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Shell Asset Management Company
Kenan Yildirim · Asset Manager · Multi-Strategy
Shell Asset Management Company (SAMCo) is the specialized in-house investment management arm of Shell plc. Founded in 2006 through the merger of Shell's UK and Dutch investment operations, SAMCo was established to centralize the management of the group's diverse global pension assets. Based in The Hague, the firm historically oversaw a multi-billion dollar portfolio for various Shell pension schemes, focusing on long-term sustainability and risk-adjusted growth. Recently, SAMCo has begun transitioning its fiduciary management mandates to external providers such as BlackRock and Goldman Sachs Asset Management, reflecting a shift in Shell's strategy to streamline its internal pension operations while maintaining robust oversight of its employees' retirement funds.
Simulated Performance
| Metric | Value |
|---|---|
| Total return | +22.6% |
| YTD return | +15.7% |
| Sharpe ratio | 3.04 |
| Win rate | 57% |
| AUM | $0.4B |
| Inception | Oct 1, 2025 |
| Updated | Sep 4, 2026 |
Institution Status
| Field | Value |
|---|---|
| AUM | $0.4B |
| Turnover | Low (<15%) |
| Avg holding | 18 Months |
| Inception | Oct 1, 2025 |
| Website | https://www.shell.com |
Current Holdings
Updated on Sep 4, 2026.
| Ticker | Name | Portfolio % | Return |
|---|---|---|---|
| NVDA | NVIDIA Corporation | 16.5% | +21.7% |
| AAPL | Apple Inc | 14.4% | +20.7% |
| GOOGL | Alphabet Inc Class A | 11.4% | +25.3% |
| MSFT | Microsoft Corporation | 8.6% | +3.1% |
| AMZN | Amazon.com Inc | 7.6% | +13.6% |
| AVGO | Broadcom Inc | 5.9% | +4.9% |
| MU | Micron Technology Inc | 4.6% | +93.3% |
| META | Meta Platforms Inc. | 3.6% | -9.4% |
| TSLA | Tesla Inc | 3.5% | -15.4% |
| LLY | Eli Lilly and Company | 3.2% | +22.4% |
| AMAT | Applied Materials Inc | 3.1% | +26.5% |
| AMD | Advanced Micro Devices Inc | 3.0% | +72.8% |
| JPM | JPMorgan Chase & Co | 2.3% | +15.3% |
| V | Visa Inc. Class A | 2.0% | +9.2% |
| COST | Costco Wholesale Corp | 1.9% | -2.5% |
| INTC | Intel Corporation | 1.9% | -3.3% |
| MA | Mastercard Inc | 1.8% | +3.7% |
| CSCO | Cisco Systems Inc | 1.6% | -6.3% |
| BRK-A | Berkshire Hathaway Inc | 1.6% | +2.1% |
| HD | The Home Depot Inc | 1.5% | -7.6% |
Recent activity
| Date | Action | Ticker | Weight |
|---|---|---|---|
| Aug 31, 2026 | BUY | V | 2.0% → 2.0% |
| Aug 31, 2026 | BUY | BRK-A | 1.6% → 1.6% |
| Aug 31, 2026 | SELL | TSLA | 3.5% → 3.5% |
| Aug 31, 2026 | BUY | GOOGL | 11.4% → 11.4% |
| Aug 31, 2026 | BUY | AMZN | 7.6% → 7.6% |
Investment Style Analysis
Shell Asset Management Company is widely recognized for employing a Multi-Strategy strategy. As of Sep 4, 2026, the firm oversees approximately $0.4B in assets under management (AUM). The portfolio demonstrates a clear preference for the Semiconductors and Internet Content & Information sectors, reflecting a high-conviction approach to capital allocation.
Recent Market Moves
During the latest rebalancing period ending Aug 31, Shell Asset Management Company made a significant move by increasing exposure to V. This adjustment aligns with the fund's dynamic approach to risk management and capital deployment in current market conditions.
Investment Philosophy
SAMCo follows an investment philosophy centered on global diversification and the systematic assessment of rewarded risks to meet long-term pension liabilities. The firm operates under the belief that active management can add significant value in specific market segments where inefficiencies exist. A core pillar of its strategy is the integration of Environmental, Social, and Governance (ESG) factors into the entire investment cycle to enhance risk-return profiles. Its approach balances traditional equity and fixed-income investments with alternative assets, all governed by a rigorous risk management framework and a commitment to the responsible stewardship of member assets.
Disclaimer
The content provided on this page, including the simulated portfolio performance, holdings analysis, and AI-generated insights, is for informational and educational purposes only. It does not constitute financial advice, investment recommendations, or an offer to buy or sell any securities. All data is derived from historical SEC 13F filings and other public disclosures, which have a reporting lag. The "Simulated Performance" is a hypothetical reconstruction based on past disclosures and does not represent the actual returns of the institution. Past performance is not indicative of future results. Tritonix.ai is not affiliated with Shell Asset Management Company.
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Frequently asked questions
How is the simulated portfolio for Shell Asset Management Company constructed?
This simulation is powered by Tritonix AI using official SEC filings. We focus on the "Best Ideas" by filtering for only the Top 20 largest holdings and rebalancing them to 100%. The simulation tracks performance starting from Oct 1, 2025. Our AI monitors for updates every Monday to capture major shifts. This concentrated approach highlights the manager's true stock-picking skill and mirrors their actual investment returns.
What is Shell Asset Management Company's largest holding?
As of the latest filing, Shell Asset Management Company's top position is NVIDIA Corporation (NVDA), representing 16.5% of the portfolio. This reflects a high-conviction bet by the institution.
What is Shell Asset Management Company's historical performance and risk profile?
Our simulation indicates a total return of +22.6% with a win rate of 57%. Notably, the portfolio maintains a Sharpe Ratio of 3.04, suggesting an exceptional level of risk-adjusted returns compared to the broader market.
What sectors does Shell Asset Management Company primarily invest in?
Shell Asset Management Company has a strong preference for the Semiconductors sector, which makes up 31.9% of their disclosed assets. The portfolio also has exposure to Internet Content & Information, indicating a specific thematic focus.
Is Shell Asset Management Company's portfolio concentrated or diversified?
Shell Asset Management Company runs a moderately concentrated portfolio with 20 disclosed positions. The top 3 holdings alone account for 42.4% of the total portfolio weight, suggesting a strategy that favors broader market exposure.
How has Shell Asset Management Company performed in 2026?
Our AI-simulated model portfolio for Shell Asset Management Company tracks a Year-to-Date (YTD) return of +15.7%. This metric helps investors gauge the institution's effectiveness in the current market environment.
Does Kenan Yildirim manage Shell Asset Management Company directly?
Yes, Kenan Yildirim serves as the key portfolio manager for Shell Asset Management Company, overseeing the investment strategy and final capital allocation decisions.