花旗集团四季度持仓曝光:英伟达为第一大重仓股 大幅减持美国银行
美股IPO·2026-02-15 00:08

Core Insights - Citigroup's investment portfolio remains primarily focused on U.S. stocks and ETFs, with significant positions in NVIDIA, SPDR S&P 500 ETF, and Microsoft [3][4]. Holdings Summary - The top five holdings in Citigroup's portfolio as of Q4 2025 are: - NVIDIA (NVDA): 3.04% - SPDR S&P 500 ETF (SPY): 2.56% - Microsoft (MSFT): 2.53% - iShares Russell 2000 Put Options (IWM): 2.05% - Tesla Put Options (TSLA): 2.02% [3][4]. New Positions - Citigroup established new positions in several debt and convertible securities, including Evercore (EVRG), Snowflake (SNOW), Nutanix (NTNX), Align Technology (ALGN), Mara Holdings (MARA), and IonQ (IONQ), with individual positions generally ranging from 5 million to 13 million shares [5]. - Notably, Citigroup also initiated a position in TotalEnergies (TTE) with approximately 6.86 million shares valued at about $448 million, representing 0.20% of the portfolio [5]. Liquidations - Citigroup completely liquidated positions in several small-cap and illiquid stocks, primarily in healthcare, consumer discretionary, finance, and industrial sectors, including MHUAF, REVB, KEQU, BYFC, CSWC, RDI, and RAIN, reducing these holdings to zero [6][7]. Increased Holdings - Citigroup significantly increased its holdings in certain ETFs and debt instruments, with the Consumer Staples ETF (XLP) seeing the largest increase, growing from 0.18% to 0.78% of the portfolio [8]. - Additional notable increases were observed in debt securities related to Akamai (AKAM), JD.com (JD), CMS Energy (CMS), JetBlue Airways (JBLU), Global Payments (GPN), Southwest Airlines (LUV), and Lantheus (LNTH), with increases generally between 7 million and 12 million shares [8][9]. Decreased Holdings - Citigroup made substantial reductions in several financial stocks, including a 54.86% decrease in Bank of America (BAC), reducing its holdings from 1.23% to 0.59% of the portfolio [10][11]. - The firm also reduced positions in various options, including a 42.31% decrease in iShares iBoxx High Yield Bond ETF Put Options (HYG) and a significant reduction in industrial sector ETF Put Options (XLI) by over 90% [10][11].

花旗集团四季度持仓曝光:英伟达为第一大重仓股 大幅减持美国银行 - Reportify