13F / manager view

How similar are
these two books?

PMCIOQuantLPGP
Compare complete normalized common-stock issuer overlap across Q1 and Q2, then inspect opposing actions in the bounded Q2 evidence window.
  • Q1 → Q2 2026
  • 16 managers
  • Common stock only
Pair selector

Choose two different managers. Each pair has a permanent URL. Cohort badges stay visible so unlike books are not read as equivalent conviction.

FundamentalSoros Fund Management
SEC ↗Up to 100 Q2 common issuers plus 21 featured issuers. This is not the entire book.
FundamentalViking Global Investors
SEC ↗Up to 100 Q2 common issuers plus 4 featured issuers. This is not the entire book.
Soros Fund Management121issuers in coverage
Viking Global Investors94issuers in coverage
01 / portfolio similarityfull normalized common books · Q1 and Q2
Fundamental · same-cohort comparison
Q2 shared issuers
24
of 314 in the union
Q2 issuer overlap
7.6%
Jaccard · shared / union
Q2 weighted overlap
11.8%
sum of smaller normalized weights
Q1 → Q2 weighted change
-0.0 pp
Q1 11.8%
Q1 → Q2 issuer change
-0.5 pp
Q1 8.1%

Similarity describes disclosed common-stock issuer overlap. It does not measure live exposure, intent, conviction or fund returns.

Largest shared Q2 issuer weights
Shared issuerSoros Fund Management weightViking Global Investors weightOverlap contribution
TAIWAN SEMICONDUCTOR MANUFACCUSIP prefix 8740393.3%4.3%3.3%
AMAZON COM INCCUSIP prefix 0231353.7%2.5%2.5%
DIGITAL RLTY TR INCCUSIP prefix 2538681.3%1.2%1.2%
MICROSOFT CORPCUSIP prefix 5949180.9%1.6%0.9%
MEDLINE INCCUSIP prefix 58507V0.8%0.5%0.5%
02 / bounded action windowcurrent common issuers within coverage
Shared current issuers within coverage
15
Left-only current issuers within coverage
104
Right-only current issuers within coverage
75
Opposing actions
7
03 / opposing actionssame issuer · opposite direction
Issuer values by manager
IssuerSoros Fund ManagementViking Global Investors
AMAZON COM INCCUSIP prefix 023135decreased1,182,529 shares · $281,843,962increased3,700,862 shares · $882,063,449
META PLATFORMS INCCUSIP prefix 30303Mdecreased21,776 shares · $12,266,203increased1,867,619 shares · $1,052,011,107
ALPHABET INCCUSIP prefix 02079Kincreased1,796,286 shares · $273,265,811closed0 shares · $0
TESLA INCCUSIP prefix 88160Rincreased86,846 shares · $36,527,428decreased547,816 shares · $230,411,410
MEDLINE INCCUSIP prefix 58507Vincreased1,638,244 shares · $64,612,343decreased4,841,080 shares · $190,932,195
APPLE INCCUSIP prefix 037833increased529,538 shares · $153,227,116closed0 shares · $0
COREBRIDGE FINL INCCUSIP prefix 21871Xdecreased733,788 shares · $21,008,350new2,679,371 shares · $76,710,392
04 / side-by-side coveragetop 50 displayed
Issuer values by manager
IssuerSoros Fund ManagementViking Global Investors
VISA INCCUSIP prefix 92826CNot in coverageincreased6,393,604 shares · $2,193,581,596
TAIWAN SEMICONDUCTOR MANUFACCUSIP prefix 874039decreased522,158 shares · $249,366,996decreased3,168,097 shares · $1,512,988,084
AIR PRODUCTS AND CHEMICALS ICUSIP prefix 009158Not in coverageincreased4,740,351 shares · $1,389,776,106
SHERWIN WILLIAMS COCUSIP prefix 824348Not in coverageincreased3,875,879 shares · $1,334,542,657
FORTIVE CORPCUSIP prefix 34959JNot in coveragedecreased19,934,762 shares · $1,217,814,611
AMAZON COM INCCUSIP prefix 023135decreased1,182,529 shares · $281,843,962increased3,700,862 shares · $882,063,449
META PLATFORMS INCCUSIP prefix 30303Mdecreased21,776 shares · $12,266,203increased1,867,619 shares · $1,052,011,107
JPMORGAN CHASE & COCUSIP prefix 46625Hunchanged118,358 shares · $38,742,124increased2,899,386 shares · $949,056,019
SCHWAB CHARLES CORPCUSIP prefix 808513Not in coveragedecreased10,638,869 shares · $981,648,443
THERMO FISHER SCIENTIFIC INCCUSIP prefix 883556Not in coverageincreased1,937,415 shares · $971,342,384
LENNOX INTL INCCUSIP prefix 526107Not in coverageincreased1,590,959 shares · $911,539,959
FERRARI N VCUSIP prefix N3167YNot in coveragenew2,204,309 shares · $816,922,007
CARVANA COCUSIP prefix 146869Not in coverageincreased12,322,311 shares · $811,054,510
MCDONALDS CORPCUSIP prefix 580135unchanged123,562 shares · $33,400,044decreased2,829,158 shares · $764,749,699
BRIDGEBIO PHARMA INCCUSIP prefix 10806XNot in coveragedecreased9,949,219 shares · $741,017,831
BOEING COCUSIP prefix 097023Not in coverageincreased3,274,825 shares · $708,901,368
MID-AMER APT CMNTYS INCCUSIP prefix 59522JNot in coverageincreased5,043,318 shares · $700,718,603
DISNEY WALT COCUSIP prefix 254687Not in coveragedecreased7,158,406 shares · $688,996,578
FEDEX CORPCUSIP prefix 31428XNot in coverageincreased2,151,983 shares · $673,850,437
MSCI INCCUSIP prefix 55354GNot in coveragenew1,160,687 shares · $650,031,147
ADAPTIVE BIOTECHNOLOGIES CORCUSIP prefix 00650FNot in coverageunchanged29,993,708 shares · $643,365,037
WATERS CORPCUSIP prefix 941848Not in coverageincreased1,662,140 shares · $623,368,986
MICROSOFT CORPCUSIP prefix 594918decreased189,971 shares · $70,862,982decreased1,458,618 shares · $544,093,686
JOHNSON CONTROLS INTERNATIONCUSIP prefix G51502Not in coveragedecreased4,202,694 shares · $614,055,620
UNION PAC CORPCUSIP prefix 907818Not in coveragenew2,047,332 shares · $556,874,304
SEA LTDCUSIP prefix 81141RNot in coverageincreased5,669,877 shares · $543,344,313
CAMDEN PPTY TRCUSIP prefix 133131Not in coveragedecreased4,513,303 shares · $516,728,060
DIGITAL RLTY TR INCCUSIP prefix 253868increased539,618 shares · $96,904,600new2,310,475 shares · $414,915,101
REGAL REXNORD CORPORATIONCUSIP prefix 758750Not in coveragedecreased2,101,759 shares · $500,617,976
BIOMARIN PHARMACEUTICAL INCCUSIP prefix 09061GNot in coverageincreased7,616,563 shares · $435,819,735
INTERACTIVE BROKERS GROUP INCUSIP prefix 45841NNot in coverageincreased4,830,748 shares · $420,468,306
CARNIVAL CORP LTDCUSIP prefix G2004JNot in coveragenew14,299,953 shares · $408,549,657
GENERAL MTRS COCUSIP prefix 37045VNot in coveragedecreased5,005,833 shares · $385,849,608
AON PLCCUSIP prefix G0403HNot in coverageincreased1,151,269 shares · $381,864,415
CVS HEALTH CORPCUSIP prefix 126650Not in coveragenew3,663,361 shares · $378,974,695
FEDEX FGHT HLDG CO INCCUSIP prefix 314352Not in coveragenew2,366,634 shares · $357,361,734
INTERCONTINENTAL EXCHANGE INCUSIP prefix 45866FNot in coveragedecreased2,777,138 shares · $341,893,459
MORGAN STANLEYCUSIP prefix 617446Not in coveragenew1,622,593 shares · $339,186,841
HOME DEPOT INCCUSIP prefix 437076Not in coverageincreased920,595 shares · $324,675,445
TIC SOLUTIONS INCCUSIP prefix 00510NNot in coverageunchanged35,824,562 shares · $289,820,707
QUALCOMM INCCUSIP prefix 747525Not in coveragenew1,514,185 shares · $279,806,246
APTIV PLCCUSIP prefix G3265RNot in coveragenew4,552,887 shares · $279,456,204
SNOWFLAKE INCCUSIP prefix 833445increased136,568 shares · $34,756,556new960,138 shares · $244,355,121
REDDIT INCCUSIP prefix 75734Bdecreased11,003 shares · $1,909,901decreased1,565,518 shares · $271,742,614
ALPHABET INCCUSIP prefix 02079Kincreased1,796,286 shares · $273,265,811closed0 shares · $0
TESLA INCCUSIP prefix 88160Rincreased86,846 shares · $36,527,428decreased547,816 shares · $230,411,410
HASBRO INCCUSIP prefix 418056Not in coveragedecreased3,107,195 shares · $256,623,235
MEDLINE INCCUSIP prefix 58507Vincreased1,638,244 shares · $64,612,343decreased4,841,080 shares · $190,932,195
AVALONBAY CMNTYS INCCUSIP prefix 053484Not in coveragenew1,339,782 shares · $252,803,466
DICKS SPORTING GOODS INCCUSIP prefix 253393Not in coveragedecreased1,106,134 shares · $250,882,253
Coverage / method

Similarity metrics use the complete normalized common-stock issuer book for each manager in Q1 and Q2. The action tables provide a separate bounded evidence window. Each manager contributes up to 100 current Q2 common issuers by reported value. The window also includes featured issuers that the manager holds or changed. Both views exclude CALL and PUT rows.