NORTHWESTERN UNIVERSITY

13F Portfolio Filings

  • Most recent 13F
    Q4 2024
  • Location
    evanston, IL
  • CIK
    0000873687
  • All SEC filings
Q4 2024
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

6

$62.39M
BRK.A, RYAN SPECIALTY HOLDINGS INC, TEM, ACTUATE THERAPEUTICS INC
13F-HR
Jan 28, 2025
000087368725000002

6

$85.11M
BRK.A, RYAN SPECIALTY HOLDINGS INC, AGILON HEALTH INC, TEM
13F-HR
Nov 12, 2024
000087368724000005

6

$93.00K
BRK.A, RYAN SPECIALTY HOLDINGS INC, AGILON HEALTH INC, CRGY
13F-HR
Jul 29, 2024
000087368724000004

6

$108.00K
BRK.A, GRANITE RIDGE RESOURCES INC, RYAN SPECIALTY HOLDINGS INC, AGILON HEALTH INC
13F-HR
Apr 18, 2024
000087368724000003

6

$113.00K
BRK.A, GRANITE RIDGE RESOURCES INC, CRGY, AGILON HEALTH INC
13F-HR
Jan 11, 2024
000087368724000001

7

$130.00K
BRK.A, GRANITE RIDGE RESOURCES INC, CRGY, AGILON HEALTH INC
13F-HR
Oct 30, 2023
000087368723000005

6

$103.00K
BRK.A, AGILON HEALTH INC, RYAN SPECIALTY HOLDINGS INC, BGRY
13F-HR
Jul 25, 2023
000087368723000004

7

$113.00K
BRK.A, AGILON HEALTH INC, RYAN SPECIALTY HOLDINGS INC, GRANITE RIDGE RESOURCES INC
13F-HR
May 1, 2023
000087368723000003

7

$105.00K
BRK.A, AGILON HEALTH INC, RYAN SPECIALTY HOLDINGS INC, GRANITE RIDGE RESOURCES INC
13F-HR
Jan 26, 2023
000087368723000002

6

$101.55M
BRK.A, AGILON HEALTH INC, RYAN SPECIALTY HOLDINGS INC, BGRY
13F-HR
Oct 19, 2022
000087368722000005

5

$95.40M
BRK.A, AGILON HEALTH INC, BGRY, XCUR
13F-HR
Jul 13, 2022
000087368722000004

5

$120.64M
BRK.A, AGILON HEALTH INC, BGRY, XCUR
13F-HR
May 19, 2022
000087368722000003

5

$109.33M
BRK.A, AGILON HEALTH INC, BGRY, XCUR
13F-HR
Feb 1, 2022
000087368722000002

4

$102.46M
BRK.A, AGILON HEALTH INC, XCUR, APTX
13F-HR
Oct 26, 2021
000087368721000005

4

$120.20M
BRK.A, AGILON HEALTH INC, XCUR, APTX
13F-HR
Jul 27, 2021
000087368721000004

3

$91.68M
BRK.A, XCUR, APTX
13F-HR
May 4, 2021
000087368721000003

3

$147.84M
BRK.A, XCUR, APTX
13F-HR
Jan 29, 2021
000087368721000002

5

$165.79M
BRK.A, BSM, XCUR, PAA
13F-HR
Oct 28, 2020
000087368720000005

6

$152.04M
BRK.A, BSM, BRK.B, XCUR
13F-HR
Aug 4, 2020
000087368720000004

6

$147.07M
BRK.A, BSM, BRK.B, XCUR
13F-HR
Apr 30, 2020
000087368720000003

6

$205.78M
BRK.A, BSM, BRK.B, PAA
13F-HR
Feb 5, 2020
000087368720000002

5

$192.40M
BRK.A, BSM, BRK.B, PAA
13F-HR
Oct 31, 2019
000087368719000008

5

$199.73M
BRK.A, BSM, BRK.B, PAA
13F-HR
Aug 6, 2019
000087368719000007

4

$164.93M
BRK.A, BSM, BRK.B, APTX
13F-HR
May 8, 2019
000087368719000006

3

$157.85M
BRK.A, BSM, APTX
13F-HR
Feb 4, 2019
000087368719000005

3

$168.54M
BRK.A, BSM, APTX
13F-HR
Nov 5, 2018
000087368718000006

3

$151.05M
BRK.A, BSM, APTX
13F-HR
Aug 9, 2018
000087368718000005

3

$269.44M
BRK.A, EWJ, BSM
13F-HR
May 10, 2018
000087368718000004

3

$221.81M
BRK.A, EWJ, BSM
13F-HR
Jan 22, 2018
000087368718000002

2

$143.84M
BRK.A, BSM
13F-HR
Nov 1, 2017
000087368717000004

2

$133.00M
BRK.A, BSM
13F-HR
Aug 9, 2017
000087368717000003

2

$131.61M
BRK.A, BSM
13F-HR
May 1, 2017
000087368717000002

2

$131.47M
BRK.A, BSM
13F-HR
Feb 3, 2017
000087368717000001

3

$134.53M
BRK.A, BSM, RRC
13F-HR
Nov 8, 2016
000087368716000011

2

$115.56M
BRK.A, BSM
13F-HR
Jul 25, 2016
000087368716000010

2

$112.33M
BRK.A, BSM
13F-HR
Apr 26, 2016
000087368716000009

2

$105.67M
BRK.A, BSM
13F-HR
Jan 6, 2016
000087368716000007