Columbia Seligman Premium Technology Growth Fund logo

Columbia Seligman Premium Technology Growth Fund

STKXNYS

Columbia Seligman Premium Technology Growth Fund is a publicly traded company on XNYS. As of Q3 2025, 59 institutional investors hold shares in this company, with total holdings valued at $75.1M. WELLS FARGO & COMPANY/MN is the largest holder with a position valued at $14.5M.

Overview

Overview of institutional ownership in STK as of Q3 2025

All Institutions

Institutions
59
Value Held
$75.1M
Shares Held
2.1M
Avg Position
$1.3M
Median Position
$359.9K

Hedge Funds

Hedge Funds
4
Value Held
$3.5M
Shares Held
100.4K
Avg Position
$886.3K
Median Position
$722.3K

Biggest Investors

Institutions with the largest positions in STK as of Q3 2025

InstitutionPosition Value
$14.5M
0.00% of portfolio
MORGAN STANLEY logo
MORGAN STANLEY
RIA/Wealth
$10.9M
0.00% of portfolio
Invesco Ltd. logo
Invesco Ltd.
ETF Provider
$7.5M
0.00% of portfolio
L
$6.2M
0.00% of portfolio
$5.4M
0.18% of portfolio
$3.7M
0.00% of portfolio
$2.8M
0.98% of portfolio
$2.3M
0.00% of portfolio
WOLVERINE ASSET MANAGEMENT LLC logo
WOLVERINE ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
$1.9M
0.13% of portfolio
$1.5M
0.18% of portfolio

Net Capital Flow

Institutional buying and selling activity for STK in Q3 2025

Traded
+$10.9M
Buyers
31
Sellers
17
Total Bought
+$12.7M
Total Sold
$1.8M
Avg Position
$1.2M

Biggest Buyers

InstitutionNet Bought
+$2.6M
+72.3K shares
+$2.4M
+67.6K shares
WOLVERINE ASSET MANAGEMENT LLC logo
WOLVERINE ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
+$1.9M
+53.5K shares
Invesco Ltd. logo
Invesco Ltd.
ETF Provider
+$1.5M
+43.7K shares
R
READYSTATE ASSET MANAGEMENT LP
Hedge FundMulti-Strategy
+$1.2M
+33.2K shares
+$581.9K
+16.5K shares
L
+$358.5K
+10.1K shares
+$357.7K
+10.1K shares
MORGAN STANLEY logo
MORGAN STANLEY
RIA/Wealth
+$352.0K
+10.0K shares
+$282.7K
+8.0K shares

Biggest Sellers

InstitutionNet Sold
$431.9K
12.2K shares
$403.1K
13.3K shares
UBS Group AG logo
UBS Group AG
Institution
$309.0K
8.7K shares
BALYASNY ASSET MANAGEMENT LLC logo
BALYASNY ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
$263.6K
7.5K shares
$208.4K
6.9K shares
$96.6K
2.7K shares
$27.3K
772.0 shares
$25.1K
710.0 shares
$15.2K
500.0 shares
$10.4K
295.0 shares

Entry and Exit Activity

Institutions that initiated new positions or completely exited STK in Q3 2025

New Positions
6
New Value
$1.3M
Exited Positions
4
Exited Value
$626.9K

New Positions

InstitutionPosition Value
$581.9K
16.5K shares
$357.7K
10.1K shares
$207.3K
5.9K shares
$163.7K
4.6K shares
GoalVest Advisory LLC logo
GoalVest Advisory LLC
Private Equity
$8.6K
243.0 shares
$3.5K
100.0 shares

Exited Positions

InstitutionPrevious Position
$403.1K
13.3K shares
$208.4K
6.9K shares
$15.2K
500.0 shares
$152.0
5.0 shares

Options Activity

Institutions with the largest Call and Put options positions in STK as of Q3 2025

Call Positions
0
Call Value
-
Put Positions
0
Put Value
-

Call Positions

InstitutionPosition Value
No call positions found

Put Positions

InstitutionPosition Value
No put positions found

Most Committed Institutions

Institutions with STK as the highest % of their portfolio as of Q3 2025

InstitutionPortfolio Weight
0.98%
$2.8M
0.48%
$559.8K
0.33%
$359.9K
0.26%
$490.8K
0.22%
$636.1K
0.18%
$1.5M
0.18%
$5.4M
WOLVERINE ASSET MANAGEMENT LLC logo
WOLVERINE ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
0.13%
$1.9M
R
READYSTATE ASSET MANAGEMENT LP
Hedge FundMulti-Strategy
0.12%
$1.2M
0.09%
$685.1K

Hedge Fund Spotlight

Discover hedge funds investing in STK

BALYASNY ASSET MANAGEMENT LLC logo
BALYASNY ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
Portfolio ManagerDmitry Balyasny
Portfolio Value
$48.1B
Positions
1,894
Last Reported
Q3 2025
AddressChicago, IL
Sector Allocation
Technology: 19.50%TechnologyFinancial Services: 14.90%Financial ServicesIndustrials: 13.20%IndustrialsConsumer Cyclical: 11.90%Consumer CyclicalHealthcare: 9.00%HealthcareCommunication Services: 5.30%Energy: 4.40%Consumer Defensive: 4.30%Real Estate: 4.30%ETF: 4.20%Basic Materials: 2.40%Utilities: 2.30%
Columbia Seligman Premium Technology Growth Fund logo

Position in Columbia Seligman Premium Technology Growth Fund

Market Value
$273.4K
Shares Held
7.7K
Portfolio Weight
0.00%
Owned Since
2025-Q2
Top HoldingSectorMarket ValueWeight
ETF
ETF
$1.1B2.29%
Software - Infrastructure
Technology
$1.1B2.23%
3
Nvidia logo
Nvidia
NVDA
Semiconductors
Technology
$905.7M1.88%

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