VST β€” VISTRA CORP

Ownership history in STRATEGY ASSET MANAGERS LLC  Β·  5 quarters on record

This page tracks every 13F SEC filing in which STRATEGY ASSET MANAGERS LLC reported a position in VISTRA CORP (VST). Data includes quarterly share count, position size as % of portfolio, estimated market value, and end-of-quarter stock price β€” sourced directly from SEC EDGAR 13F filings.

πŸ” Peak position
0.28% (2025 Q2)
πŸ“Š Avg. % of fund
0.19%
πŸ“… First filed
2024 Q3
πŸ“… Last filed
2025 Q3
⏱ Quarters held
5

Position Intelligence

STRATEGY ASSET MANAGERS LLC Γ— VST AI Analytics

πŸ“ˆ STRATEGY ASSET MANAGERS LLC outperformed the S&P 500 by +51.1% annually on this VST position. Timing score: 50% (2/4 decisions correct). Average cost basis: $117.93. Maximum drawdown during holding period: –14.7%.

πŸ“ˆ Position Alpha vs SPY
+51.1%
annualised excess return

πŸ”₯ Exceptional β€” beat the S&P 500 by 51.1% per year on this position.
4 quarters analyzed

⏱️ Timing Score
50%

➑️ Neutral timing β€” roughly coin-flip accuracy on add/trim calls.
2 of 4 add/trim decisions correct

πŸ’° Entry Quality
$117.93
+65.7% vs current ($195.38)

Best entry: $116.84 (2025 Q1)  Β·  Worst: $136.93 (2024 Q4)

πŸ›‘οΈ Drawdown Resilience
–14.7%
max drawdown while held

πŸ’Ž No drawdown exceeding 20% during the holding period β€” exceptionally stable.

πŸ’ͺ Fund Conviction
60%
buy-side decisions

3 adds Β· 2 trims. Bought during 1 of 1 down-price quarters. πŸ“ˆ More buys than sells across the holding period.

πŸ“‘ Position Trajectory
β†’ Stable
last 4–5 quarters trend

βš–οΈ Portfolio weight has remained relatively stable β€” conviction maintained.
Currently 0.08% of portfolio

⚠ Based on quarterly 13F SEC filings and end-of-quarter closing prices. Timing score = accuracy of add/trim decisions vs next-quarter price direction. Alpha = mean quarterly excess return Γ— 4 (annualised). Not investment advice.

% of Fund (quarterly)    VST price (monthly, adj. close)
πŸ“‹ Quarterly Holdings History 5 quarters  β–Ύ
Quarter Action Shares Change Chg % % of Fund Mkt Value Price (EOQ)
2025 Q3 REDUCED 2,179 -5,627 -72.1% 0.08% $427K $195.38
2025 Q2 REDUCED 7,806 -158 -2.0% 0.28% $1.5M $193.07
2025 Q1 ADDED 7,964 +15 +0.2% 0.19% $935K $116.84
2024 Q4 ADDED 7,949 +162 +2.1% 0.21% $1.1M $136.93
2024 Q3 INITIATED 7,787 β€” β€” 0.18% $923K $117.54
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