Kagan Cocozza Asset Management XLF β€” SELECT SECTOR SPDR TR

Ownership history in Kagan Cocozza Asset Management  Β·  5 quarters on record

AI Ownership Summary

Kagan Cocozza Asset Management reported SELECT SECTOR SPDR TR (XLF) in 5 quarterly 13F filings from 2025 Q1 through 2026 Q1. Peak portfolio weight reached 0.75% in 2025 Q1. The latest visible filing shows XLF at 0.57% of the fund.

This page tracks quarterly shares, estimated market value, portfolio weight, filing dates, and disclosure-aligned stock prices directly from SEC EDGAR 13F filings.

What this XLF ownership page tells you

This page is designed to answer the real investor question behind a 13F filing: how meaningful was Kagan Cocozza Asset Management's position in SELECT SECTOR SPDR TR, and how did that conviction change over time? You can read the holding window, peak weight, latest reported size, disclosure timing, and quarter-by-quarter changes without piecing the story together from raw SEC rows.

Freshest filing
Latest Reported Filing
2026 Q1

XLF was reported at 0.57% of portfolio in the most recent visible filing.

High-water mark
Peak Conviction
0.75% in 2025 Q1

Peak weight helps separate a token disclosure from a real conviction holding the fund genuinely cared about.

Time in book
Holding Window
2025 Q1 to 2026 Q1

Longer holding windows often tell a very different story from short-lived tactical trades or one-quarter experiments.

Decision context
Why It Matters
Position size beats headlines

Knowing that a fund owned a stock is useful. Knowing whether it was a 0.20% placeholder or a true high-conviction position is where the signal actually starts.

How Kagan Cocozza Asset Management held XLF β€” position size vs. price
% of Fund (quarterly)    XLF price (quarter-end, indexed to 100)    SPY (indexed to 100)    QQQ (indexed to 100)
πŸ“‹ Quarterly Holdings History 5 quarters  β–Ύ
Quarter Action Sold % After 3M Timing Shares Change Chg % % of Fund Mkt Value Filed Price (Filed)
2026 Q1 ADDED β€” β€” β€” 16,539 +1,267 +8.3% 0.57% $817K 2026-04-23 $51.80
2025 Q4 ADDED β€” β€” β€” 15,272 +3,100 +25.5% 0.59% $836K 2026-01-23 $52.80
2025 Q3 REDUCED 33.6% +3.0% ❌ 12,172 -6,164 -33.6% 0.50% $656K 2025-10-21 $52.28
2025 Q2 REDUCED β€” β€” β€” 18,336 -455 -2.4% 0.74% $960K 2025-07-15 $51.04
2025 Q1 INITIATED β€” β€” β€” 18,791 β€” β€” 0.75% $908K 2025-05-08 $49.10

FAQ About Kagan Cocozza Asset Management and XLF

These are the practical questions this page is built to answer before you even open the full history table.

How long has Kagan Cocozza Asset Management reported owning XLF?

Kagan Cocozza Asset Management reported XLF across 5 quarterly 13F filings, from 2025 Q1 through 2026 Q1.

What was the largest reported XLF position in Kagan Cocozza Asset Management's portfolio?

The largest reported portfolio weight for XLF was 0.75% in 2025 Q1.

What is the latest reported XLF position on this page?

The most recent filing on this page is 2026 Q1, when Kagan Cocozza Asset Management reported 16,539 shares, equal to 0.57% of portfolio, with an estimated market value of $817K.

What does the chart on this XLF ownership page compare?

The chart compares Kagan Cocozza Asset Management's quarterly XLF portfolio weight with the stock's indexed share price, so you can see whether the fund was building, trimming, or holding the position as price moved.

How well did Kagan Cocozza Asset Management time their XLF position?

Based on 13F filing dates vs. subsequent XLF price moves, Kagan Cocozza Asset Management correctly timed 1 out of 4 reported position changes (25%). The annualised alpha on XLF relative to SPY over the holding period was -19.2%.

← Back to Kagan Cocozza Asset Management Holdings