Rda Network 13F annual report

Rda Network is an investment fund managing more than $295 billion ran by Michael Brannen. There are currently 151 companies in Mr. Brannen’s portfolio. The largest investments include Microsoft and NVIDIA Corp, together worth $21.8 billion.

$295 billion Assets Under Management (AUM)

As of 3rd July 2024, Rda Network’s top holding is 24,777 shares of Microsoft currently worth over $11.1 billion and making up 3.8% of the portfolio value. Relative to the number of outstanding shares of Microsoft, Rda Network owns more than approximately 0.1% of the company. In addition, the fund holds 87,100 shares of NVIDIA Corp worth $10.8 billion, whose value fell 75.8% in the past six months. The third-largest holding is Apple Inc worth $8.59 billion and the next is Alphabet Inc worth $9.76 billion, with 53,512 shares owned.

Currently, Rda Network's portfolio is worth at least $295 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 Rda Network

The Rda Network office and employees reside in Akron, Iowa. According to the last 13-F report filed with the SEC, Michael Brannen serves as the CCO at Rda Network.

Recent trades

In the most recent 13F filing, Rda Network revealed that it had opened a new position in Analog Devices and bought 5,413 shares worth $1.24 billion. This means they effectively own approximately 0.1% of the company. Analog Devices makes up 2.2% of the fund's Technology sector allocation and has grown its share price by 21.4% in the past year.

The investment fund also strengthened its position in Microsoft by buying 2,042 additional shares. This makes their stake in Microsoft total 24,777 shares worth $11.1 billion. Microsoft soared 38.5% in the past year.

On the other hand, there are companies that Rda Network is getting rid of from its portfolio. Rda Network closed its position in Dbx Etf Tr on 10th July 2024. It sold the previously owned 50,447 shares for $1.21 billion. Michael Brannen also disclosed a decreased stake in Broadcom by approximately 0.1%. This leaves the value of the investment at $8.04 billion and 5,005 shares.

One of the smaller hedge funds

The two most similar investment funds to Rda Network are Carr Corp and Mass Ave Global. They manage $295 billion and $295 billion respectively.


Michael Brannen investment strategy

Rda Network’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 19.4% of the total portfolio value. The fund focuses on investments in the United States as 47.0% 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 47% of the total holdings value. On the other hand, small-cap stocks make up only 2.0% of the portfolio. The average market cap of the portfolio companies is close to $195 billion.

The complete list of Rda Network trades based on 13F SEC filings

These positions were updated on July 10th 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
8.98%
24,777
$11,074,290,000 3.76%
NVIDIA Corp
696.52%
87,100
$10,760,332,000 3.65%
Apple Inc
2.83%
40,786
$8,590,315,000 2.91%
Alphabet Inc
1.24%
53,512
$9,756,088,000 3.31%
Broadcom Inc.
4.34%
5,005
$8,036,419,000 2.73%
Amazon.com Inc.
4.43%
36,734
$7,098,894,000 2.41%
Vanguard Whitehall Fds
0.09%
65,757
$7,499,883,000 2.54%
JPMorgan Chase & Co.
0.04%
30,690
$6,207,309,000 2.11%
Meta Platforms Inc
11.88%
10,507
$5,297,657,000 1.80%
VanEck ETF Trust
9.08%
60,234
$5,441,268,000 1.85%
Adobe Inc
10.38%
8,691
$4,828,198,000 1.64%
Visa Inc
11.70%
17,877
$4,692,186,000 1.59%
Unitedhealth Group Inc
4.27%
8,866
$4,515,320,000 1.53%
Eli Lilly & Co
0.39%
4,366
$3,953,279,000 1.34%
J P Morgan Exchange Traded F
6.74%
70,574
$4,008,888,000 1.36%
Ishares Tr
5.89%
492,875
$39,510,042,000 13.40%
Intuitive Surgical Inc
2.29%
8,167
$3,633,090,000 1.23%
Elevance Health Inc
0.11%
6,473
$3,507,460,000 1.19%
Spdr Ser Tr
13.85%
339,121
$17,812,380,000 6.04%
Vertex Pharmaceuticals, Inc.
201.01%
6,869
$3,219,638,000 1.09%
Edwards Lifesciences Corp
25.98%
30,830
$2,847,767,000 0.97%
Costco Whsl Corp New
6.16%
3,326
$2,827,392,000 0.96%
Janus Detroit Str Tr
24.36%
48,676
$2,476,647,000 0.84%
Global X Fds
2.31%
139,078
$2,457,510,000 0.83%
Oracle Corp.
10.01%
17,062
$2,409,182,000 0.82%
Thermo Fisher Scientific Inc.
27.98%
4,089
$2,261,457,000 0.77%
Fidelity Merrimack Str Tr
2.67%
49,224
$2,211,643,000 0.75%
Select Sector Spdr Tr
0.36%
73,030
$4,575,414,000 1.55%
Amplify Etf Tr
20.50%
116,845
$3,762,578,000 1.28%
First Tr Exchng Traded Fd Vi
1.98%
94,144
$3,362,359,000 1.14%
Vanguard Index Fds
4.54%
28,584
$6,288,520,000 2.13%
Berkshire Hathaway Inc.
2.14%
4,636
$1,885,925,000 0.64%
American Centy Etf Tr
10.36%
20,938
$1,878,521,000 0.64%
Vanguard World Fd
12.66%
8,679
$2,559,110,000 0.87%
Bank America Corp
0.86%
43,189
$1,717,618,000 0.58%
Lockheed Martin Corp.
38.51%
3,654
$1,706,627,000 0.58%
Welltower Inc.
0.65%
16,161
$1,684,825,000 0.57%
Ares Capital Corp
0.61%
79,976
$1,666,702,000 0.57%
Kinder Morgan Inc
0.08%
81,578
$1,620,962,000 0.55%
Walmart Inc
0.09%
23,703
$1,604,932,000 0.54%
Blackrock Corpor Hi Yld Fd I
7.09%
164,334
$1,592,396,000 0.54%
The Southern Co.
27.06%
20,493
$1,589,606,000 0.54%
Invesco Exchange Traded Fd T
1.53%
26,752
$2,470,514,000 0.84%
Blackstone Inc
0.25%
11,083
$1,372,075,000 0.47%
Home Depot, Inc.
18.12%
3,899
$1,342,358,000 0.46%
Schwab Strategic Tr
54.46%
53,930
$3,510,359,000 1.19%
Invesco Exch Traded Fd Tr Ii
23.03%
75,086
$2,889,103,000 0.98%
Mastercard Incorporated
3.79%
2,847
$1,256,147,000 0.43%
Qualcomm, Inc.
4.74%
6,232
$1,241,242,000 0.42%
Alibaba Group Hldg Ltd
0.55%
17,222
$1,239,984,000 0.42%
Analog Devices Inc.
Opened
5,413
$1,235,612,000 0.42%
Dbx Etf Tr
Closed
50,447
$1,206,931,000
Spdr Index Shs Fds
Opened
33,477
$1,181,724,000 0.40%
Waste Mgmt Inc Del
0.75%
5,535
$1,180,799,000 0.40%
Vanguard Specialized Funds
1.67%
6,157
$1,123,960,000 0.38%
Micron Technology Inc.
3.54%
8,326
$1,095,119,000 0.37%
Spdr Gold Tr
2.58%
4,976
$1,069,890,000 0.36%
Fiserv, Inc.
0.06%
7,070
$1,053,713,000 0.36%
Copart, Inc.
14.66%
19,180
$1,038,789,000 0.35%
Verizon Communications Inc
1.87%
25,126
$1,036,211,000 0.35%
Blackrock Etf Trust Ii
49.22%
19,836
$1,035,439,000 0.35%
Realty Income Corp.
0.72%
19,274
$1,018,036,000 0.35%
Roper Technologies Inc
18.41%
1,724
$971,779,000 0.33%
Exxon Mobil Corp.
27.96%
8,292
$954,612,000 0.32%
Intel Corp.
22.86%
29,645
$918,118,000 0.31%
Ssga Active Etf Tr
3.14%
21,859
$913,721,000 0.31%
Vanguard Tax-managed Fds
1.93%
18,373
$907,994,000 0.31%
Monster Beverage Corp.
22.96%
17,613
$879,769,000 0.30%
Caterpillar Inc.
5.81%
2,626
$874,847,000 0.30%
Johnson & Johnson
5.20%
5,946
$869,119,000 0.29%
Blackrock Etf Trust
253.23%
17,831
$836,987,000 0.28%
Vanguard Mun Bd Fds
12.62%
15,982
$800,858,000 0.27%
Ball Corp.
Opened
13,168
$790,352,000 0.27%
Zoetis Inc
Closed
4,458
$754,269,000
Deere & Co.
2.13%
1,933
$722,315,000 0.25%
Ishares Tr
Opened
23,506
$1,752,016,000 0.59%
Idexx Labs Inc
26.14%
1,414
$688,901,000 0.23%
First Tr Lrge Cp Core Alpha
32.09%
6,892
$668,415,000 0.23%
Linde Plc.
0.13%
1,517
$665,594,000 0.23%
Taiwan Semiconductor Mfg Ltd
3.35%
3,825
$664,823,000 0.23%
Vanguard Intl Equity Index F
5.58%
19,578
$922,161,000 0.31%
Chevron Corp.
2.00%
4,192
$655,678,000 0.22%
Align Technology, Inc.
66.37%
2,568
$619,992,000 0.21%
Enterprise Prods Partners L
1.33%
20,957
$607,327,000 0.21%
Epr Pptys
0.56%
14,225
$597,151,000 0.20%
Dnp Select Income Fd Inc
32.04%
71,913
$591,125,000 0.20%
Oneok Inc.
1.63%
7,131
$581,533,000 0.20%
First Tr Inter Duratn Pfd &
1.09%
31,369
$576,253,000 0.20%
First Tr Exchange-traded Fd
0.30%
7,932
$917,510,000 0.31%
United Parcel Service, Inc.
1.80%
3,937
$538,746,000 0.18%
Snap-on, Inc.
2.26%
1,990
$520,242,000 0.18%
Honeywell International Inc
19.92%
2,402
$512,828,000 0.17%
Wisdomtree Tr
45.59%
29,854
$834,591,000 0.28%
Us Bancorp Del
13.80%
12,318
$489,040,000 0.17%
Constellation Brands Inc
2.24%
1,880
$483,719,000 0.16%
Boeing Co.
10.39%
2,636
$479,778,000 0.16%
AT&T, Inc.
0.08%
24,803
$473,992,000 0.16%
Golub Cap Bdc Inc
No change
29,799
$468,142,000 0.16%
KKR & Co. Inc
2.01%
4,440
$467,242,000 0.16%
Main Str Cap Corp
4.94%
8,727
$440,634,000 0.15%
Dow Inc
37.97%
8,283
$439,437,000 0.15%
Comcast Corp New
9.11%
11,070
$433,517,000 0.15%
Alliant Energy Corp.
5.05%
7,807
$397,358,000 0.13%
General Mtrs Co
No change
8,340
$387,476,000 0.13%
Paychex Inc.
77.81%
3,254
$385,785,000 0.13%
Insteel Inds Inc
Closed
10,074
$385,027,000
Accenture Plc Ireland
Closed
1,108
$384,044,000
Marsh & McLennan Cos., Inc.
2.16%
1,800
$379,305,000 0.13%
Cisco Sys Inc
0.79%
7,943
$377,372,000 0.13%
Goldman Sachs Etf Tr
No change
3,485
$372,721,000 0.13%
Ingersoll-Rand Inc
12.60%
4,043
$367,297,000 0.12%
Aon plc.
No change
1,251
$367,269,000 0.12%
Artisan Partners Asset Mgmt
2.79%
8,843
$364,940,000 0.12%
Xcel Energy Inc.
25.07%
6,750
$360,518,000 0.12%
Kroger Co.
7.32%
7,211
$360,064,000 0.12%
Vaneck Merk Gold Tr
Opened
15,854
$356,081,000 0.12%
CDW Corp
2.99%
1,587
$355,331,000 0.12%
Pfizer Inc.
3.16%
12,529
$350,555,000 0.12%
Procter And Gamble Co
12.50%
2,115
$348,792,000 0.12%
Starbucks Corp.
19.04%
4,328
$336,939,000 0.11%
Revvity Inc.
4.50%
3,204
$335,996,000 0.11%
Grainger W W Inc
1.67%
366
$330,670,000 0.11%
Progressive Corp.
2.65%
1,544
$320,704,000 0.11%
Caseys Gen Stores Inc
0.83%
839
$320,129,000 0.11%
First Tr Value Line Divid In
1.30%
7,763
$316,342,000 0.11%
Spdr S&p 500 Etf Tr
0.69%
578
$314,463,000 0.11%
Lyondellbasell Industries N
3.87%
3,274
$313,160,000 0.11%
Fortive Corp
3.40%
4,191
$310,589,000 0.11%
Fastenal Co.
Closed
3,942
$304,086,000
Shell Plc
4.52%
4,211
$303,956,000 0.10%
Ishares Inc
Opened
9,822
$549,336,000 0.19%
Schwab Strategic Tr
Closed
8,856
$298,713,000
First Tr Morningstar Divid L
0.73%
7,701
$292,111,000 0.10%
Pennymac Mtg Invt Tr
3.20%
21,157
$290,909,000 0.10%
Pepsico Inc
0.23%
1,748
$288,263,000 0.10%
Conocophillips
1.57%
2,392
$273,598,000 0.09%
Alps Etf Tr
4.61%
5,677
$272,382,000 0.09%
Wells Fargo Co New
7.55%
228
$271,085,000 0.09%
Abbvie Inc
1.07%
1,575
$270,144,000 0.09%
Uber Technologies Inc
No change
3,707
$269,425,000 0.09%
GE Aerospace
0.06%
1,668
$265,108,000 0.09%
Proshares Tr
0.59%
4,211
$261,208,000 0.09%
AMGEN Inc.
2.80%
832
$259,915,000 0.09%
Delta Air Lines, Inc.
Closed
5,406
$258,782,000
Disney Walt Co
5.64%
2,441
$242,385,000 0.08%
NextEra Energy Inc
1.82%
3,392
$240,159,000 0.08%
Marriott Intl Inc New
0.20%
989
$239,192,000 0.08%
DraftKings Inc.
Closed
5,104
$231,773,000
Firstenergy Corp.
Opened
5,829
$223,076,000 0.08%
Citigroup Inc
7.25%
3,507
$222,554,000 0.08%
Fidelity National Financial Inc
Closed
4,113
$218,400,000
Ulta Beauty Inc
No change
560
$216,087,000 0.07%
Tcw Strategic Income Fd Inc
4.71%
45,352
$214,967,000 0.07%
J P Morgan Exchange Traded F
Opened
8,328
$417,650,000 0.14%
Sempra
Opened
2,729
$207,568,000 0.07%
Broadridge Finl Solutions In
0.19%
1,040
$204,880,000 0.07%
Gabelli Equity Tr Inc
220.98%
39,368
$204,714,000 0.07%
Vanguard Scottsdale Fds
47.09%
2,618
$202,327,000 0.07%
Healthcare Rlty Tr
3.69%
11,737
$193,426,000 0.07%
Gladstone Capital Corp.
Closed
11,400
$122,322,000
New York Cmnty Bancorp Inc
12.56%
26,888
$86,579,000 0.03%
No transactions found
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