Btc Capital Management 13F annual report

Btc Capital Management is an investment fund managing more than $1.07 trillion ran by Paul Larsen. There are currently 180 companies in Mr. Larsen’s portfolio. The largest investments include Vanguard Bd Index Fds and Microsoft, together worth $97.8 billion.

$1.07 trillion Assets Under Management (AUM)

As of 12th July 2024, Btc Capital Management’s top holding is 694,335 shares of Vanguard Bd Index Fds currently worth over $50 billion and making up 4.7% of the portfolio value. In addition, the fund holds 106,966 shares of Microsoft worth $47.8 billion, whose value grew 10.5% in the past six months. The third-largest holding is Apple Inc worth $45.1 billion and the next is NVIDIA Corp worth $39 billion, with 315,350 shares owned.

Currently, Btc Capital Management's portfolio is worth at least $1.07 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Btc Capital Management

The Btc Capital Management office and employees reside in Des Moines, Iowa. According to the last 13-F report filed with the SEC, Paul Larsen serves as the Chief Compliance Officer at Btc Capital Management.

Recent trades

In the most recent 13F filing, Btc Capital Management revealed that it had opened a new position in Vertex Pharmaceuticals and bought 10,320 shares worth $4.84 billion. This means they effectively own approximately 0.1% of the company. Vertex Pharmaceuticals makes up 8.6% of the fund's Health Care sector allocation and has grown its share price by 36.1% in the past year.

The investment fund also strengthened its position in Vanguard Bd Index Fds by buying 128,936 additional shares. This makes their stake in Vanguard Bd Index Fds total 694,335 shares worth $50 billion.

On the other hand, there are companies that Btc Capital Management is getting rid of from its portfolio. Btc Capital Management closed its position in Bristol-Myers Squibb Co on 19th July 2024. It sold the previously owned 92,514 shares for $5.37 billion. Paul Larsen also disclosed a decreased stake in Apple Inc by approximately 0.1%. This leaves the value of the investment at $45.1 billion and 213,985 shares.

One of the average hedge funds

The two most similar investment funds to Btc Capital Management are A16z Perennial Management, L.P. and Cyndeo Wealth Partners. They manage $1.07 trillion and $1.07 trillion respectively.


Paul Larsen investment strategy

Btc Capital Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 21.0% of the total portfolio value. The fund focuses on investments in the United States as 54.4% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 44% of the total holdings value. On the other hand, small-cap stocks make up only 2.2% of the portfolio. The average market cap of the portfolio companies is close to $137 billion.

The complete list of Btc Capital Management trades based on 13F SEC filings

These positions were updated on July 19th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Vanguard Bd Index Fds
22.80%
694,335
$50,030,731,000 4.67%
Microsoft Corporation
0.90%
106,966
$47,808,476,000 4.46%
Apple Inc
5.51%
213,985
$45,069,522,000 4.21%
NVIDIA Corp
1,399.03%
315,350
$38,958,337,000 3.64%
Ishares Tr
13.42%
1,057,179
$168,575,384,000 15.74%
Alphabet Inc
6.14%
161,099
$29,344,203,000 2.74%
Amazon.com Inc.
13.79%
125,519
$24,256,611,000 2.26%
Broadcom Inc.
6.79%
14,076
$22,599,439,000 2.11%
Walmart Inc
185.05%
251,466
$17,026,779,000 1.59%
Jpmorgan Chase Co.
17.94%
83,574
$16,903,669,000 1.58%
Vanguard Index Fds
0.37%
164,209
$38,002,084,000 3.55%
Lam Research Corp.
3.48%
14,744
$15,700,157,000 1.47%
Meta Platforms Inc
0.06%
28,786
$14,514,488,000 1.36%
Exxon Mobil Corp.
142.47%
118,643
$13,658,063,000 1.28%
Vanguard Intl Equity Index F
10.13%
356,380
$16,950,671,000 1.58%
Johnson Johnson
6.02%
89,218
$13,040,109,000 1.22%
Procter And Gamble Co
1.14%
77,607
$12,798,949,000 1.20%
Crowdstrike Holdings Inc
17.92%
32,264
$12,363,252,000 1.15%
Abbvie Inc
5.27%
71,068
$12,189,589,000 1.14%
Mastercard Incorporated
7.16%
25,522
$11,259,287,000 1.05%
Chevron Corp.
6.71%
68,235
$10,673,334,000 1.00%
Steel Dynamics Inc.
2.97%
82,266
$10,653,576,000 0.99%
Morgan Stanley
2.23%
109,309
$10,623,742,000 0.99%
Pepsico Inc
3.59%
64,310
$10,606,648,000 0.99%
Adobe Inc
18.44%
19,003
$10,556,925,000 0.99%
Wells Fargo Co New
12.82%
175,762
$10,438,498,000 0.97%
Blackrock Inc.
6.20%
13,056
$10,279,280,000 0.96%
Oracle Corp.
798.26%
68,717
$9,702,838,000 0.91%
Merck Co Inc
5.43%
73,495
$9,098,684,000 0.85%
Intuit Inc
19.81%
13,802
$9,070,807,000 0.85%
Fastenal Co.
11.42%
144,132
$9,057,254,000 0.85%
Norfolk Southn Corp
1.63%
39,984
$8,584,156,000 0.80%
Deere Co
10.80%
22,856
$8,539,691,000 0.80%
Tjx Cos Inc New
31.23%
76,166
$8,385,901,000 0.78%
Fiserv, Inc.
5.76%
55,884
$8,328,936,000 0.78%
NextEra Energy Inc
0.79%
115,552
$8,182,247,000 0.76%
Unitedhealth Group Inc
5.78%
15,788
$8,040,198,000 0.75%
Prologis Inc
14.86%
71,152
$7,991,084,000 0.75%
Spdr Sp 500 Etf Tr
No change
14,627
$7,960,306,000 0.74%
Oreilly Automotive Inc
8.15%
7,475
$7,894,009,000 0.74%
Fedex Corp
19.77%
25,873
$7,757,756,000 0.72%
Thermo Fisher Scientific Inc.
3.89%
13,340
$7,377,020,000 0.69%
Marriott Intl Inc New
5.83%
30,010
$7,255,511,000 0.68%
Intercontinental Exchange In
0.63%
51,970
$7,114,168,000 0.66%
L3Harris Technologies Inc
13.40%
31,148
$6,995,219,000 0.65%
Lowes Cos Inc
32.25%
31,389
$6,920,032,000 0.65%
Eli Lilly Co
310.32%
7,554
$6,839,258,000 0.64%
Danaher Corp.
7.06%
26,471
$6,613,783,000 0.62%
Pulte Group Inc
1.86%
58,753
$6,468,731,000 0.60%
T-Mobile US Inc
8.37%
35,397
$6,236,253,000 0.58%
General Mtrs Co
21.62%
127,937
$5,943,953,000 0.55%
Xcel Energy Inc.
25.32%
109,061
$5,824,959,000 0.54%
Disney Walt Co
9.38%
57,613
$5,720,401,000 0.53%
Otis Worldwide Corporation
4.49%
57,777
$5,561,613,000 0.52%
Regions Financial Corp.
28.37%
276,529
$5,541,650,000 0.52%
Marathon Pete Corp
6.79%
31,935
$5,540,087,000 0.52%
Allstate Corp (The)
4.39%
33,911
$5,414,240,000 0.51%
Bristol-Myers Squibb Co.
Closed
92,514
$5,369,514,000
Axcelis Technologies Inc
Closed
32,604
$5,315,592,000
Sp Global Inc
8.09%
11,857
$5,288,222,000 0.49%
Gilead Sciences, Inc.
2.48%
75,519
$5,181,356,000 0.48%
Vertex Pharmaceuticals, Inc.
Opened
10,320
$4,837,181,000 0.45%
Ameriprise Finl Inc
20.22%
10,891
$4,652,523,000 0.43%
Valero Energy Corp.
28.81%
29,015
$4,548,392,000 0.42%
Pioneer Nat Res Co
Closed
19,610
$4,501,492,000
Home Depot, Inc.
24.37%
12,745
$4,387,336,000 0.41%
Cisco Sys Inc
49.78%
91,371
$4,341,041,000 0.41%
Emerson Elec Co
19.70%
38,583
$4,250,302,000 0.40%
Unum Group
3.37%
79,119
$4,043,765,000 0.38%
Nike, Inc.
49.54%
50,514
$3,807,253,000 0.36%
Honeywell International Inc
16.42%
16,209
$3,461,274,000 0.32%
Synchrony Financial
19.60%
73,237
$3,456,056,000 0.32%
Snap-on, Inc.
10.51%
12,791
$3,343,441,000 0.31%
Archer Daniels Midland Co.
Closed
41,529
$3,132,129,000
Medtronic Plc
7.86%
39,522
$3,110,773,000 0.29%
Vanguard Tax-managed Fds
13.85%
53,551
$2,646,490,000 0.25%
Entergy Corp.
10.38%
24,190
$2,588,330,000 0.24%
Microchip Technology, Inc.
0.27%
28,246
$2,584,527,000 0.24%
Equitable Holdings, Inc.
18.39%
62,735
$2,563,351,000 0.24%
Spdr Index Shs Fds
No change
89,586
$2,536,180,000 0.24%
FMC Corp.
Closed
34,389
$2,303,022,000
Vici Pptys Inc
Closed
78,782
$2,292,556,000
TotalEnergies SE
3.86%
32,344
$2,156,695,000 0.20%
Sumitomo Mitsui Finl Group I
19.60%
158,700
$2,128,167,000 0.20%
Verizon Communications Inc
15.31%
51,536
$2,125,340,000 0.20%
Comcast Corp New
73.65%
53,066
$2,078,068,000 0.19%
Invesco Exchange Traded Fd T
No change
12,000
$1,971,360,000 0.18%
Broadstone Net Lease, Inc.
26.03%
121,615
$1,930,030,000 0.18%
United Parcel Service, Inc.
5.92%
13,612
$1,862,804,000 0.17%
Dominion Energy Inc
14.74%
37,954
$1,859,746,000 0.17%
Invitation Homes Inc
54.45%
51,346
$1,842,810,000 0.17%
Berkshire Hathaway Inc.
19.07%
1,617
$2,493,298,000 0.23%
Unilever plc
2.66%
33,265
$1,829,243,000 0.17%
Target Corp
Closed
16,324
$1,804,943,000
Host Hotels Resorts Inc
Opened
94,171
$1,693,196,000 0.16%
Nexstar Media Group Inc
10.82%
10,001
$1,660,261,000 0.16%
Rio Tinto plc
11.49%
24,853
$1,638,557,000 0.15%
Orix Corporation
5.97%
14,062
$1,565,104,000 0.15%
Novo-nordisk A S
36.95%
10,545
$1,505,197,000 0.14%
ING Groep N.V.
No change
84,922
$1,455,563,000 0.14%
Turkcell Iletisim Hizmetleri
Opened
182,554
$1,383,758,000 0.13%
Shell Plc
5.66%
19,004
$1,371,712,000 0.13%
Citizens Finl Group Inc
37.10%
37,730
$1,359,412,000 0.13%
Eastman Chem Co
26.98%
13,588
$1,331,218,000 0.12%
Novartis AG
7.83%
12,481
$1,328,728,000 0.12%
AMGEN Inc.
Opened
4,222
$1,319,168,000 0.12%
Sanofi
29.34%
27,064
$1,313,148,000 0.12%
Honda Motor
9.33%
40,290
$1,298,949,000 0.12%
General Dynamics Corp.
Opened
4,338
$1,258,634,000 0.12%
Tesla Inc
71.33%
6,179
$1,222,702,000 0.11%
Sony Group Corp
9.57%
13,755
$1,168,486,000 0.11%
Intuitive Surgical Inc
21.63%
2,536
$1,128,140,000 0.11%
Applied Matls Inc
10.58%
4,554
$1,074,699,000 0.10%
Mitsubishi Ufj Finl Group In
2.35%
97,809
$1,056,336,000 0.10%
Asml Holding N V
39.53%
1,008
$1,030,912,000 0.10%
UBS Group AG
18.78%
34,820
$1,028,584,000 0.10%
Magna International Inc.
42.31%
22,907
$959,807,000 0.09%
Bank Ozk Little Rock Ark
18.55%
22,504
$922,664,000 0.09%
Stryker Corp.
14.25%
2,710
$922,082,000 0.09%
Progressive Corp.
8.24%
4,402
$914,340,000 0.09%
United Rentals, Inc.
1.30%
1,363
$881,495,000 0.08%
Check Point Software Tech Lt
0.63%
5,277
$870,705,000 0.08%
Bank America Corp
1.24%
20,248
$805,262,000 0.08%
ServiceNow Inc
14.16%
1,008
$792,964,000 0.07%
Uber Technologies Inc
23.34%
10,010
$727,526,000 0.07%
Janus Henderson Group plc
0.92%
21,215
$715,158,000 0.07%
Delta Air Lines, Inc.
4.17%
14,801
$702,160,000 0.07%
Chipotle Mexican Grill
4,251.18%
11,052
$692,414,000 0.06%
Emcor Group, Inc.
16.18%
1,870
$682,699,000 0.06%
NICE Ltd
3.38%
3,912
$672,743,000 0.06%
Southern Mo Bancorp Inc
43.05%
14,645
$659,172,000 0.06%
American Tower Corp.
36.49%
3,262
$634,067,000 0.06%
Warrior Met Coal Inc
6.40%
9,395
$589,727,000 0.06%
Ishares Silver Tr
No change
22,000
$584,540,000 0.05%
Equinix Inc
8.36%
765
$578,799,000 0.05%
Mueller Inds Inc
46.49%
9,907
$564,102,000 0.05%
Belden Inc
Closed
5,802
$560,185,000
Healthequity Inc
31.19%
6,457
$556,595,000 0.05%
Caci International Inc.
6.53%
1,257
$540,676,000 0.05%
Primerica Inc
2.27%
2,193
$518,823,000 0.05%
ANI Pharmaceuticals Inc
28.85%
8,110
$516,447,000 0.05%
Mcdonalds Corp
1.85%
1,961
$499,741,000 0.05%
Lantheus Holdings Inc
Closed
7,136
$495,809,000
Ansys Inc.
25.20%
1,540
$495,116,000 0.05%
Union Pac Corp
No change
2,164
$489,627,000 0.05%
Murphy USA Inc
Opened
1,006
$472,280,000 0.04%
Comfort Sys Usa Inc
31.10%
1,511
$459,524,000 0.04%
Corning, Inc.
Closed
14,956
$455,711,000
Bjs Whsl Club Hldgs Inc
Closed
6,340
$452,488,000
Block Inc
20.11%
7,006
$451,816,000 0.04%
CVR Energy Inc
12.31%
16,665
$446,124,000 0.04%
Zoetis Inc
92.73%
2,551
$442,243,000 0.04%
Westlake Corporation
1.61%
3,049
$441,558,000 0.04%
Viper Energy Inc
Closed
15,672
$436,937,000
Schlumberger Ltd.
15.85%
9,174
$432,835,000 0.04%
Progress Software Corp.
20.04%
7,967
$432,290,000 0.04%
ON Semiconductor Corp.
Closed
4,613
$428,780,000
Revvity Inc.
Closed
3,823
$423,207,000
Chemed Corp.
6.71%
778
$422,126,000 0.04%
H E Equipment Services Inc
11.30%
9,502
$419,704,000 0.04%
CVS Health Corp
92.54%
7,095
$419,034,000 0.04%
Live Nation Entertainment In
2.39%
4,421
$414,425,000 0.04%
Pinnacle Finl Partners Inc
0.82%
5,175
$414,207,000 0.04%
Builders Firstsource Inc
8.82%
2,899
$401,250,000 0.04%
Blackstone Inc
No change
3,180
$393,684,000 0.04%
Wingstop Inc
36.09%
912
$385,466,000 0.04%
Grand Canyon Ed Inc
2.36%
2,693
$376,776,000 0.04%
Visa Inc
Closed
1,599
$367,787,000
Ligand Pharmaceuticals, Inc.
2.67%
4,269
$359,705,000 0.03%
Super Micro Computer Inc
Opened
429
$351,501,000 0.03%
Stonex Group Inc
51.33%
4,552
$342,056,000 0.03%
Hancock Whitney Corp.
4.94%
7,047
$337,057,000 0.03%
Community Tr Bancorp Inc
3.75%
7,568
$330,420,000 0.03%
Performance Food Group Company
10.46%
4,855
$320,966,000 0.03%
Exelixis Inc
Opened
14,259
$320,401,000 0.03%
Levi Strauss Co New
0.10%
16,441
$316,982,000 0.03%
Home Bancshares Inc
5.93%
13,149
$315,051,000 0.03%
American Express Co.
2.03%
1,348
$312,129,000 0.03%
Taylor Morrison Home Corp.
8.31%
5,585
$309,632,000 0.03%
Oxford Inds Inc
7.57%
2,998
$300,253,000 0.03%
Teledyne Technologies Inc
92.43%
746
$289,440,000 0.03%
Rlj Lodging Tr
12.38%
29,980
$288,706,000 0.03%
Sanmina Corp
Closed
5,316
$288,550,000
Epr Pptys
9.80%
6,866
$288,237,000 0.03%
Cogent Communications Hldgs
20.01%
5,056
$285,361,000 0.03%
Wp Carey Inc
18.74%
5,068
$278,995,000 0.03%
Coca-Cola Co
2.48%
4,359
$277,451,000 0.03%
QuidelOrtho Corporation
Closed
3,766
$275,066,000
Lithia Mtrs Inc
Closed
922
$272,296,000
Moderna Inc
Closed
2,589
$267,418,000
Digital Rlty Tr Inc
Closed
2,182
$264,066,000
LGI Homes Inc
Closed
2,626
$261,259,000
Alaska Air Group Inc.
Closed
7,037
$260,930,000
Patrick Inds Inc
21.56%
2,401
$260,628,000 0.02%
Iron Mtn Inc Del
Closed
4,255
$252,960,000
Stag Indl Inc
Closed
7,251
$250,232,000
Centerspace
Closed
4,112
$247,789,000
BRT Apartments Corp
Closed
14,297
$246,911,000
Global Net Lease Inc
Closed
25,116
$241,365,000
TD Synnex Corp
Opened
2,077
$239,686,000 0.02%
Douglas Dynamics Inc
Closed
7,662
$231,238,000
PotlatchDeltic Corp
Closed
5,086
$230,854,000
Power Integrations Inc.
Closed
2,983
$227,634,000
Crown Castle Inc
Closed
2,403
$221,148,000
Bluelinx Hldgs Inc
10.08%
2,354
$219,133,000 0.02%
Southwest Gas Holdings Inc
Opened
3,104
$218,458,000 0.02%
Catalyst Pharmaceuticals Inc
Closed
18,639
$217,888,000
Air Prods Chems Inc
No change
825
$212,891,000 0.02%
Asbury Automotive Group Inc
Opened
932
$212,373,000 0.02%
Healthpeak Properties Inc.
Closed
11,539
$211,856,000
Alexandria Real Estate Eq In
Closed
2,111
$211,311,000
Spire Inc.
Opened
3,374
$204,900,000 0.02%
Highwoods Pptys Inc
Closed
9,918
$204,410,000
Verint Sys Inc
Closed
8,861
$203,711,000
Williams-Sonoma, Inc.
Closed
1,290
$200,464,000
Easterly Govt Pptys Inc
Closed
14,735
$168,421,000
Global Med Reit Inc
Closed
13,923
$124,889,000
Agnc Invt Corp
No change
12,000
$114,480,000 0.01%
New York Cmnty Bancorp Inc
No change
10,000
$32,200,000 0.00%
No transactions found
Showing first 500 out of 219 holdings