Portfolio Design Labs 13F annual report

Portfolio Design Labs is an investment fund managing more than $324 billion ran by Christy Clarin. There are currently 100 companies in Mrs. Clarin’s portfolio. The largest investments include NVIDIA Corp and Microsoft, together worth $37.9 billion.

$324 billion Assets Under Management (AUM)

As of 6th August 2024, Portfolio Design Labs’s top holding is 155,724 shares of NVIDIA Corp currently worth over $19.2 billion and making up 5.9% of the portfolio value. Relative to the number of outstanding shares of NVIDIA Corp, Portfolio Design Labs owns more than approximately 0.1% of the company. In addition, the fund holds 41,738 shares of Microsoft worth $18.7 billion, whose value grew 0.1% in the past six months. The third-largest holding is Apple Inc worth $18 billion and the next is Alphabet Inc worth $11.8 billion, with 64,386 shares owned.

Currently, Portfolio Design Labs's portfolio is worth at least $324 billion. 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 Portfolio Design Labs

The Portfolio Design Labs office and employees reside in Encino, California. According to the last 13-F report filed with the SEC, Christy Clarin serves as the Chief of Staff at Portfolio Design Labs.

Recent trades

In the most recent 13F filing, Portfolio Design Labs revealed that it had opened a new position in Proshares Tr and bought 104,842 shares worth $8.66 billion.

The investment fund also strengthened its position in NVIDIA Corp by buying 139,739 additional shares. This makes their stake in NVIDIA Corp total 155,724 shares worth $19.2 billion. NVIDIA Corp dropped approximately 0.1% in the past year.

On the other hand, there are companies that Portfolio Design Labs is getting rid of from its portfolio. Portfolio Design Labs closed its position in Johnson Johnson on 13th August 2024. It sold the previously owned 37,843 shares for $5.93 billion. Christy Clarin also disclosed a decreased stake in Alphabet Inc by approximately 0.1%. This leaves the value of the investment at $11.8 billion and 64,386 shares.

One of the smaller hedge funds

The two most similar investment funds to Portfolio Design Labs are Cyrus Capital Partners, L.P. and Equius Partners. They manage $324 billion and $324 billion respectively.


Christy Clarin investment strategy

Portfolio Design Labs’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Technology — making up 28.9% of the total portfolio value. The fund focuses on investments in the United States as 59.0% 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 61% of the total holdings value. On the other hand, small-cap stocks make up only 1.0% of the portfolio. The average market cap of the portfolio companies is close to $201 billion.

The complete list of Portfolio Design Labs trades based on 13F SEC filings

These positions were updated on August 13th 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
NVIDIA Corp
874.19%
155,724
$19,238,143,000 5.94%
Microsoft Corporation
13.36%
41,738
$18,654,686,000 5.76%
Apple Inc
21.49%
85,607
$18,030,516,000 5.57%
Alphabet Inc
1.80%
64,386
$11,807,690,000 3.65%
Amazon.com Inc.
12.39%
55,684
$10,760,933,000 3.32%
Meta Platforms Inc
2.78%
17,342
$8,744,183,000 2.70%
Proshares Tr
Opened
104,842
$8,659,949,000 2.67%
Exxon Mobil Corp.
318.68%
60,734
$6,991,698,000 2.16%
Eli Lilly Co
12.02%
7,481
$6,773,148,000 2.09%
Johnson Johnson
Closed
37,843
$5,931,540,000
T-Mobile US Inc
133.32%
33,610
$5,921,431,000 1.83%
Broadcom Inc
21.38%
3,434
$5,513,390,000 1.70%
Ishares Tr
66.66%
108,176
$5,480,196,000 1.69%
Tesla Inc
Closed
20,223
$5,025,011,000
Amphenol Corp.
17.54%
74,472
$5,017,179,000 1.55%
Procter And Gamble Co
22.71%
27,827
$4,589,229,000 1.42%
Mastercard Incorporated
34.20%
10,340
$4,561,594,000 1.41%
Unitedhealth Group Inc
6.24%
8,926
$4,545,794,000 1.40%
Hartford Finl Svcs Group Inc
Closed
52,899
$4,252,022,000
Bank America Corp
35.76%
106,680
$4,242,664,000 1.31%
Merck Co Inc
215.25%
33,584
$4,157,699,000 1.28%
Northern Lights Fund Trust
Closed
42,750
$4,148,460,000
Ishares U S Etf Tr
57.22%
81,455
$4,084,968,000 1.26%
Netflix Inc.
707.78%
5,921
$3,995,964,000 1.23%
Genuine Parts Co.
Closed
28,072
$3,887,972,000
Fedex Corp
Opened
12,710
$3,810,966,000 1.18%
Intuit Inc
80.57%
5,594
$3,676,433,000 1.14%
Analog Devices Inc.
1,369.00%
15,968
$3,644,856,000 1.13%
Visa Inc
67.78%
13,538
$3,553,319,000 1.10%
Gallagher Arthur J Co
20.80%
13,385
$3,470,864,000 1.07%
PTC Inc
23.65%
18,834
$3,421,573,000 1.06%
Roper Technologies Inc
183.95%
5,909
$3,330,667,000 1.03%
Teledyne Technologies Inc
Opened
8,512
$3,302,486,000 1.02%
Sempra
Opened
43,408
$3,301,612,000 1.02%
Tractor Supply Co.
Opened
12,213
$3,297,510,000 1.02%
Dow Inc
Opened
61,913
$3,284,485,000 1.01%
Mondelez International Inc.
108.80%
49,912
$3,266,241,000 1.01%
Tjx Cos Inc New
Opened
29,608
$3,259,841,000 1.01%
Textron Inc.
Closed
39,042
$3,139,758,000
L3Harris Technologies Inc
Opened
13,978
$3,139,179,000 0.97%
Mcdonalds Corp
118.47%
12,245
$3,120,552,000 0.96%
Abbvie Inc
210.96%
17,874
$3,065,748,000 0.95%
Ametek Inc
108.63%
18,251
$3,042,624,000 0.94%
Texas Instrs Inc
Closed
17,756
$3,026,688,000
Fox Corporation
Closed
104,199
$2,881,102,000
Adobe Inc
34.16%
5,177
$2,876,031,000 0.89%
Spdr Ser Tr
1.66%
31,269
$2,869,869,000 0.89%
Accenture Plc Ireland
133.94%
9,435
$2,862,673,000 0.88%
Salesforce Inc
Opened
10,840
$2,786,964,000 0.86%
Coca-Cola Co
18.81%
43,194
$2,749,298,000 0.85%
Zoetis Inc
Opened
15,710
$2,723,486,000 0.84%
United Parcel Service, Inc.
Closed
17,171
$2,699,796,000
Darden Restaurants, Inc.
137.28%
17,836
$2,698,944,000 0.83%
Thermo Fisher Scientific Inc.
Opened
4,878
$2,697,534,000 0.83%
Advanced Micro Devices Inc.
411.08%
16,605
$2,693,497,000 0.83%
General Electric Co
213.23%
16,899
$2,686,434,000 0.83%
Dover Corp.
Opened
14,736
$2,659,111,000 0.82%
Equity Residential
36.39%
37,970
$2,632,840,000 0.81%
Cboe Global Mkts Inc
Opened
15,435
$2,624,876,000 0.81%
Elevance Health Inc
Opened
4,832
$2,618,268,000 0.81%
Fiserv, Inc.
Opened
17,262
$2,572,728,000 0.79%
Atmos Energy Corp.
28.17%
21,854
$2,549,269,000 0.79%
Philip Morris International Inc
Opened
25,061
$2,539,431,000 0.78%
Diamondback Energy Inc
25.85%
12,624
$2,527,199,000 0.78%
Halliburton Co.
Closed
69,813
$2,523,740,000
Church Dwight Co Inc
Opened
24,174
$2,506,360,000 0.77%
Abbott Labs
Opened
23,223
$2,413,102,000 0.75%
Cigna Group (The)
Closed
8,033
$2,405,482,000
Wells Fargo Co New
Opened
39,886
$2,368,830,000 0.73%
Oreilly Automotive Inc
Opened
2,196
$2,319,108,000 0.72%
Automatic Data Processing In
Opened
9,380
$2,238,912,000 0.69%
Realty Income Corp.
Closed
38,798
$2,227,781,000
Vici Pptys Inc
Opened
77,462
$2,218,512,000 0.69%
TE Connectivity Ltd
Opened
14,509
$2,182,589,000 0.67%
Vulcan Matls Co
16.22%
8,736
$2,172,468,000 0.67%
Mckesson Corporation
Opened
3,670
$2,143,427,000 0.66%
Lear Corp.
Opened
18,624
$2,127,047,000 0.66%
Synchrony Financial
Opened
44,499
$2,099,908,000 0.65%
Jpmorgan Chase Co
12.41%
10,217
$2,066,490,000 0.64%
CSX Corp.
Opened
61,755
$2,065,705,000 0.64%
Conocophillips
Opened
17,761
$2,031,503,000 0.63%
Fidelity Natl Information Sv
Opened
26,419
$1,990,936,000 0.61%
Kroger Co.
Opened
39,191
$1,956,807,000 0.60%
Chubb Limited
Opened
7,603
$1,939,373,000 0.60%
Union Pac Corp
Opened
8,527
$1,929,319,000 0.60%
General Dynamics Corp.
3.36%
6,415
$1,861,248,000 0.57%
Packaging Corp Amer
Opened
9,993
$1,824,322,000 0.56%
Comcast Corp New
Opened
44,345
$1,736,550,000 0.54%
Martin Marietta Matls Inc
Closed
3,235
$1,613,974,000
Stellantis N.V
Opened
76,565
$1,519,815,000 0.47%
Cisco Sys Inc
Closed
29,460
$1,488,319,000
International Business Machs
Closed
9,095
$1,487,487,000
Skyworks Solutions, Inc.
Closed
13,064
$1,468,655,000
CVS Health Corp
Opened
24,731
$1,460,613,000 0.45%
Capital One Finl Corp
No change
9,655
$1,336,735,000 0.41%
Hunt J B Trans Svcs Inc
Closed
6,554
$1,309,096,000
Hewlett Packard Enterprise C
Closed
68,099
$1,156,321,000
Intercontinental Exchange In
8.06%
8,194
$1,121,677,000 0.35%
Keysight Technologies Inc
Closed
6,336
$1,007,994,000
Vertex Pharmaceuticals, Inc.
79.32%
2,053
$962,282,000 0.30%
Devon Energy Corp.
Closed
20,576
$932,093,000
Campbell Soup Co.
Closed
20,845
$901,129,000
Laboratory Corp Amer Hldgs
Closed
3,834
$871,430,000
Expeditors Intl Wash Inc
Closed
6,430
$817,896,000
Starbucks Corp.
Closed
7,598
$729,462,000
Pepsico Inc
Closed
3,845
$653,035,000
Autozone Inc.
48.94%
217
$643,210,000 0.20%
Cadence Design System Inc
Closed
2,303
$627,268,000
Becton Dickinson Co
Closed
2,517
$613,720,000
Synopsys, Inc.
Closed
1,168
$601,415,000
CME Group Inc
Closed
2,816
$593,050,000
Smucker J M Co
Closed
4,663
$589,310,000
Lockheed Martin Corp.
Closed
1,275
$577,881,000
Hershey Company
Closed
3,004
$560,066,000
Nike, Inc.
Closed
5,035
$546,650,000
Oracle Corp.
Closed
4,900
$516,607,000
Linde Plc.
75.73%
1,121
$491,906,000 0.15%
Colgate-Palmolive Co.
Closed
5,936
$473,159,000
Blackrock Inc.
Opened
586
$461,370,000 0.14%
Paychex Inc.
Closed
3,845
$457,978,000
News Corp
13.47%
16,018
$454,751,000 0.14%
Progressive Corp.
26.46%
1,946
$404,204,000 0.12%
Marsh Mclennan Cos Inc
68.04%
1,897
$399,736,000 0.12%
Fastenal Co.
Closed
5,316
$344,317,000
Walmart Inc
52.27%
4,675
$316,544,000 0.10%
Gilead Sciences, Inc.
Closed
3,660
$296,497,000
Regeneron Pharmaceuticals, Inc.
46.92%
276
$290,084,000 0.09%
Resmed Inc.
Closed
1,651
$284,005,000
Marathon Pete Corp
Closed
1,870
$277,433,000
Loews Corp.
44.19%
3,666
$273,997,000 0.08%
AMGEN Inc.
Closed
943
$271,603,000
Cintas Corporation
Closed
449
$270,594,000
Intuitive Surgical Inc
69.97%
607
$270,024,000 0.08%
Huntington Bancshares, Inc.
No change
19,840
$261,491,000 0.08%
Berkshire Hathaway Inc.
33.02%
641
$260,759,000 0.08%
Old Dominion Freight Line In
14.54%
1,440
$254,304,000 0.08%
Cognizant Technology Solutio
Closed
3,323
$250,986,000
PPL Corp
Closed
9,249
$250,648,000
Waste Mgmt Inc Del
51.33%
1,171
$249,821,000 0.08%
Lam Research Corp.
Closed
308
$241,244,000
Hormel Foods Corp.
Closed
7,421
$238,288,000
Motorola Solutions Inc
32.44%
583
$225,067,000 0.07%
Wabtec
96.61%
1,402
$221,586,000 0.07%
Delta Air Lines, Inc.
42.49%
4,476
$212,341,000 0.07%
Costco Whsl Corp New
Opened
240
$203,998,000 0.06%
Northrop Grumman Corp.
33.00%
463
$201,845,000 0.06%
No transactions found
Showing first 500 out of 146 holdings