Watershed Asset Management, L.L.C 13F annual report

Watershed Asset Management, L.L.C is an investment fund managing more than $85.7 billion ran by Meridee Moore. There are currently 114 companies in Moore’s portfolio. The largest investments include Vanguard Intl Equity Index F and Spdr S&p 500 Etf Tr, together worth $28 billion.

$85.7 billion Assets Under Management (AUM)

As of 26th January 2024, Watershed Asset Management, L.L.C’s top holding is 381,739 shares of Vanguard Intl Equity Index F currently worth over $20.4 billion and making up 23.8% of the portfolio value. In addition, the fund holds 15,946 shares of Spdr S&p 500 Etf Tr worth $7.58 billion. The third-largest holding is Ishares Tr worth $5.66 billion and the next is Danaher worth $3.76 billion, with 16,250 shares owned.

Currently, Watershed Asset Management, L.L.C's portfolio is worth at least $85.7 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 Watershed Asset Management, L.L.C

The Watershed Asset Management, L.L.C office and employees reside in San Francisco, California. According to the last 13-F report filed with the SEC, Meridee Moore serves as the Senior Managing Member at Watershed Asset Management, L.L.C.

Recent trades

In the most recent 13F filing, Watershed Asset Management, L.L.C revealed that it had opened a new position in Match and bought 8,975 shares worth $328 million. This means they effectively own approximately 0.1% of the company. Match makes up 2.8% of the fund's Technology sector allocation and has decreased its share price by 27.0% in the past year.

The investment fund also strengthened its position in Spdr S&p 500 Etf Tr by buying 2,040 additional shares. This makes their stake in Spdr S&p 500 Etf Tr total 15,946 shares worth $7.58 billion.

On the other hand, there are companies that Watershed Asset Management, L.L.C is getting rid of from its portfolio. Watershed Asset Management, L.L.C closed its position in NextEra Inc on 2nd February 2024. It sold the previously owned 58,900 shares for $3.37 billion. Meridee Moore also disclosed a decreased stake in Vanguard Intl Equity Index F by approximately 0.1%. This leaves the value of the investment at $20.4 billion and 381,739 shares.

One of the smallest hedge funds

The two most similar investment funds to Watershed Asset Management, L.L.C are Pavadi Capital and Wulff, Hansen & Co. They manage $85.7 billion and $85.7 billion respectively.


Meridee Moore investment strategy

Watershed Asset Management, L.L.C’s portfolio is diversified across 10 sectors. Currently, their heaviest sector is Technology — making up 13.8% of the total portfolio value. The fund focuses on investments in the United States as 66.7% 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 25% of the total holdings value. On the other hand, small-cap stocks make up only 0.9% of the portfolio. The average market cap of the portfolio companies is close to $67.9 billion.

The complete list of Watershed Asset Management, L.L.C trades based on 13F SEC filings

These positions were updated on February 2nd 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
Vanguard Intl Equity Index F
7.34%
381,739
$20,423,147,000 23.83%
Spdr S&p 500 Etf Tr
14.67%
15,946
$7,579,294,000 8.84%
Ishares Tr
No change
130,000
$5,660,700,000 6.60%
Danaher Corp.
38.89%
16,250
$3,759,275,000 4.39%
Mastercard Incorporated
No change
8,035
$3,427,008,000 4.00%
NextEra Energy Inc
Closed
58,900
$3,374,381,000
Rayonier Inc.
No change
77,000
$2,572,570,000 3.00%
Microsoft Corporation
19.28%
6,700
$2,519,468,000 2.94%
Alphabet Inc
32.48%
15,500
$2,165,195,000 2.53%
Equity Comwlth
No change
100,000
$1,920,000,000 2.24%
Repligen Corp.
27.14%
8,900
$1,600,220,000 1.87%
EQT Corp
No change
37,300
$1,442,018,000 1.68%
Franco Nev Corp
Closed
10,800
$1,441,692,000
Sea Ltd
36.41%
29,600
$1,198,800,000 1.40%
SiTime Corp
No change
9,400
$1,147,552,000 1.34%
Deere & Co.
46.46%
2,650
$1,059,656,000 1.24%
Blackrock Cap Invt Corp
No change
189,878
$734,828,000 0.86%
TripAdvisor Inc.
6.53%
15,576
$335,351,000 0.39%
Veralto Corp
Closed
3,900
$331,968,000
ePlus Inc
No change
4,123
$329,180,000 0.38%
ATN International Inc
2.81%
8,428
$328,439,000 0.38%
Meta Platforms Inc
No change
926
$327,767,000 0.38%
Match Group Inc.
Opened
8,975
$327,588,000 0.38%
Photronics, Inc.
18.42%
10,402
$326,311,000 0.38%
Tapestry Inc
Opened
8,720
$320,983,000 0.37%
CrossFirst Bankshares, Inc.
Opened
23,351
$317,107,000 0.37%
Capital One Finl Corp
Opened
2,410
$315,999,000 0.37%
Bloomin Brands Inc
7.23%
11,207
$315,477,000 0.37%
Euronet Worldwide Inc
8.48%
3,107
$315,329,000 0.37%
Pulte Group Inc
14.76%
3,054
$315,234,000 0.37%
Terex Corp.
Opened
5,430
$312,008,000 0.36%
Acm Resh Inc
11.02%
15,933
$311,331,000 0.36%
SolarWinds Corp
Opened
24,911
$311,138,000 0.36%
Omnicom Group, Inc.
4.53%
3,585
$310,138,000 0.36%
F.N.B. Corp.
No change
22,368
$308,007,000 0.36%
H & E Equipment Services Inc
2.62%
5,872
$307,223,000 0.36%
Comcast Corp New
13.42%
7,006
$307,213,000 0.36%
Digi International, Inc.
Opened
11,813
$307,138,000 0.36%
Stellar Bancorp Inc
11.90%
10,975
$305,544,000 0.36%
Aviat Networks Inc
9.89%
9,346
$305,240,000 0.36%
Teledyne Technologies Inc
Opened
681
$303,923,000 0.35%
Kimball Electronics Inc
16.82%
11,261
$303,484,000 0.35%
Oracle Corp.
Opened
2,874
$303,006,000 0.35%
Unum Group
32.57%
6,672
$301,708,000 0.35%
Renasant Corp.
No change
8,957
$301,672,000 0.35%
Semler Scientific Inc
29.95%
6,747
$298,825,000 0.35%
Mckesson Corporation
9.91%
643
$297,696,000 0.35%
WEX Inc
15.57%
1,529
$297,467,000 0.35%
PayPal Holdings Inc
13.09%
4,830
$296,610,000 0.35%
Miller Inds Inc Tenn
Opened
7,012
$296,537,000 0.35%
United Rentals, Inc.
11.17%
517
$296,458,000 0.35%
OSI Systems, Inc.
No change
2,297
$296,428,000 0.35%
ACI Worldwide Inc
Opened
9,687
$296,422,000 0.35%
Teradata Corp
Opened
6,808
$296,216,000 0.35%
Argan, Inc.
7.50%
6,321
$295,760,000 0.35%
Pricesmart Inc.
8.12%
3,900
$295,542,000 0.34%
Paccar Inc.
Opened
3,024
$295,294,000 0.34%
Fleetcor Technologies Inc
2.56%
1,042
$294,480,000 0.34%
Napco Sec Technologies Inc
Opened
8,596
$294,413,000 0.34%
Akamai Technologies Inc
Opened
2,487
$294,336,000 0.34%
Fulton Finl Corp Pa
10.22%
17,874
$294,206,000 0.34%
Collegium Pharmaceutical Inc
12.37%
9,546
$293,826,000 0.34%
F5 Inc
No change
1,640
$293,527,000 0.34%
Marcus Corp.
16.48%
20,044
$292,242,000 0.34%
Allegro Microsystems Inc
Opened
9,650
$292,106,000 0.34%
Broadcom Inc.
Opened
261
$291,341,000 0.34%
Central Garden & Pet Co.
Opened
5,812
$291,239,000 0.34%
Gxo Logistics Incorporated
Opened
4,760
$291,122,000 0.34%
Old Natl Bancorp Ind
No change
17,230
$291,015,000 0.34%
Heritage Comm Corp
No change
29,300
$290,656,000 0.34%
Performance Food Group Company
Opened
4,192
$289,877,000 0.34%
Cigna Group (The)
8.90%
967
$289,568,000 0.34%
Cars.com
6.83%
15,191
$288,173,000 0.34%
Microchip Technology, Inc.
9.70%
3,185
$287,223,000 0.34%
Adtalem Global Ed Inc
21.42%
4,865
$286,792,000 0.33%
Trustmark Corp.
Opened
10,274
$286,439,000 0.33%
International Business Machs
Opened
1,746
$285,558,000 0.33%
HCA Healthcare Inc
5.19%
1,054
$285,297,000 0.33%
Adient plc
8.24%
7,818
$284,262,000 0.33%
Amdocs Ltd
No change
3,232
$284,060,000 0.33%
Flex Ltd
Closed
10,527
$284,018,000
Hewlett Packard Enterprise C
Closed
16,313
$283,357,000
Loews Corp.
No change
4,059
$282,466,000 0.33%
Henry Jack & Assoc Inc
Opened
1,727
$282,209,000 0.33%
United Therapeutics Corp
9.25%
1,275
$280,360,000 0.33%
Hackett Group Inc (The)
11.79%
12,302
$280,117,000 0.33%
Humana Inc.
18.02%
609
$278,806,000 0.33%
Netscout Sys Inc
Closed
9,935
$278,379,000
AGCO Corp.
No change
2,292
$278,272,000 0.32%
Village Super Mkt Inc
14.43%
10,576
$277,408,000 0.32%
Abercrombie & Fitch Co.
41.78%
3,144
$277,364,000 0.32%
Fox Corporation
Closed
8,887
$277,274,000
Molina Healthcare Inc
3.76%
767
$277,125,000 0.32%
Gen Digital Inc
16.65%
12,131
$276,829,000 0.32%
Oppenheimer Holdings Inc
Opened
6,694
$276,596,000 0.32%
Elevance Health Inc
1.21%
586
$276,334,000 0.32%
Fiserv, Inc.
8.69%
2,071
$275,112,000 0.32%
Coca Cola Cons Inc
26.00%
296
$274,806,000 0.32%
Belden Inc
Closed
2,844
$274,588,000
Addus HomeCare Corporation
Opened
2,957
$274,557,000 0.32%
Daktronics Inc.
12.75%
32,326
$274,124,000 0.32%
Build A Bear Workshop Inc
19.60%
11,918
$273,995,000 0.32%
SpartanNash Co
Closed
12,452
$273,944,000
Sanmina Corp
Closed
5,028
$272,920,000
Stride Inc
22.15%
4,596
$272,865,000 0.32%
Oil Dri Corp Amer
Opened
4,059
$272,278,000 0.32%
International Mny Express In
Closed
16,066
$271,997,000
Civista Bancshares Inc
No change
14,744
$271,879,000 0.32%
Avnet, Inc.
Closed
5,630
$271,310,000
Universal Hlth Svcs Inc
13.06%
1,771
$269,971,000 0.31%
United Airls Hldgs Inc
6.09%
6,537
$269,717,000 0.31%
Ingredion Inc
11.18%
2,464
$267,418,000 0.31%
CIENA Corp.
7.58%
5,929
$266,864,000 0.31%
Cal-Maine Foods, Inc.
Closed
5,509
$266,746,000
Associated Banc-Corp.
Closed
15,589
$266,728,000
Darling Ingredients Inc
Closed
5,102
$266,324,000
Target Hospitality Corp.
Closed
16,762
$266,181,000
Pennant Group Inc
16.86%
19,054
$265,232,000 0.31%
Ensign Group Inc
12.31%
2,337
$262,235,000 0.31%
Wabash Natl Corp
Closed
12,372
$261,297,000
Intest Corp.
Closed
17,203
$260,970,000
Patterson Cos Inc
Closed
8,751
$259,380,000
New York Cmnty Bancorp Inc
Opened
25,289
$258,706,000 0.30%
Ford Mtr Co Del
No change
21,162
$257,965,000 0.30%
Allegiant Travel
Closed
3,347
$257,250,000
Juniper Networks Inc
Closed
9,244
$256,891,000
GMS Inc
Closed
4,000
$255,880,000
Perdoceo Ed Corp
11.72%
14,560
$255,674,000 0.30%
Cisco Sys Inc
No change
5,035
$254,368,000 0.30%
NVE Corp
Closed
3,088
$253,648,000
Guess Inc.
Opened
10,998
$253,614,000 0.30%
Select Med Hldgs Corp
8.18%
10,760
$252,860,000 0.30%
Rgc Res Inc
Closed
14,545
$251,629,000
ON Semiconductor Corp.
Closed
2,687
$249,757,000
Wesbanco, Inc.
Closed
10,064
$245,763,000
Northwest Nat Hldg Co
Opened
6,157
$239,754,000 0.28%
Univest Financial Corporatio
Closed
13,782
$239,531,000
Ameren Corp.
Closed
3,171
$237,286,000
Harmony Biosciences Hldgs In
Closed
6,929
$227,063,000
Veritex Holdings Inc
Closed
12,646
$226,996,000
Public Svc Enterprise Grp In
13.09%
3,698
$226,133,000 0.26%
Pinnacle West Cap Corp
Opened
3,144
$225,865,000 0.26%
Titan Machy Inc
Closed
8,470
$225,133,000
Valley Natl Bancorp
Closed
26,025
$222,774,000
Cinemark Holdings Inc
6.21%
15,658
$220,621,000 0.26%
General Mtrs Co
Closed
6,673
$220,009,000
MGM Resorts International
No change
4,865
$217,368,000 0.25%
No transactions found
Showing first 500 out of 147 holdings