Sony Financial Group Inc - Uns COM

Sony Financial Group Inc - Uns COM is a security (CUSIP 83571B100) tracked across SEC portfolio filings. 22 institutional managers reported $2.2M on Form 13F as of 2026-06-30; 13 registered fund positions totaling $13.2M via N-PORT as of 2026-04-30.

Summary

Top institutional holders (Form 13F)

Showing 15 of 22 managers by value.

ManagerLocationValueShares
Madison Asset Management, LLCMadison, WI$1.6M354,444
Henry James International Management Inc.New York, NY$375K86,512
RHUMBLINE ADVISERSBOSTON, MA$117K25,877
GAMMA Investing LLCFOSTER CITY, CA$46K10,656
Sterling Capital Management LLCCHARLOTTE, NC$12K290
Generali Investments CEE, investicni spolecnost, a.s.PRAGUE, 2N$9K2,150
ATLAS CAPITAL ADVISORS LLCSAN FRANCISCO, CA$6K1,400
TRUST CO OF VERMONTBRATTLEBORO, VT$5K900
Wealth Preservation Advisors, LLCCHATTANOOGA, TN$4K900
THURSTON, SPRINGER, MILLER, HERD & TITAK, INC.INDIANAPOLIS, IN$3K721
Salomon & Ludwin, LLCRICHMOND, VA$2K362
General Partner, Inc.PITTSBURGH, PA$1K249
Archer Investment CorpCarmel, IN$24757
Ascentis Wealth Management, LLCDALLAS, TX$19044
DELTA CAPITAL MANAGEMENT LLCRED BANK, NJ$13330,616

Top fund holders (N-PORT)

FundRegistrantValue% of fund
VANGUARD PRIMECAP CORE FUNDVANGUARD FENWAY FUNDS$3.5M2.58%
Gabelli Dividend & Income TrustGabelli Dividend & Income Trust$3.4M12.81%
The Gabelli Asset FundGabelli Asset Fund$2.5M16.04%
PRIMECAP Odyssey Growth FundPRIMECAP Odyssey Funds$883K1.63%
The Gabelli Value 25 Fund Inc.Gabelli Value 25 Fund Inc$767K32.05%
The Gabelli Utilities FundGabelli Utilities Fund$704K3.97%
Gabelli Multimedia Trust Inc.Gabelli Multimedia Trust Inc.$667K43.75%
Gabelli Global Small & Mid Cap Value TrustGabelli Global Small & Mid Cap Value Trust$321K25.26%
Gabelli Global Utility & Income TrustGabelli Global Utility & Income Trust$177K15.08%
Gabelli Equity Trust IncGabelli Equity Trust Inc$110K0.64%
Gabelli Utility TrustGabelli Utility Trust$97K3.34%
Gabelli SRI Fund, Inc.Gabelli SRI Fund, Inc.$23K11.24%
Reynolds Blue Chip Growth FundReynolds Funds Inc$1K0.22%

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