Livforsakringsbolaget Skandia Omsesidigt has substantially grown its stake in Nutanix, snapping up 2,097 more shares in the second quarter. The move represented a 116.5% increase, according to a recent filing with the SEC, bringing the insurer’s total holdings to 3,897 shares.
Livforsakringsbolaget Skandia Omsesidigt Buys 2,097 Shares of Nutanix $NTNX

Key Takeaways:
- Livforsakringsbolaget Skandia Omsesidigt expanded its Nutanix position by 116.5%.
- The insurer purchased 2,097 additional shares in the second quarter.
- A second-quarter 13F filing with the SEC provided these details.
- The total Nutanix shares held by Skandia Omsesidigt now stands at 3,897.
- Nutanix trades on NASDAQ under the ticker symbol NTNX.
A Significant Boost in Shares
Livforsakringsbolaget Skandia Omsesidigt, a Swedish insurance provider, has markedly increased its holdings in Nutanix, a technology company listed on the NASDAQ under the symbol NTNX. According to its latest 13F filing with the Securities and Exchange Commission (SEC), Skandia Omsesidigt boosted its stake by an impressive 116.5% during the second quarter of this year.
Second-Quarter SEC Filing
SEC Form 13F filings are quarterly reports that institutional investment managers must submit to disclose their holdings. Skandia Omsesidigt’s latest filing highlighted a notable surge in the firm’s investment in Nutanix, shedding light on a significant strategic move in its portfolio.
What the Numbers Show
Before this increase, Skandia Omsesidigt held fewer Nutanix shares. Over the course of the second quarter, it purchased an additional 2,097 shares, lifting its total to 3,897. This purchase underscores the company’s growing confidence in Nutanix’s prospects and positions it as a rising stakeholder in the technology marketplace.
Looking Ahead
While the specifics of Skandia Omsesidigt’s broader investment strategy remain unclear, such a substantial increase in holdings offers a glimpse into its view of Nutanix’s potential. Observers and investors often track these kinds of filings to gauge market sentiment and monitor how institutional funds adjust their portfolios in the rapidly evolving tech sector.