MondegarAI
Ally Financial Inc. (ALLY)

Q3 2025 · 13F-HR

Ally Financial Inc. (ALLY)holdings as filed

Filed 2025-11-13 · accession 0000040729-25-000027

$809.9M
Reported value
105
Positions
2025-09-30
Period end
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The Brief · Ally Financial Inc. (ALLY) · Q3 2025

AI · grounded in 13F

Ally Financial Inc. (ALLY) established a new position in the Invesco S&p 500 Equal Weight Etf RSP valued at $145.7M. The fund also initiated new holdings in the Ishares 20 Year Treasury Bond Etf TLT for $78M and the Ishares Core S&p Small-cap Etf IJR for $76.2M. Additional new positions include Amazon.com Inc AMZN at $39.1M and the Invesco Qqq Trust Series 1 QQQ at $25.8M.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
46137V357RSPInvesco S&p 500 Equal Weight Etf$145.7M18.0%768,000CommonSOLE
464287432TLTIshares 20 Year Treasury Bond Etf$78.0M9.63%873,000CommonSOLE
464287804IJRIshares Core S&p Small-cap Etf$76.2M9.41%641,000CommonSOLE
023135106AMZNAmazon.com Inc$39.1M4.83%178,000CommonSOLE
46090E103QQQInvesco Qqq Trust Series 1$25.8M3.19%43,000CommonSOLE
084670702BRK/BBerkshire Hathaway Inc$21.1M2.61%42,000CommonSOLE
713448108PEPPepsico Inc$15.9M1.96%113,000CommonSOLE
532457108LLYEli Lilly & Co$14.5M1.79%19,000CommonSOLE
58933Y105MRKMerck & Co Inc$12.8M1.59%153,000CommonSOLE
92343V104VZVerizon Communications Inc$12.7M1.57%290,000CommonSOLE
037833100AAPLApple Inc$12.7M1.57%50,000CommonSOLE
883556102TMOThermo Fisher Scientific Inc$11.4M1.41%23,500CommonSOLE
717081103PFEPfizer Inc$11.4M1.40%446,000CommonSOLE
594918104MSFTMicrosoft Corp$10.4M1.28%20,000CommonSOLE
654106103NKENike Inc$9.3M1.15%133,000CommonSOLE
91324P102UNHUnitedhealth Group Inc$8.3M1.02%24,000CommonSOLE
254687106DISWalt Disney Co/the$8.2M1.02%72,000CommonSOLE
92826C839VVisa Inc$8.2M1.01%24,000CommonSOLE
67066G104NVDANvidia Corp$8.0M0.99%43,000CommonSOLE
097023105BABoeing Co/the$7.6M0.93%35,000CommonSOLE
00724F101ADBEAdobe Inc$7.2M0.89%20,500CommonSOLE
20030N101CMCSAComcast Corp$7.0M0.87%223,252CommonSOLE
126650100CVSCvs Health Corp$6.8M0.84%90,000CommonSOLE
235851102DHRDanaher Corp$6.5M0.81%33,000CommonSOLE
79466L302CRMSalesforce Inc$6.5M0.80%27,500CommonSOLE
70450Y103PYPLPaypal Holdings Inc$6.3M0.78%94,000CommonSOLE
03524A108BUDAnheuser-busch Inbev Sa/nv$6.3M0.77%105,000CommonSOLE
57636Q104MAMastercard Inc$6.3M0.77%11,000CommonSOLE
00287Y109ABBVAbbvie Inc$6.3M0.77%27,000CommonSOLE
64110L106NFLXNetflix Inc$6.0M0.74%5,000CommonSOLE
539830109LMTLockheed Martin Corp$6.0M0.74%12,000CommonSOLE
580135101MCDMcdonald's Corp$5.5M0.68%18,000CommonSOLE
74340W103PLDPrologis Inc$5.4M0.66%47,000CommonSOLE
98138H101WDAYWorkday Inc$5.3M0.65%22,000CommonSOLE
02079K305GOOGLAlphabet Inc$5.1M0.63%21,000CommonSOLE
911312106UPSUnited Parcel Service Inc$5.0M0.62%60,000CommonSOLE
11135F101AVGOBroadcom Inc$4.9M0.61%15,000CommonSOLE
742718109PGProcter & Gamble Co/the$4.9M0.61%32,000CommonSOLE
009158106APDAir Products And Chemicals Inc$4.9M0.60%17,900CommonSOLE
30303M102METAMeta Platforms Inc$4.8M0.59%6,500CommonSOLE
03027X100AMTAmerican Tower Corp$4.6M0.57%24,000CommonSOLE
075887109BDXBecton Dickinson & Co$4.5M0.55%24,000CommonSOLE
458140100INTCIntel Corp$4.5M0.55%133,000CommonSOLE
126408103CSXCsx Corp$4.4M0.54%124,000CommonSOLE
902973304USBUs Bancorp$4.4M0.54%91,000CommonSOLE
87612E106TGTTarget Corp$4.3M0.53%48,000CommonSOLE
444859102HUMHumana Inc$4.2M0.51%16,000CommonSOLE
036752103ELVElevance Health Inc$3.9M0.48%12,000CommonSOLE
143658300CCL1EURCarnival Corp$3.6M0.45%125,000CommonSOLE
806857108SLBSchlumberger Nv$3.6M0.45%105,000CommonSOLE
500754106KHCKraft Heinz Co/the$3.4M0.42%131,000CommonSOLE
907818108UNPUnion Pacific Corp$3.3M0.41%14,000CommonSOLE
934423104WBDWarner Bros Discovery Inc$3.3M0.41%168,132CommonSOLE
573874104MRVLMarvell Technology Inc$3.3M0.40%39,000CommonSOLE
354613101BENFranklin Resources Inc$3.2M0.40%140,000CommonSOLE
445658107JBHTJb Hunt Transport Services Inc$3.2M0.40%24,000CommonSOLE
205887102CAGConagra Brands Inc$3.2M0.39%174,000CommonSOLE
115637209BF/BBrown-forman Corp$3.1M0.38%113,000CommonSOLE
518439104ELEstee Lauder Cos Inc/the$3.0M0.37%34,000CommonSOLE
37940X102GPNGlobal Payments Inc$3.0M0.37%36,000CommonSOLE
191216100KOCoca-cola Co/the$3.0M0.37%45,000CommonSOLE
438516106HONHoneywell International Inc$2.9M0.36%14,000CommonSOLE
31620M106FISFidelity National Information Services Inc$2.8M0.35%43,000CommonSOLE
31428X106FDXFedex Corp$2.8M0.35%12,000CommonSOLE
949746101WMT2Wells Fargo & Co$2.8M0.34%33,000CommonSOLE
G5960L103MDTMedtronic Plc$2.8M0.34%29,000CommonSOLE
90353T100UBERUber Technologies Inc$2.7M0.34%28,000CommonSOLE
30225T102EXRExtra Space Storage Inc$2.7M0.33%19,000CommonSOLE
882508104TXNTexas Instruments Inc$2.6M0.32%14,000CommonSOLE
36266G107GEHCGe Healthcare Technologies Inc$2.6M0.32%34,165CommonSOLE
526057104LENLennar Corp$2.5M0.31%20,000CommonSOLE
747525103QCOMQualcomm Inc$2.5M0.31%15,000CommonSOLE
038222105AMATApplied Materials Inc$2.5M0.30%12,000CommonSOLE
704326107PAYXPaychex Inc$2.4M0.29%18,800CommonSOLE
071813109BAXBaxter International Inc$2.3M0.29%103,000CommonSOLE
89832Q109TFCTruist Financial Corp$2.3M0.29%51,000CommonSOLE
22160K105COSTCostco Wholesale Corp$2.3M0.29%2,500CommonSOLE
G1151C101ACNAccenture Plc$2.2M0.27%9,000CommonSOLE
002824100ABTAbbott Laboratories$2.1M0.26%16,000CommonSOLE
743315103PGRProgressive Corp/the$2.0M0.24%8,000CommonSOLE
98956P102ZBHZimmer Biomet Holdings Inc$2.0M0.24%20,000CommonSOLE
G54950103LINLinde Plc$1.9M0.23%4,000CommonSOLE
854502101SWKStanley Black & Decker Inc$1.9M0.23%25,000CommonSOLE
H1467J104CBChubb Ltd$1.7M0.21%6,000CommonSOLE
98978V103ZTSZoetis Inc$1.6M0.20%11,000CommonSOLE
28414H103ELANElanco Animal Health Inc$1.6M0.20%79,000CommonSOLE
931142103WMTWalmart Inc$1.5M0.19%15,000CommonSOLE
92556V106VTRSViatris Inc$1.5M0.19%152,991CommonSOLE
056752108BIDUBaidu Inc$1.4M0.18%11,000CommonSOLE
68389X105ORCLOracle Corp$1.4M0.17%5,000CommonSOLE
14448C104CARRCarrier Global Corp$1.4M0.17%23,000CommonSOLE
595017104MCHPMicrochip Technology Inc$1.2M0.15%19,000CommonSOLE
21036P108STZConstellation Brands Inc$1.2M0.15%9,000CommonSOLE
29444U700EQIXEquinix Inc$1.2M0.15%1,500CommonSOLE
G29183103ETNEaton Corp Plc$1.1M0.14%3,000CommonSOLE
693475105PNCPnc Financial Services Group Inc/the$1.1M0.14%5,500CommonSOLE
68902V107OTISOtis Worldwide Corp$1.1M0.14%12,000CommonSOLE
55261F104MTBM&t Bank Corp$988,1000.12%5,000CommonSOLE
053484101AVBAvalonbay Communities Inc$965,8500.12%5,000CommonSOLE
169656105CMGChipotle Mexican Grill Inc$940,5600.12%24,000CommonSOLE
83444M101SOLVSolventum Corp$912,5000.11%12,500CommonSOLE
256677105DGDollar General Corp$723,4500.09%7,000CommonSOLE
928662600VWAGYVolkswagen Ag$660,0000.08%60,000CommonSOLE
904311107UAAUnder Armour Inc$499,0000.06%100,000CommonSOLE
62955J103NOVNov Inc$331,2500.04%25,000CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.