio value: 17.98M Avg. open price: $42.6 Current price: $47.63 P/L: +11.81% Sold -0.54% shares Q3 2022 |
Portfolio share: 1.90% Portfolio value: 17.01M Avg. open price: N/A Current price: $57.72 P/L: N/A N/A Q1 2022 |
Portfolio share: 1.77% Portfolio value: 15.85M Avg. open price: $38.17 Current price: $45.64 P/L: +19.56% Bought +22.75% shares Q1 2021 |
Portfolio share: 1.72% Portfolio value: 15.36M Avg. open price: $76.9 Current price: $106.66 P/L: +38.70% Bought +3.49% shares Q4 2021 |
Portfolio share: 1.62% Portfolio value: 14.45M Avg. open price: $42.06 Current price: $45.94 P/L: +9.22% Sold -19.83% shares Q2 2022 |
Portfolio share: 1.51% Portfolio value: 13.46M Avg. open price: $1,234.56 Current price: $100.83 P/L: -91.83% Bought +5.42% shares Q2 2020 |
Portfolio share: 1.43% Portfolio value: 12.81M Avg. open price: N/A Current price: N/A P/L: N/A Bought +0.53% shares Q3 2022 |
Portfolio share: 1.41% Portfolio value: 12.61M Avg. open price: $233.36 Current price: $347.37 P/L: +48.85% Bought +0.43% shares Q3 2022 |
Portfolio share: 1.30% Portfolio value: 11.64M Avg. open price: $44.65 Current price: $126.9 P/L: +184.18% Sold -45.06% shares Q4 2019 |
Portfolio share: 1.05% Portfolio value: 9.35M Avg. open price: $29.1 Current price: $41.08 P/L: +41.17% Bought +0.48% shares Q2 2021 |
Portfolio share: 1.04% Portfolio value: 9.26M Avg. open price: N/A Current price: $272.25 P/L: N/A Sold -5.18% shares Q1 2022 |
Portfolio share: 0.91% Portfolio value: 8.16M Avg. open price: $144.83 Current price: $285.51 P/L: +97.13% Bought +0.92% shares Q2 2022 |
Portfolio share: 0.83% Portfolio value: 7.37M Avg. open price: N/A Current price: $63.43 P/L: N/A N/A Q1 2022 |
Portfolio share: 0.80% Portfolio value: 7.18M Avg. open price: $73.46 Current price: $163.66 P/L: +122.78% Bought +1.19% shares Q1 2022 |
Portfolio share: 0.71% Portfolio value: 6.38M Avg. open price: $90.69 Current price: $79.62 P/L: -12.20% Sold -9.29% shares Q1 2021 |
Portfolio share: 0.71% Portfolio value: 6.35M Avg. open price: $205.19 Current price: $327.2 P/L: +59.46% Sold -12.98% shares Q2 2020 |
Portfolio share: 0.71% Portfolio value: 6.30M Avg. open price: $238.87 Current price: $374 P/L: +56.57% Bought +8.78% shares Q3 2020 |
Portfolio share: 0.65% Portfolio value: 5.81M Avg. open price: $76.71 Current price: $103.38 P/L: +34.77% Sold -3.38% shares Q2 2021 |
Portfolio share: 0.64% Portfolio value: 5.69M Avg. open price: $101.49 Current price: $68.98 P/L: -32.03% Bought +17.26% shares Q2 2020 |
Portfolio share: 0.60% Portfolio value: 5.34M Avg. open price: $241.7 Current price: $252.38 P/L: +4.42% Sold -2.44% shares Q2 2022 |
Portfolio share: 0.47% Portfolio value: 4.19M Avg. open price: $53.3 Current price: $68.24 P/L: +28.03% Bought +1.91% shares Q2 2022 |
Portfolio share: 0.38% Portfolio value: 3.38M Avg. open price: $161.87 Current price: $191.6 P/L: +18.37% Bought +25.47% shares Q4 2021 |
Portfolio share: 0.33% Portfolio value: 2.96M Avg. open price: $115.33 Current price: $182.87 P/L: +58.56% Sold -26.87% shares Q1 2021 |
Portfolio share: 0.32% Portfolio value: 2.84M Avg. open price: N/A Current price: $360.06 P/L: N/A N/A |
Portfolio share: 0.32% Portfolio value: 2.83M Avg. open price: $332.81 Current price: $496.23 P/L: +49.10% Bought +3.09% shares Q1 2022 |
Portfolio share: 0.30% Portfolio value: 2.71M Avg. open price: $51.88 Current price: $64.35 P/L: +24.03% Bought +5.22% shares Q1 2020 |
Portfolio share: 0.30% Portfolio value: 2.70M Avg. open price: $129.26 Current price: $219.08 P/L: +69.48% Bought +82.02% shares Q2 2020 |
Portfolio share: 0.30% Portfolio value: 2.65M Avg. open price: $54.78 Current price: $81.13 P/L: +48.11% Bought +40.95% shares Q4 2021 |
Portfolio share: 0.24% Portfolio value: 2.14M Avg. open price: $37.76 Current price: $40.67 P/L: +7.70% N/A Q2 2020 |
Portfolio share: 0.23% Portfolio value: 2.04M Avg. open price: N/A Current price: N/A P/L: N/A Bought +37.87% shares Q2 2020 |
Portfolio share: 0.22% Portfolio value: 1.97M Avg. open price: $128.08 Current price: $144.39 P/L: +12.73% Bought +2.48% shares Q3 2022 |
Portfolio share: 0.22% Portfolio value: 1.95M Avg. open price: $74.89 Current price: $110.04 P/L: +46.94% Sold -5.81% shares Q3 2022 |
Portfolio share: 0.22% Portfolio value: 1.95M Avg. open price: $225.38 Current price: $255.96 P/L: +13.57% Bought +5.68% shares Q2 2022 |
Portfolio share: 0.14% Portfolio value: 1.28M Avg. open price: N/A Current price: $36.08 P/L: N/A Sold -5.14% shares Q1 2022 |
Portfolio share: 0.13% Portfolio value: 1.17M Avg. open price: $30.26 Current price: $19.58 P/L: -35.29% Bought +6.83% shares Q3 2022 |
Portfolio share: 0.13% Portfolio value: 1.15M Avg. open price: N/A Current price: $31.84 P/L: N/A N/A Q3 2017 |
Portfolio share: 0.13% Portfolio value: 1.14M Avg. open price: $62.76 Current price: $89.03 P/L: +41.87% Sold -13.95% shares Q2 2020 |
Portfolio share: 0.10% Portfolio value: 892K Avg. open price: $2,218.36 Current price: $100.44 P/L: -95.47% Bought +34.44% shares Q3 2022 |
Portfolio share: 0.10% Portfolio value: 883K Avg. open price: $3.22 Current price: $12.05 P/L: +273.88% Sold -14.05% shares Q3 2020 |
Portfolio share: 0.09% Portfolio value: 840K Avg. open price: $33.94 Current price: $42.31 P/L: +24.66% Bought +9.24% shares Q1 2020 |
Portfolio share: 0.09% Portfolio value: 795K Avg. open price: $68.94 Current price: $214.73 P/L: +211.47% N/A Q1 2020 |
Portfolio share: 0.08% Portfolio value: 688K Avg. open price: $278.74 Current price: $297.38 P/L: +6.69% Bought +26.22% shares Q4 2021 |
Portfolio share: 0.07% Portfolio value: 643K Avg. open price: N/A Current price: $76.91 P/L: N/A N/A Q4 2020 |
Portfolio share: 0.06% Portfolio value: 545K Avg. open price: N/A Current price: $107.68 P/L: N/A N/A Q4 2020 |
Portfolio share: 0.06% Portfolio value: 542K Avg. open price: $191.73 Current price: $241.84 P/L: +26.14% Bought +30.29% shares Q2 2022 |
Portfolio share: 0.06% Portfolio value: 536K Avg. open price: $124.13 Current price: $151.36 P/L: +21.94% Bought +15.94% shares Q2 2022 |
Portfolio share: 0.04% Portfolio value: 330K Avg. open price: N/A Current price: $174.9 P/L: N/A N/A Q1 2020 |
Portfolio share: 0.04% Portfolio value: 317K Avg. open price: $24.64 Current price: $28.51 P/L: +15.71% N/A Q2 2021 |
Portfolio share: 0.03% Portfolio value: 296K Avg. open price: N/A Current price: $38.18 P/L: N/A Sold -17.02% shares Q2 2022 |
Portfolio share: 0.03% Portfolio value: 231K Avg. open price: N/A Current price: $113 P/L: N/A N/A Q1 2022 |
Portfolio share: 0.02% Portfolio value: 213K Avg. open price: N/A Current price: $74.06 P/L: N/A N/A Q2 2022 |
Portfolio share: 0.01% Portfolio value: 107K Avg. open price: $5.34 Current price: $6.52 P/L: +22.19% Sold -49.98% shares Q3 2020 |
Portfolio share: 0.01% Portfolio value: 90K Avg. open price: $4.5 Current price: $6.5 P/L: +44.38% Bought +19.15% shares Q1 2022 |
Portfolio share: 0.01% Portfolio value: 82K Avg. open price: $2.87 Current price: $0.54 P/L: -81.22% Bought +45.66% shares Q1 2022 |
Portfolio share: 0.01% Portfolio value: 71K Avg. open price: $6.77 Current price: $3.13 P/L: -53.78% Bought +41.67% shares Q1 2022 |
Portfolio share: 0.00% Portfolio value: 41K Avg. open price: $7.14 Current price: $1.02 P/L: -85.72% Bought +150.31% shares Q1 2022 |
Showing TOP 67 HIKARI POWER LTD's 13F holdings.
Frequently Asked Questions (FAQ)
What is the biggest position of HIKARI POWER LTD?
The biggest position of the HIKARI POWER LTD is BERKSHIRE HATHAWAY INC CLASS A () with 35.61% portfolio share worth of 318.27M US dollars.
Top 5 HIKARI POWER LTD's holdings represent 55.23% of the portfolio:
- BERKSHIRE HATHAWAY INC CLASS A () – 35.61%
- Johnson & Johnson (JNJ) – 6.2%
- Danaher Corporation (DHR) – 5.35%
- Linde plc (LIN) – 4.74%
- 3M Company (MMM) – 3.33%
Who is the portfolio manager of HIKARI POWER LTD?
The portfolio manager of the HIKARI POWER LTD is .
What is the total asset value of the HIKARI POWER LTD portfolio?
HIKARI POWER LTD total asset value (portfolio value) is 893.79M US dollars.
Who is ?
is the portfolio manager of the HIKARI POWER LTD.
What is (HIKARI POWER LTD) fund performance?
HIKARI POWER LTD's quarterly performance is -38.60%, annualy -62.23%. In the past 3 years, the value of 's portfolio has decreased by -42%. In the past 5 years, the value of the portfolio has decreased by -39%.
What is the HIKARI POWER LTD CIK?
HIKARI POWER LTD's Central Index Key is 0001606152 .