First National Advisers 13F annual report

First National Advisers is an investment fund managing more than $547 billion ran by Albert Moore. There are currently 196 companies in Mr. Moore’s portfolio. The largest investments include Microsoft and Apple Inc, together worth $66.9 billion.

Limited to 30 biggest holdings

$547 billion Assets Under Management (AUM)

As of 6th August 2024, First National Advisers’s top holding is 77,581 shares of Microsoft currently worth over $34.7 billion and making up 6.3% of the portfolio value. Relative to the number of outstanding shares of Microsoft, First National Advisers owns more than approximately 0.1% of the company. In addition, the fund holds 152,926 shares of Apple Inc worth $32.2 billion, whose value grew 16.9% in the past six months. The third-largest holding is NVIDIA Corp worth $25.5 billion and the next is Amazon.com worth $16.8 billion, with 87,056 shares owned.

Currently, First National Advisers's portfolio is worth at least $547 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 First National Advisers

The First National Advisers office and employees reside in Omaha, Nebraska. According to the last 13-F report filed with the SEC, Albert Moore serves as the Chief Compliance Officer at First National Advisers.

Recent trades

In the most recent 13F filing, First National Advisers revealed that it had opened a new position in J P Morgan Exchange Traded F and bought 188,602 shares worth $10.7 billion.

The investment fund also strengthened its position in Microsoft by buying 9,057 additional shares. This makes their stake in Microsoft total 77,581 shares worth $34.7 billion. Microsoft dropped approximately 0.1% in the past year.

On the other hand, there are companies that First National Advisers is getting rid of from its portfolio. First National Advisers closed its position in Inmode Ltd on 13th August 2024. It sold the previously owned 32,510 shares for $827 million. Albert Moore also disclosed a decreased stake in Eli Lilly & Co by approximately 0.1%. This leaves the value of the investment at $9.95 billion and 10,991 shares.

One of the average hedge funds

The two most similar investment funds to First National Advisers are Quadratic Capital Management and Arkansas Financial Group, Inc. They manage $546 billion and $547 billion respectively.


Albert Moore investment strategy

First National Advisers’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 23.9% of the total portfolio value. The fund focuses on investments in the United States as 62.2% 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 45% of the total holdings value. On the other hand, small-cap stocks make up only 2.6% of the portfolio. The average market cap of the portfolio companies is close to $119 billion.

The complete list of First National Advisers trades based on 13F SEC filings

These positions were updated on August 13th 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
Microsoft Corporation
13.22%
77,581
$34,674,701,000 6.34%
Apple Inc
12.53%
152,926
$32,209,186,000 5.89%
NVIDIA Corp
970.76%
206,121
$25,464,586,000 4.66%
Amazon.com Inc.
17.78%
87,056
$16,823,774,000 3.08%
Alphabet Inc
17.05%
113,617
$20,805,617,000 3.81%
JPMorgan Chase & Co.
15.54%
62,077
$12,555,490,000 2.30%
J P Morgan Exchange Traded F
Opened
188,602
$10,690,000,000 1.96%
Eli Lilly & Co
8.40%
10,991
$9,951,795,000 1.82%
Berkshire Hathaway Inc.
66.57%
10,058
$13,880,942,000 2.54%
Meta Platforms Inc
17.17%
18,941
$9,550,819,000 1.75%
Abbott Labs
16.33%
65,636
$6,820,229,000 1.25%
Qualcomm, Inc.
24.97%
33,713
$6,715,342,000 1.23%
Costco Whsl Corp New
1.94%
7,630
$6,485,390,000 1.19%
Microchip Technology, Inc.
16.59%
68,200
$6,239,983,000 1.14%
Exxon Mobil Corp.
29.82%
50,212
$5,780,536,000 1.06%
Mastercard Incorporated
10.57%
12,909
$5,694,955,000 1.04%
RTX Corp
13.14%
56,305
$5,652,003,000 1.03%
NextEra Energy Inc
10.41%
76,606
$5,424,601,000 0.99%
AMGEN Inc.
53.38%
16,993
$5,309,419,000 0.97%
Walmart Inc
36.82%
77,764
$5,264,933,000 0.96%
Pepsico Inc
4.56%
30,584
$5,044,592,000 0.92%
Adobe Inc
25.79%
8,871
$4,927,790,000 0.90%
Home Depot, Inc.
25.80%
14,240
$4,902,487,000 0.90%
Thermo Fisher Scientific Inc.
18.55%
8,379
$4,633,853,000 0.85%
Eog Res Inc
26.64%
36,259
$4,564,242,000 0.84%
Cintas Corporation
5.16%
6,466
$4,528,418,000 0.83%
Mastec Inc.
65.30%
42,309
$4,526,341,000 0.83%
CSX Corp.
44.72%
133,376
$4,461,753,000 0.82%
Zoetis Inc
52.21%
24,232
$4,200,839,000 0.77%
Ametek Inc
16.86%
25,196
$4,200,784,000 0.77%
Booking Holdings Inc
4.61%
1,055
$4,179,468,000 0.76%
Amphenol Corp.
265.07%
61,215
$4,123,729,000 0.75%
Waste Mgmt Inc Del
0.38%
18,933
$4,038,879,000 0.74%
Verizon Communications Inc
13.76%
96,880
$3,995,819,000 0.73%
Chevron Corp.
10.24%
25,463
$3,983,305,000 0.73%
Comcast Corp New
18.77%
101,090
$3,958,784,000 0.72%
Linde Plc.
14.21%
8,938
$3,922,856,000 0.72%
Lamb Weston Holdings Inc
25.27%
46,376
$3,899,538,000 0.71%
Wells Fargo Co New
32.55%
65,557
$3,893,344,000 0.71%
Fiserv, Inc.
0.95%
25,279
$3,767,755,000 0.69%
Dimensional Etf Trust
Opened
124,195
$3,685,352,000 0.67%
Edwards Lifesciences Corp
32.38%
39,417
$3,641,172,000 0.67%
Blackrock Inc.
6.55%
4,622
$3,639,059,000 0.67%
Napco Sec Technologies Inc
101.42%
69,271
$3,599,055,000 0.66%
Chubb Limited
2.44%
13,899
$3,544,999,000 0.65%
Tjx Cos Inc New
2.85%
31,141
$3,428,825,000 0.63%
CDW Corp
27.16%
15,169
$3,395,982,000 0.62%
Oreilly Automotive Inc
14.46%
3,165
$3,342,235,000 0.61%
CME Group Inc
15.68%
16,524
$3,248,576,000 0.59%
Vanguard Index Fds
18.81%
22,836
$7,139,606,000 1.31%
Morgan Stanley
97.61%
32,715
$3,179,953,000 0.58%
Entegris Inc
35.06%
23,026
$3,118,049,000 0.57%
Brown & Brown, Inc.
13.79%
34,290
$3,066,101,000 0.56%
Merck & Co Inc
25.28%
24,737
$3,062,491,000 0.56%
Eaton Corp Plc
5.01%
9,700
$3,041,651,000 0.56%
Church & Dwight Co., Inc.
7.72%
28,236
$2,927,273,000 0.54%
Broadridge Finl Solutions In
6.38%
14,804
$2,915,895,000 0.53%
Timken Co.
66.45%
34,517
$2,765,382,000 0.51%
Moodys Corp
13.96%
6,367
$2,680,108,000 0.49%
Jazz Pharmaceuticals plc
30.85%
24,871
$2,654,659,000 0.49%
Accenture Plc Ireland
1.93%
8,678
$2,632,801,000 0.48%
Johnson & Johnson
6.79%
17,953
$2,623,717,000 0.48%
Texas Instrs Inc
3.91%
13,219
$2,571,031,000 0.47%
Royal Caribbean Group
8.00%
15,586
$2,484,706,000 0.45%
Phillips 66
0.01%
17,065
$2,408,991,000 0.44%
Equitable Holdings, Inc.
32.99%
58,948
$2,408,737,000 0.44%
Unitedhealth Group Inc
9.00%
4,700
$2,393,559,000 0.44%
Vanguard Tax-managed Fds
3.35%
47,695
$2,357,087,000 0.43%
Cullen Frost Bankers Inc.
33.85%
23,055
$2,343,545,000 0.43%
Gentex Corp.
16.24%
68,747
$2,317,525,000 0.42%
Constellation Brands Inc
3.63%
8,969
$2,307,407,000 0.42%
Markel Group Inc
11.37%
1,457
$2,295,737,000 0.42%
Manhattan Associates, Inc.
Opened
9,201
$2,270,146,000 0.42%
Us Bancorp Del
7.36%
56,596
$2,246,861,000 0.41%
Diamondback Energy Inc
45.44%
11,170
$2,236,495,000 0.41%
First Amern Finl Corp
30.60%
40,608
$2,191,163,000 0.40%
Procter And Gamble Co
10.77%
13,211
$2,179,159,000 0.40%
Conocophillips
6.87%
18,807
$2,151,501,000 0.39%
PTC Inc
0.44%
11,740
$2,132,806,000 0.39%
Nike, Inc.
29.89%
28,283
$2,132,073,000 0.39%
Pool Corporation
32.13%
6,728
$2,067,413,000 0.38%
Lantheus Holdings Inc
3.42%
25,525
$2,048,949,000 0.37%
Amn Healthcare Svcs Inc
72.27%
39,728
$2,035,297,000 0.37%
Medtronic Plc
1.50%
25,820
$2,032,524,000 0.37%
Lowes Cos Inc
10.04%
8,859
$1,953,176,000 0.36%
Upbound Group Inc
32.76%
63,011
$1,933,995,000 0.35%
Robert Half Inc
34.25%
30,117
$1,927,274,000 0.35%
Purecycle Technologies Inc
57.62%
311,406
$1,843,274,000 0.34%
Schwab Charles Corp
18.88%
24,474
$1,803,489,000 0.33%
American Tower Corp.
25.99%
9,277
$1,803,263,000 0.33%
Quanta Svcs Inc
14.77%
7,075
$1,797,687,000 0.33%
Ecolab, Inc.
5.86%
7,452
$1,773,308,000 0.32%
Atmos Energy Corp.
13.05%
14,797
$1,726,135,000 0.32%
Revvity Inc.
5.56%
16,223
$1,701,144,000 0.31%
First Indl Rlty Tr Inc
26.50%
35,597
$1,691,213,000 0.31%
Travelers Companies Inc.
15.44%
8,185
$1,663,960,000 0.30%
Air Prods & Chems Inc
15.34%
6,420
$1,657,082,000 0.30%
American Wtr Wks Co Inc New
13.41%
12,793
$1,652,102,000 0.30%
Littelfuse, Inc.
9.59%
6,413
$1,639,099,000 0.30%
United Parcel Service, Inc.
8.85%
11,862
$1,623,657,000 0.30%
Xcel Energy Inc.
4.57%
29,908
$1,596,933,000 0.29%
Berry Global Group Inc
16.02%
26,025
$1,531,616,000 0.28%
Dollar Gen Corp New
31.89%
11,361
$1,502,003,000 0.27%
Mks Instrs Inc
6.98%
11,487
$1,499,972,000 0.27%
Mondelez International Inc.
47.94%
22,278
$1,457,376,000 0.27%
Target Corp
2.91%
9,740
$1,441,910,000 0.26%
Synchrony Financial
Opened
30,122
$1,421,742,000 0.26%
Jones Lang Lasalle Inc.
4.86%
6,877
$1,411,711,000 0.26%
Union Pac Corp
3.01%
6,226
$1,408,695,000 0.26%
RPM International, Inc.
2.60%
12,640
$1,361,075,000 0.25%
Intercontinental Exchange In
15.51%
9,886
$1,353,295,000 0.25%
Humana Inc.
19.55%
3,609
$1,348,110,000 0.25%
Sun Cmntys Inc
25.05%
10,946
$1,317,242,000 0.24%
Roper Technologies Inc
14.65%
2,330
$1,313,328,000 0.24%
Visa Inc
13.74%
4,883
$1,281,641,000 0.23%
United Therapeutics Corp
Opened
4,008
$1,276,581,000 0.23%
Disney Walt Co
5.23%
12,454
$1,236,558,000 0.23%
Starbucks Corp.
38.86%
14,990
$1,166,507,000 0.21%
Tractor Supply Co.
5.53%
4,233
$1,142,910,000 0.21%
State Str Corp
0.62%
14,753
$1,092,186,000 0.20%
Ishares Tr
37.57%
67,157
$2,655,187,000 0.49%
Cisco Sys Inc
16.83%
21,841
$1,037,666,000 0.19%
Paycom Software Inc
18.55%
7,131
$1,019,920,000 0.19%
Lockheed Martin Corp.
6.23%
2,018
$942,608,000 0.17%
Conagra Brands Inc
No change
32,738
$930,414,000 0.17%
Duke Energy Corp.
6.35%
8,421
$844,037,000 0.15%
Inmode Ltd
Closed
32,510
$826,789,000
Paychex Inc.
23.73%
6,789
$804,904,000 0.15%
FMC Corp.
15.42%
13,808
$795,155,000 0.15%
Electronic Arts, Inc.
7.06%
5,158
$718,664,000 0.13%
Burlington Stores Inc
18.53%
2,975
$714,000,000 0.13%
Franklin Elec Inc
4.58%
7,330
$706,026,000 0.13%
AT&T Inc.
1.75%
36,620
$699,808,000 0.13%
Idacorp, Inc.
15.52%
7,167
$667,606,000 0.12%
Advanced Micro Devices Inc.
23.62%
3,753
$608,774,000 0.11%
Stifel Finl Corp
9.77%
7,125
$599,569,000 0.11%
Ollies Bargain Outlet Hldgs
9.97%
5,977
$586,762,000 0.11%
Vanguard World Fd
140.06%
5,279
$817,501,000 0.15%
Tetra Tech, Inc.
10.01%
2,781
$568,659,000 0.10%
Caci International Inc.
10.08%
1,278
$549,706,000 0.10%
Keysight Technologies Inc
3.62%
4,012
$548,641,000 0.10%
Carlisle Cos Inc
1.95%
1,254
$508,133,000 0.09%
ICF International, Inc
10.05%
3,418
$507,436,000 0.09%
Realty Income Corp.
17.57%
9,256
$488,902,000 0.09%
Caseys Gen Stores Inc
6.94%
1,279
$488,015,000 0.09%
Dorman Prods Inc
0.66%
5,173
$473,226,000 0.09%
Coca-Cola Co
61.25%
7,287
$463,818,000 0.08%
Power Integrations Inc.
21.51%
6,327
$444,092,000 0.08%
Lamar Advertising Co
10.05%
3,656
$437,002,000 0.08%
Pnc Finl Svcs Group Inc
68.28%
2,785
$433,012,000 0.08%
Perficient Inc.
80.46%
5,662
$423,461,000 0.08%
Enersys
15.06%
3,943
$408,179,000 0.07%
Selective Ins Group Inc
9.96%
4,294
$402,906,000 0.07%
Marathon Oil Corporation
13.75%
14,000
$401,380,000 0.07%
Molina Healthcare Inc
9.73%
1,320
$392,436,000 0.07%
SouthState Corporation
9.97%
5,039
$385,080,000 0.07%
Agree Rlty Corp
14.18%
6,208
$384,524,000 0.07%
Blackbaud Inc
13.86%
5,019
$382,297,000 0.07%
Cnx Res Corp
6.15%
15,650
$380,295,000 0.07%
Moelis & Co
9.98%
6,489
$368,965,000 0.07%
Integer Hldgs Corp
44.07%
3,184
$368,675,000 0.07%
Onto Innovation Inc.
14.67%
1,670
$366,665,000 0.07%
ExlService Holdings Inc
13.58%
11,645
$365,187,000 0.07%
Enovis Corporation
38.52%
8,048
$363,770,000 0.07%
Leidos Holdings Inc
2.22%
2,427
$354,051,000 0.06%
Spdr S&p 500 Etf Tr
Opened
647
$352,110,000 0.06%
SM Energy Co
9.96%
8,078
$349,212,000 0.06%
Mcdonalds Corp
No change
1,309
$333,586,000 0.06%
Vanguard Whitehall Fds
8.79%
2,786
$330,420,000 0.06%
Alliant Energy Corp.
11.41%
6,486
$330,137,000 0.06%
Broadcom Inc
Opened
205
$329,134,000 0.06%
Enpro Inc
28.47%
2,252
$327,824,000 0.06%
Balchem Corp.
10.01%
2,100
$323,295,000 0.06%
Ambarella Inc
41.64%
5,898
$318,197,000 0.06%
Icon Plc
6.30%
1,012
$317,232,000 0.06%
Ishares Tr
Opened
10,596
$762,907,000 0.14%
Applied Matls Inc
9.17%
1,310
$309,147,000 0.06%
Automatic Data Processing In
1.23%
1,283
$306,239,000 0.06%
Hershey Company
45.00%
1,650
$303,319,000 0.06%
Abbvie Inc
Closed
1,611
$293,363,000
Becton Dickinson & Co.
24.30%
1,243
$290,502,000 0.05%
Wyndham Hotels & Resorts Inc
27.58%
3,895
$288,230,000 0.05%
Lancaster Colony Corp.
44.20%
1,491
$281,754,000 0.05%
Qualys Inc
31.77%
1,966
$280,352,000 0.05%
Oshkosh Corp
8.29%
2,534
$274,179,000 0.05%
Nexstar Media Group Inc
3.49%
1,630
$270,596,000 0.05%
International Business Machs
3.27%
1,549
$267,900,000 0.05%
Oneok Inc.
No change
3,271
$266,750,000 0.05%
Dimensional Etf Trust
No change
8,158
$263,014,000 0.05%
LGI Homes Inc
44.83%
2,872
$257,015,000 0.05%
Umb Finl Corp
9.96%
3,048
$254,264,000 0.05%
Atlantic Un Bankshares Corp
9.96%
7,652
$251,368,000 0.05%
Diodes, Inc.
9.95%
3,469
$249,525,000 0.05%
Fortune Brands Innovations I
2.33%
3,770
$244,824,000 0.04%
Global Pmts Inc
Closed
1,794
$239,786,000
Northern Tr Corp
24.16%
2,854
$239,679,000 0.04%
Bristol-Myers Squibb Co.
70.19%
5,607
$232,859,000 0.04%
Cigna Group (The)
No change
692
$228,754,000 0.04%
Marathon Pete Corp
No change
1,250
$216,850,000 0.04%
Deere & Co.
Closed
506
$207,834,000
Evergy Inc
Closed
3,761
$200,762,000
No transactions found
Showing first 500 out of 201 holdings