AUMdb

Amova Asset Management Americas, Inc.

SEC-registered Private Fund Manager · Mid-sized ($1B–$10B) CRD 824 · SEC file 801-60881 · New York, NY · US.AMOVA-AM.COM
☆ Save with Pro ADV data as of Jun 26, 2026
Regulatory AUM
$7.8B
Discretionary
$7.7B
Clients
8
Avg AUM / client
$973M
Accounts
18
Employees
27

AUM over time

$2.2B $23.1B
Mar 2012 Mar 2026

Annual snapshots from Form ADV filings · as of Jun 26, 2026

Investments (13F portfolio — 186 positions, $7,070,004,157)

13F period Mar 31, 2026
#IssuerClassValueShares% of 13F% of AUM
1 Shopify Inc Class A COM $410,219,394 3,458,265 5.8% 5.27%
2 Tesla Inc COM $376,071,368 1,007,964 5.32% 4.83%
3 Robinhood Markets Inc A COM $362,925,123 5,240,796 5.13% 4.66%
4 Advanced Micro Devices COM $301,769,304 1,484,939 4.27% 3.88%
5 Circle Internet Group Inc COM $278,173,392 2,914,947 3.93% 3.57%
6 Coinbase Global Inc Class A COM $277,418,265 1,589,152 3.92% 3.56%
7 Palantir Technologies Inc A COM $246,900,209 1,688,322 3.49% 3.17%
8 Tempus Ai Inc Cl A COM $195,549,348 4,326,313 2.77% 2.51%
9 Roblox Corp Class A COM $183,247,474 3,238,160 2.59% 2.35%
10 Amazon.Com Inc COM $179,092,146 859,945 2.53% 2.3%
11 Roku Inc COM $174,923,388 1,848,889 2.47% 2.25%
12 Block Inc COM $171,238,826 2,845,917 2.42% 2.2%
13 Teradyne Inc COM $164,628,947 555,597 2.33% 2.11%
14 Nvidia Corp COM $159,893,931 917,349 2.26% 2.05%
15 Bullish COM $137,139,252 3,836,063 1.94% 1.76%
16 Mercadolibre Inc COM $132,277,193 76,540 1.87% 1.7%
17 Meta Platforms Inc Class A COM $113,501,656 198,426 1.61% 1.46%
18 10 X Genomics Inc Class A COM $108,310,657 5,104,178 1.53% 1.39%
19 Taiwan Semiconductor Sp Adr COM $105,782,420 312,975 1.5% 1.36%
20 Deere & Co COM $105,366,997 187,073 1.49% 1.35%
21 Toast Inc Class A COM $101,175,967 3,817,961 1.43% 1.3%
22 Alphabet Inc Cl C COM $101,156,424 352,781 1.43% 1.3%
23 Bitmine Immersion Technologi COM $96,965,778 4,907,175 1.37% 1.25%
24 Beam Therapeutics Inc COM $91,163,691 3,825,585 1.29% 1.17%
25 Illumina Inc COM $88,863,881 721,532 1.26% 1.14%

Top 25 of 186 positions from the manager's latest Form 13F · source filing (EDGAR) ↗. 13F covers long US-listed positions only. "% of AUM" is share of the firm's total regulatory AUM (Form ADV Item 5.F).

Who they serve

Client typeClientsAUM% of AUM
Investment companies 1 $15.4M 0.2%
Pooled investment vehicles (non-investment companies) 5 $7.6B 97.4%
State or municipal government entities 1 $189M 2.43%
Corporations and other businesses 1 $1.0M 0.01%

Private funds (1)

Reported in Form ADV Section 7.B.(1), filing of Oct 2024 · $13.2M combined gross assets

FundTypeDomicileGross assetsOwners
International Select Equity Fund, Llc Other Private Fund Delaware $13.2M 1

People (9)

roster as of Jul 20, 2026
NameRole / titleCredentialsWith firm sinceOwnership
Steglitz, Marc, Harry Director Nov 2007 (19y) Less than 5%
Beckham, Gary, Lamont Chief Compliance Officer Jan 2015 (12y) Less than 5%
Cook, Kenneth, S Director Aug 2020 (6y) Less than 5%
Graf, Peter, Edward Chief Investment Officer Apr 2022 (4y) Less than 5%
Suto, Satoshi Chief Operating Officer Apr 2022 (4y) Less than 5%
Glover, Anthony, Stuart Director May 2023 (3y) Less than 5%
Nishida, Yutaka Director May 2023 (3y) Less than 5%
Wesley, James, Mark Beyer Director, President, Chief Executive Officer Jan 2024 (3y) Less than 5%
Andrew J Thaler Registered representative Jul 2019 (7y)

Entity owners (Schedule A/B)

EntityTitle / statusSinceSch.Ownership
Nikko Am Americas Holding Co., Inc. Shareholder Apr 1997 A 75% or more
Sumitomo Mitsui Trust Group, Inc. Shareholder Jul 2019 B 75% or more of Nikko Asset Management Co Ltd (indirect)
Nikko Asset Management Co Ltd Shareholder Sep 2004 B 75% or more of Nikko Am Americas Holding Co. (indirect)

Undisclosed: 0% – 25% of the firm is not attributable from the filed Schedule A bands.

Roster from the IAPD representatives feed; ownership and acquisition dates from Form ADV Schedule A/B. "Since" is the earliest filed registration or acquisition date.

Private funds (1, $13.2M gross assets)

FundTypeGross assetsMin. investmentOwners
International Select Equity Fund, Llc Other Private Fund $13.2M $1.0M 1

From Form ADV Section 7.B private fund reporting.

Documents (1 archived)

FormPeriodSize
Form ADV (full filing) 06/26/2026 1.7 MB View · PDF · Source ↗

Archived copies of the firm's regulatory filings, versioned by content hash.

Disciplinary disclosures

No disciplinary events reported on the firm's latest Form ADV filing.

How they charge

  • Percentage of assets under management
  • Fixed fees

Services

  • Portfolio management for investment companies
  • Portfolio management for pooled investment vehicles
  • Portfolio management for businesses/institutional clients
  • Selection of other advisers
  • Other services

Custody

Reported custodians

Amounts as reported in ADV Item 5.K.(3) (custodians holding 10%+ of SMA assets).

Firm reports it does not have custody of client funds or securities (Item 9.A).

Source

All data on this page comes from this firm's Form ADV filings, reproduced without modification. Latest filing: Jun 26, 2026.

View current Form ADV (SEC/IAPD) ↗