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Life Cycle Investment Partners Ltd

Life Cycle Investment Partners Ltd · Investor
AUM (13F)
$15.6B
# of Holdings
129
3Y performance ⓘ
vs S&P 500 ⓘ
Updated
Mar 31

Life Cycle Investment Partners Ltd's Life Cycle Investment Partners Ltd holds 129 U.S.-equity positions worth $15.6B (SEC 13F, Q1 2026). Top positions: NVIDIA CORP 7.3%, Alphabet Inc. Class A Common Stock 6.2%, Apple Inc. 5.8%.

Holdings

Stock% of portfolio SharesValue Latest activityAvg buy price Current priceDate
NVDA NVIDIA CORP 7.3% 6.6M $1.1B ▲ 23% (+1.2M) $186.50 $208.65 (+12%) 2026-03-31
GOOGL Alphabet Inc. Class A Common Stock 6.2% 3.4M $971M ▲ 21% (+594K) $313.00 $349.68 (+12%) 2026-03-31
AAPL Apple Inc. 5.8% 3.6M $906M ▲ 23% (+670K) $271.86 $297.01 (+9%) 2026-03-31
MSFT MICROSOFT CORP 5.3% 2.2M $828M ▲ 4.7% (+100K) $483.62 $367.34 (−24%) 2026-03-31
AMZN Amazon.Com Inc 4.0% 3.0M $626M ▲ 14% (+370K) $230.82 $232.79 (+1%) 2026-03-31
TSM Taiwan Semiconductor Manufac 3.6% 1.7M $562M ▲ 2.1% (+34K) $303.89 $467.67 (+54%) 2026-03-31
STLD Steel Dynamics Inc 3.1% 2.7M $485M ▼ 22% (−766K) $169.45 $250.98 (+48%) 2026-03-31
META Meta Platforms, Inc. Class A Common Stock 2.8% 776K $444M ▲ 25% (+157K) $660.09 $563.85 (−15%) 2026-03-31
V VISA Inc. 2.6% 1.4M $408M ▲ 5.0% (+64K) $350.71 $326.60 (−7%) 2026-03-31
DAL Delta Air Lines, Inc. 2.4% 5.6M $374M ▼ 17% (−1.2M) $69.40 $85.92 (+24%) 2026-03-31
AVGO Broadcom Inc. Common Stock 2.2% 1.1M $347M ▲ 20% (+188K) $346.10 $392.13 (+13%) 2026-03-31
HCA HCA Healthcare, Inc. 2.1% 694K $329M ▼ 13% (−107K) $466.86 $376.99 (−19%) 2026-03-31
CME CME Group Inc. 2.0% 1.1M $312M ▲ 32% (+259K) $273.08 $245.20 (−10%) 2026-03-31
PGR Progressive Corporation 2.0% 1.6M $307M $227.72 $207.38 (−9%) 2026-03-31
VLO Valero Energy Corporation 1.8% 1.1M $279M ▲ 293% (+843K) $162.79 $243.78 (+50%) 2026-03-31
DG Dollar General Corp. 1.7% 2.3M $268M ▼ 18% (−481K) $132.77 $112.46 (−15%) 2026-03-31
THO Thor Industries, Inc. 1.7% 3.3M $262M ▲ 32% (+786K) $102.67 $72.53 (−29%) 2026-03-31
GM General Motors Company 1.5% 3.2M $238M ▼ 16% (−613K) $81.32 $80.43 (−1%) 2026-03-31
ODFL Old Dominion Freight Line 1.4% 1.1M $216M ▼ 8.3% (−100K) $156.80 $219.52 (+40%) 2026-03-31
VRTX Vertex Pharmaceuticals Inc 1.2% 440K $197M ▲ 20% (+74K) $453.36 $466.79 (+3%) 2026-03-31
KNSL Kinsale Capital Group, Inc. 1.2% 564K $193M ▼ 3.9% (−23K) $391.12 $295.05 (−25%) 2026-03-31
NEM Newmont Corporation 1.2% 1.8M $190M ▲ 5.7% (+94K) $99.85 $101.80 (+2%) 2026-03-31
JPM JPMorgan Chase & Co. 1.1% 568K $167M ▲ 52% (+195K) $322.22 $331.48 (+3%) 2026-03-31
ANET Arista Networks 1.1% 1.4M $166M ▲ 7.6% (+96K) $131.03 $174.56 (+33%) 2026-03-31
BRK.B BERKSHIRE HATHAWAY Class B 1.0% 341K $164M ▲ 52% (+117K) $502.65 $488.69 (−3%) 2026-03-31
BKNG Booking Holdings Inc. Common Stock 1.0% 38K $161M ▼ 43% (−29K) $5,355.33 $167.77 (−97%) 2026-03-31
PLTR Palantir Technologies Inc. Class A Common Stock 1.0% 1.1M $160M ▲ 81% (+490K) $177.75 $119.50 (−33%) 2026-03-31
ABBV ABBVIE INC. 1.0% 723K $157M ▲ 50% (+242K) $228.49 $230.01 (+1%) 2026-03-31
NOC Northrop Grumman Corp. 1.0% 230K $157M ▲ 178% (+147K) $570.21 $507.33 (−11%) 2026-03-31
EOG EOG Resources, Inc. 1.0% 1.0M $151M NEW (+1.0M) $144.57 $132.83 (−8%) 2026-03-31
BAC Bank of America Corporation 0.8% 2.7M $130M ▲ 61% (+1.0M) $55.00 $57.37 (+4%) 2026-03-31
LLY Eli Lilly & Co. 0.8% 140K $128M ▲ 53% (+48K) $1,074.68 $1,102.08 (+3%) 2026-03-31
PEP PepsiCo, Inc. 0.8% 754K $117M ▲ 52% (+258K) $143.52 $140.71 (−2%) 2026-03-31
NFLX NetFlix Inc 0.7% 1.1M $110M ▲ 54% (+404K) $93.76 $72.88 (−22%) 2026-03-31
ADP Automatic Data Processing 0.7% 538K $109M ▲ 1.2% (+7K) $257.23 $214.60 (−17%) 2026-03-31
AMAT Applied Materials Inc 0.7% 313K $107M ▲ 31% (+74K) $256.99 $640.18 (+149%) 2026-03-31
WMT Walmart Inc. Common Stock 0.6% 812K $101M ▲ 122% (+446K) $111.41 $117.18 (+5%) 2026-03-31
SU Suncor Energy, Inc. 0.6% 1.4M $93M ▲ 118% (+763K) $44.44 $56.23 (+27%) 2026-03-31
ORCL Oracle Corp 0.6% 619K $91M ▲ 17% (+90K) $194.91 $175.07 (−10%) 2026-03-31
MCD McDonald's Corporation 0.6% 291K $90M ▲ 122% (+160K) $305.63 $270.10 (−12%) 2026-03-31
KMI Kinder Morgan, Inc. 0.5% 2.5M $85M ▲ 46% (+799K) $27.49 $32.25 (+17%) 2026-03-31
TMUS T-Mobile US, Inc. 0.5% 398K $84M ▲ 54% (+139K) $203.04 $180.06 (−11%) 2026-03-31
MS Morgan Stanley 0.5% 480K $79M ▲ 54% (+168K) $177.53 $227.09 (+28%) 2026-03-31
JNJ Johnson & Johnson 0.5% 315K $77M ▲ 52% (+107K) $206.95 $231.29 (+12%) 2026-03-31
TSLA Tesla, Inc. 0.5% 207K $77M ▲ 57% (+75K) $449.72 $405.05 (−10%) 2026-03-31
AME Ametek, Inc. 0.5% 348K $75M ▲ 52% (+119K) $205.31 $241.55 (+18%) 2026-03-31
PH Parker-Hannifin Corporation 0.5% 83K $74M ▲ 55% (+29K) $878.96 $962.14 (+9%) 2026-03-31
APH Amphenol Corporation 0.4% 543K $69M ▲ 168% (+340K) $135.14 $165.96 (+23%) 2026-03-31
SYK Stryker Corporation 0.4% 209K $69M ▲ 54% (+73K) $351.47 $304.69 (−13%) 2026-03-31
TSN Tyson Foods, Inc. 0.4% 1.0M $66M ▼ 63% (−1.8M) $58.62 $55.51 (−5%) 2026-03-31

Showing top 50 of 129 holdings by value.

Related
NVDA stockGOOGL stockAAPL stockMSFT stockAll hedge funds
FAQ

What are Life Cycle Investment Partners Ltd's largest holdings?

As of the latest 13F: NVIDIA CORP 7.3%, Alphabet Inc. Class A Common Stock 6.2%, Apple Inc. 5.8%, MICROSOFT CORP 5.3%, Amazon.Com Inc 4.0%.

How big is Life Cycle Investment Partners Ltd's 13F portfolio?

$15.6B across 129 disclosed U.S.-equity positions.

Where does this data come from?

U.S. SEC Form 13F-HR institutional holdings filings.

Sourced from SEC Form 13F-HR filings · Not investment advice
SEC EDGAR 13F
Data as of 2026-03-31 · Methodology
13F-replication (price return, filing-date based) — not an audited fund return.
Published by WealthFile · Not investment advice.

Latest activity = change vs. the prior 13F. Avg buy price = est. entry over the trailing 3 years (gain = vs. latest price). Returns are 13F-replication, not audited fund returns. Sourced from SEC 13F filings.