Oak Family Advisors 13F annual report

Oak Family Advisors is an investment fund managing more than $263 billion ran by Terrence Wilson. There are currently 122 companies in Mr. Wilson’s portfolio. The largest investments include Taiwan Semiconductor Mfg Ltd Sponsored Ads and Qualcomm, together worth $27.6 billion.

$263 billion Assets Under Management (AUM)

As of 16th July 2024, Oak Family Advisors’s top holding is 85,792 shares of Taiwan Semiconductor Mfg Ltd Sponsored Ads currently worth over $14.9 billion and making up 5.7% of the portfolio value. In addition, the fund holds 63,559 shares of Qualcomm worth $12.7 billion, whose value grew 21.3% in the past six months. The third-largest holding is Astrazeneca Plc Sponsored Adr worth $11.1 billion and the next is Alphabet Inc Cap Stk Cl A worth $8.82 billion, with 48,399 shares owned.

Currently, Oak Family Advisors's portfolio is worth at least $263 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Oak Family Advisors

The Oak Family Advisors office and employees reside in Chicago, Illinois. According to the last 13-F report filed with the SEC, Terrence Wilson serves as the CEO at Oak Family Advisors.

Recent trades

In the most recent 13F filing, Oak Family Advisors revealed that it had opened a new position in Health Care Select Sector Spdr Fund and bought 24,368 shares worth $3.55 billion.

The investment fund also strengthened its position in Astrazeneca Plc Sponsored Adr by buying 2,744 additional shares. This makes their stake in Astrazeneca Plc Sponsored Adr total 141,870 shares worth $11.1 billion.

On the other hand, there are companies that Oak Family Advisors is getting rid of from its portfolio. Oak Family Advisors closed its position in Schwab Emerging Markets Equity Etf on 23rd July 2024. It sold the previously owned 123,083 shares for $3.11 billion. Terrence Wilson also disclosed a decreased stake in Taiwan Semiconductor Mfg Ltd Sponsored Ads by 0.1%. This leaves the value of the investment at $14.9 billion and 85,792 shares.

One of the smaller hedge funds

The two most similar investment funds to Oak Family Advisors are White Pine Capital and Wealthstream Advisors. They manage $263 billion and $263 billion respectively.


Terrence Wilson investment strategy

Oak Family Advisors’s portfolio is diversified across 10 sectors. Currently, their heaviest sector is Technology — making up 8.4% of the total portfolio value. The fund focuses on investments in the United States as 23.8% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 16% of the total holdings value. On the other hand, small-cap stocks make up only 4.1% of the portfolio. The average market cap of the portfolio companies is close to $162 billion.

The complete list of Oak Family Advisors trades based on 13F SEC filings

These positions were updated on July 23rd based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Taiwan Semiconductor Mfg Ltd Sponsored Ads
11.34%
85,792
$14,911,508,000 5.67%
Qualcomm, Inc.
10.40%
63,559
$12,659,698,000 4.81%
Astrazeneca Plc Sponsored Adr
1.97%
141,870
$11,064,441,000 4.21%
Alphabet Inc Cap Stk Cl A
0.30%
48,399
$8,815,878,000 3.35%
Rtx Corporation Com
1.83%
77,299
$7,760,047,000 2.95%
Walmart Inc
1.09%
114,045
$7,721,987,000 2.94%
Gentex Corp Com
0.45%
224,578
$7,570,538,000 2.88%
Verra Mobility Corp Cl A Com Stk
22.15%
271,018
$7,371,690,000 2.80%
Generac Hldgs Inc Com
3.05%
55,458
$7,332,657,000 2.79%
Zimmer Biomet Holdings Inc
2.82%
66,296
$7,195,105,000 2.74%
Microsoft Corp Com
8.46%
14,102
$6,302,889,000 2.40%
BWX Technologies Inc
35.10%
65,777
$6,248,815,000 2.38%
Ishares Msci Intl Quality Factor Etf
15.34%
140,806
$5,498,474,000 2.09%
Enterprise Prods Partners L P Com
3.88%
189,037
$5,478,297,000 2.08%
Schlumberger Ltd Com Stk
61.28%
113,922
$5,374,840,000 2.04%
Ishares Msci India Etf
23.32%
96,201
$5,366,092,000 2.04%
Eog Res Inc Com
17.08%
41,084
$5,171,243,000 1.97%
Ishares Msci Japan Etf
3.40%
75,092
$5,124,278,000 1.95%
DocuSign Inc
51.52%
95,495
$5,108,983,000 1.94%
Atlanta Braves Hldgs Inc Com Ser C
4.45%
116,371
$4,589,672,000 1.75%
Berkshire Hathaway Inc Del Cl B New
0.68%
11,102
$4,516,294,000 1.72%
Ishares Ibonds Dec 2030 Term Corporate Etf
0.64%
209,082
$4,445,083,000 1.69%
Amazon.com Inc.
10.45%
22,489
$4,345,999,000 1.65%
Apple Inc
2.43%
18,870
$3,974,399,000 1.51%
Esab Corporation Com
6.50%
41,478
$3,916,768,000 1.49%
Mastercard Incorporated
0.08%
8,822
$3,891,914,000 1.48%
Jpmorgan Chase & Co. Com
0.29%
18,390
$3,719,561,000 1.41%
Health Care Select Sector Spdr Fund
Opened
24,368
$3,551,636,000 1.35%
Nice Ltd Sponsored Adr
124.71%
20,363
$3,501,825,000 1.33%
Alico Inc.
0.95%
131,250
$3,400,688,000 1.29%
Molson Coors Beverage Company
40.70%
63,961
$3,251,138,000 1.24%
Schwab Emerging Markets Equity Etf
Closed
123,083
$3,107,846,000
Alphabet Inc Cap Stk Cl C
4.22%
16,852
$3,090,994,000 1.18%
Vaneck Gold Miners Etf
Opened
76,701
$2,602,465,000 0.99%
iShares Short Treasury Bond ETF
13.96%
20,368
$2,250,664,000 0.86%
Abbvie Inc
2.43%
13,105
$2,247,811,000 0.85%
Consumer Discretionary Select Sector Spdr Fund
1.58%
12,142
$2,214,701,000 0.84%
Ishares U.s. Medical Devices Etf
Closed
37,331
$2,187,223,000
Aes Corp Com
Opened
123,670
$2,172,882,000 0.83%
Chevron Corp New Com
0.66%
13,159
$2,058,331,000 0.78%
Magnolia Oil & Gas Corp
1.55%
78,307
$1,984,299,000 0.75%
iShares MSCI ACWI ex U.S. ETF
0.03%
35,361
$1,878,747,000 0.71%
New Mtn Fin Corp Com
0.68%
150,384
$1,840,700,000 0.70%
Ishares Msci Mexico Etf
56.76%
30,351
$1,718,170,000 0.65%
Belden Inc
34.31%
17,490
$1,640,562,000 0.62%
Reaves Util Income Fd Com Sh Ben Int
28.83%
58,783
$1,605,952,000 0.61%
Newmont Corp Com
28.28%
37,805
$1,582,895,000 0.60%
Neogenomics Inc Com New
1.35%
109,095
$1,513,148,000 0.58%
Schwab International Equity Etf
4.66%
38,963
$1,496,962,000 0.57%
Adtalem Global Ed Inc Com
4.29%
21,921
$1,495,231,000 0.57%
Ishares Gold Trust
28.26%
32,732
$1,437,917,000 0.55%
Communication Services Select Sector Spdr Fund
1.35%
15,409
$1,319,935,000 0.50%
Vanguard Ftse Emerging Markets Etf
20.94%
26,811
$1,173,249,000 0.45%
Resmed Inc.
0.56%
5,895
$1,128,421,000 0.43%
Commercial Metals Co Com
0.37%
20,388
$1,121,136,000 0.43%
Owens Corning New Com
20.06%
6,423
$1,115,804,000 0.42%
Full Hse Resorts Inc Com
No change
205,239
$1,026,195,000 0.39%
Columbus Mckinnon Corp N Y Com
5.10%
28,223
$974,822,000 0.37%
Ishares 20 Year Treasury Bond Etf
0.07%
10,506
$964,241,000 0.37%
Scholastic Corp Com
3.30%
26,709
$947,368,000 0.36%
Wabtec Com
1.02%
5,937
$938,343,000 0.36%
Amphenol Corp.
94.27%
13,298
$895,886,000 0.34%
Abbott Labs Com
4.16%
8,587
$892,246,000 0.34%
Alerian Mlp Etf
0.38%
18,585
$891,708,000 0.34%
Corebridge Finl Inc Com
No change
30,250
$880,880,000 0.33%
Mattel, Inc.
7.17%
53,572
$871,074,000 0.33%
Lkq Corp Com
52.37%
20,728
$862,078,000 0.33%
Pentair Plc Shs
0.44%
10,964
$840,610,000 0.32%
Bank Of America Corp.
Opened
20,571
$818,109,000 0.31%
Federal Signal Corp Com
0.09%
9,755
$816,201,000 0.31%
Meta Platforms Inc
5.71%
1,584
$798,684,000 0.30%
Popular Inc Com New
58.10%
8,797
$777,919,000 0.30%
Motorola Solutions Inc Com New
1.80%
1,918
$740,444,000 0.28%
Bioceres Crop Solutions Corp Shs
1.90%
64,925
$727,809,000 0.28%
Conmed Corp Com
32.05%
10,499
$727,791,000 0.28%
Ulta Beauty Inc
Opened
1,871
$721,963,000 0.27%
Agilent Technologies Inc.
2.23%
4,949
$641,553,000 0.24%
Republic Svcs Inc Com
1.07%
3,213
$624,414,000 0.24%
Universal Technical Inst Inc Com
27.26%
39,338
$618,787,000 0.24%
Berkshire Hathaway Inc.
No change
1
$612,241,000 0.23%
Vaneck Oil Services Etf
6.80%
1,920
$607,066,000 0.23%
Broadcom Inc
Opened
359
$576,276,000 0.22%
Interdigital Inc
Opened
4,902
$571,377,000 0.22%
Atlanta Braves Hldgs Inc Com Ser A
No change
13,655
$564,361,000 0.21%
Nvidia Corporation Com
817.36%
4,440
$548,518,000 0.21%
New York Times Co.
2.21%
10,685
$547,179,000 0.21%
Lockheed Martin Corp Com
1.23%
1,125
$525,553,000 0.20%
Vanguard Short-term Treasury Etf
61.42%
8,970
$520,170,000 0.20%
Quest Diagnostics, Inc.
5.85%
3,654
$500,160,000 0.19%
Unifirst Corp Mass Com
3.30%
2,915
$499,981,000 0.19%
Stryker Corporation Com
4.93%
1,446
$492,002,000 0.19%
Defiance Next Gen Connectivity Etf
5.70%
11,674
$487,973,000 0.19%
Liberty Media Corp Del Com Lbty One S A
0.30%
6,684
$429,313,000 0.16%
Liberty Media Corp Del Com Lbty Srm S C
Closed
14,438
$428,953,000
Ishares Msci Eafe Etf
5.53%
5,125
$401,406,000 0.15%
Franklin Ftse India Etf
Opened
9,786
$390,070,000 0.15%
Vanguard Total International Stock Etf
55.21%
6,325
$381,398,000 0.15%
Ishares Latin America 40 Etf
Closed
12,397
$352,571,000
Comcast Corp New Cl A
10.16%
8,840
$346,174,000 0.13%
Donaldson Co. Inc.
4.33%
4,742
$339,338,000 0.13%
Cameco Corp Com
Closed
7,565
$327,716,000
Vanguard Total World Stock Etf
53.57%
2,907
$327,468,000 0.12%
iShares MSCI ACWI ETF
Opened
2,828
$317,867,000 0.12%
Tractor Supply Co Com
1.65%
1,135
$306,450,000 0.12%
Nve Corp Com New
Closed
3,386
$305,349,000
Cintas Corp Com
No change
430
$301,112,000 0.11%
Paycom Software Inc
Closed
1,491
$296,724,000
Spdr S&p 500 Etf Trust
No change
522
$284,334,000 0.11%
Cisco Sys Inc Com
49.40%
5,859
$278,361,000 0.11%
Ishares Russell 1000 Value Etf
No change
1,511
$263,624,000 0.10%
Southern Co Com
Closed
3,638
$260,990,000
Sprott Physical Gold Tr Unit
Opened
13,642
$246,375,000 0.09%
Beam Global Com
11.00%
52,288
$241,048,000 0.09%
Mplx Lp Com Unit Rep Ltd
0.13%
5,395
$229,786,000 0.09%
Alpha Architect 1-3 Month Box Etf
Opened
2,092
$225,549,000 0.09%
L3Harris Technologies Inc
No change
1,000
$224,580,000 0.09%
Vanguard Total Stock Market Etf
No change
821
$219,626,000 0.08%
Casella Waste Sys Inc Cl A
58.49%
2,200
$218,284,000 0.08%
Lindblad Expeditions Hldgs Inc Com
Closed
22,746
$212,220,000
Mcdonalds Corp Com
Closed
751
$211,696,000
Ishares Msci Eafe Value Etf
No change
3,966
$210,356,000 0.08%
Inotiv Inc Com
26.05%
108,289
$179,760,000 0.07%
B2gold Corp Com
208.07%
53,950
$145,665,000 0.06%
Blackrock Cr Allocation Income Com
No change
11,929
$127,760,000 0.05%
Coeur Mng Inc Com New
Opened
17,290
$97,170,000 0.04%
Sandstorm Gold Ltd Com New
Opened
16,108
$87,628,000 0.03%
PowerFleet Inc
No change
18,726
$85,578,000 0.03%
Hecla Mng Co Com
Opened
11,396
$55,271,000 0.02%
Endeavour Silver Corp Com
Opened
15,623
$54,993,000 0.02%
S&w Seed Co Com
No change
97,608
$35,139,000 0.01%
Icad Inc Com New
No change
17,276
$22,459,000 0.01%
Eyenovia Inc
No change
11,264
$6,692,000 0.00%
No transactions found
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