Williamson Legacy 13F annual report

Williamson Legacy is an investment fund managing more than $134 billion ran by Kevin Kim. There are currently 89 companies in Mr. Kim’s portfolio. The largest investments include Eli Lilly & Co and NVIDIA Corp, together worth $43.1 billion.

Limited to 30 biggest holdings

$134 billion Assets Under Management (AUM)

As of 7th August 2024, Williamson Legacy’s top holding is 42,980 shares of Eli Lilly & Co currently worth over $38.9 billion and making up 28.9% of the portfolio value. In addition, the fund holds 33,791 shares of NVIDIA Corp worth $4.17 billion, whose value fell 84.3% in the past six months. The third-largest holding is Alphabet Inc Voting Cap Stk Cl A worth $3.82 billion and the next is Microsoft worth $3.52 billion, with 7,886 shares owned.

Currently, Williamson Legacy's portfolio is worth at least $134 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 Williamson Legacy

The Williamson Legacy office and employees reside in Carmel, Indiana. According to the last 13-F report filed with the SEC, Kevin Kim serves as the Compliance Consultant at Williamson Legacy.

Recent trades

In the most recent 13F filing, Williamson Legacy revealed that it had opened a new position in General Motors and bought 23,562 shares worth $1.09 billion. This means they effectively own approximately 0.1% of the company. General Motors makes up 23.1% of the fund's Consumer Discretionary sector allocation and has grown its share price by 27.1% in the past year.

The investment fund also strengthened its position in Eli Lilly & Co by buying 101 additional shares. This makes their stake in Eli Lilly & Co total 42,980 shares worth $38.9 billion.

On the other hand, there are companies that Williamson Legacy is getting rid of from its portfolio. Williamson Legacy closed its position in Uber Technologies Inc on 14th August 2024. It sold the previously owned 35,308 shares for $2.72 billion. Kevin Kim also disclosed a decreased stake in Crowdstrike Inc by approximately 0.1%. This leaves the value of the investment at $2.99 billion and 7,804 shares.

One of the smallest hedge funds

The two most similar investment funds to Williamson Legacy are Slocum, Gordon & Co LL.P. and Gordian Capital Singapore Pte Ltd. They manage $134 billion and $135 billion respectively.


Kevin Kim investment strategy

Williamson Legacy’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Technology — making up 20.7% of the total portfolio value. The fund focuses on investments in the United States as 53.9% 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 39% of the total holdings value. On the other hand, small-cap stocks make up only 1.1% of the portfolio. The average market cap of the portfolio companies is close to $127 billion.

The complete list of Williamson Legacy trades based on 13F SEC filings

These positions were updated on August 14th 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
Eli Lilly & Co
0.24%
42,980
$38,913,578,000 28.95%
NVIDIA Corp
894.73%
33,791
$4,174,549,000 3.11%
Alphabet Inc Voting Cap Stk Cl A
0.32%
20,978
$3,821,147,000 2.84%
Microsoft Corporation
0.96%
7,886
$3,524,493,000 2.62%
Crowdstrike Holdings Inc
0.06%
7,804
$2,990,415,000 2.22%
Uber Technologies Inc
Closed
35,308
$2,718,363,000
Broadcom Inc
21.26%
1,563
$2,509,443,000 1.87%
Vertiv Holdings Co
16.40%
28,457
$2,463,522,000 1.83%
Meta Platforms Inc
0.04%
4,717
$2,378,409,000 1.77%
Amazon.com Inc.
2.16%
12,239
$2,365,187,000 1.76%
Ingersoll Rand Inc.
2.17%
23,877
$2,168,987,000 1.61%
Visa Inc
Closed
7,675
$2,142,067,000
Applied Materials Inc.
29.41%
8,423
$1,987,756,000 1.48%
FTAI Aviation Ltd
1.24%
19,163
$1,978,196,000 1.47%
NRG Energy Inc.
2.18%
25,398
$1,977,488,000 1.47%
Bellring Distribution
1.10%
34,587
$1,976,301,000 1.47%
Mckesson Corporation
1.24%
3,353
$1,958,287,000 1.46%
Ares Management Corp
0.69%
14,485
$1,930,592,000 1.44%
Salesforce Inc
Closed
6,162
$1,855,871,000
Palo Alto Networks Inc
Closed
5,545
$1,575,501,000
Sap Se-sponsored Adr
103.19%
7,705
$1,554,205,000 1.16%
Linde Plc.
2.06%
3,472
$1,523,548,000 1.13%
Roper Technologies Inc
Closed
2,642
$1,481,739,000
Arthur J Gallagher Co
Closed
5,672
$1,418,227,000
Micron Technology Inc.
4.80%
10,337
$1,359,626,000 1.01%
TechnipFMC plc
2.57%
51,324
$1,342,129,000 1.00%
ITT Inc
0.06%
10,144
$1,310,402,000 0.97%
Synopsys, Inc.
30.24%
2,173
$1,293,065,000 0.96%
Adobe Systems Inc
Closed
2,557
$1,290,262,000
Apollo Global Mgmt Inc New
8.36%
9,726
$1,148,362,000 0.85%
PTC Inc
0.31%
6,102
$1,108,550,000 0.82%
Amern Eagle Outfitters Inc New
Closed
42,814
$1,104,173,000
General Motors Company
Opened
23,562
$1,094,699,000 0.81%
Enovix Corp
Opened
70,167
$1,084,782,000 0.81%
Vertex Pharmaceuticals, Inc.
Closed
2,576
$1,076,794,000
Corebridge Financial Inc
1.76%
36,822
$1,072,253,000 0.80%
Weatherford Intl Plc Ord Shs New
2.90%
8,692
$1,064,335,000 0.79%
Sea Ltd Unspon Adr
Opened
14,874
$1,062,301,000 0.79%
ServiceNow Inc
62.29%
1,339
$1,053,351,000 0.78%
Vistra Corp
44.59%
12,239
$1,052,316,000 0.78%
Aercap Hldgs Nv
Opened
11,220
$1,045,704,000 0.78%
Elf Beauty Inc
14.20%
4,947
$1,042,432,000 0.78%
Republic Svcs Inc
0.63%
5,277
$1,025,532,000 0.76%
American Intl Group Inc
23.19%
13,794
$1,024,096,000 0.76%
Healthequity Inc
Closed
12,485
$1,019,151,000
Disney Walt Company
Closed
8,223
$1,006,166,000
nVent Electric plc
14.16%
13,019
$997,386,000 0.74%
Western Digital Corp.
Opened
12,967
$982,510,000 0.73%
Jacobs Solutions Inc
Closed
6,290
$966,962,000
Zscaler Inc
Closed
4,979
$959,105,000
Cadence Design Systems, Inc.
15.97%
3,094
$952,179,000 0.71%
Costco Whsl Corp New Com
0.45%
1,115
$947,739,000 0.71%
Barrick Gold Corp.
Opened
56,160
$936,751,000 0.70%
Royal Caribbean Cruises Ltd Norway
Opened
5,831
$929,636,000 0.69%
Ferguson Plc New
Closed
4,250
$928,328,000
Digitalbridge Group Inc Cl A New
Closed
47,608
$917,406,000
Freshpet Inc
2.09%
6,873
$889,297,000 0.66%
Guardant Health Inc
Opened
30,750
$888,060,000 0.66%
Mastercard Incorporated
46.96%
2,009
$886,290,000 0.66%
Flowserve Corp.
12.41%
18,403
$885,184,000 0.66%
Spotify Technology S.A.
Opened
2,816
$883,633,000 0.66%
Okta Inc
Closed
8,314
$869,811,000
Biogen Inc
Opened
3,735
$865,848,000 0.64%
Tjx Cos Inc New
Closed
8,524
$864,504,000
Delta Air Lines, Inc.
Opened
18,166
$861,795,000 0.64%
Ross Stores Inc (calif)
Opened
5,921
$860,440,000 0.64%
Mr Cooper Grp Inc
12.51%
10,255
$833,014,000 0.62%
GE Aerospace
Opened
5,217
$829,346,000 0.62%
Lantheus Holdings Inc
Opened
10,314
$828,111,000 0.62%
Marvell Technology Inc
Opened
11,328
$791,827,000 0.59%
Natera Inc
Opened
7,139
$773,082,000 0.58%
Omnicom Group, Inc.
Opened
8,569
$768,639,000 0.57%
Jpmorgan Chase Co
18.90%
3,655
$739,260,000 0.55%
Insulet Corporation
Opened
3,631
$732,736,000 0.55%
Deckers Outdoor Corp.
2.16%
756
$731,770,000 0.54%
Applovin Corp Cl A
Opened
8,781
$730,755,000 0.54%
First Solar Inc
Opened
3,128
$705,239,000 0.52%
Teva Pharmaceutical Adr Inds Ltd
Opened
43,353
$704,486,000 0.52%
Medtronic Plc
Closed
8,072
$703,475,000
Axcelis Techs Inc New
Opened
4,804
$683,081,000 0.51%
Applied Indl Tech Inc
5.92%
3,452
$669,688,000 0.50%
Unitedhealth Group Inc
Closed
1,351
$668,340,000
Cheniere Energy Inc.
Opened
3,802
$664,704,000 0.49%
Frontier Communications Parent Inc
Opened
24,626
$644,709,000 0.48%
Coterra Enercoterra Energy Inc
Opened
23,667
$631,199,000 0.47%
Fiserv, Inc.
Opened
4,074
$607,189,000 0.45%
Kirby Corp.
Opened
5,058
$605,594,000 0.45%
Procter Gamble Co
0.14%
3,667
$604,733,000 0.45%
AECOM
Closed
6,110
$599,269,000
Aptargroup Inc.
Opened
4,216
$593,655,000 0.44%
Encompass Health Corp
Opened
6,679
$572,991,000 0.43%
Berkley W R Corporation
66.86%
7,038
$553,046,000 0.41%
Amdocs Ltd
Closed
5,975
$539,961,000
Alaska Air Group Inc.
Opened
13,352
$539,421,000 0.40%
Block Inc
Closed
6,364
$538,267,000
Apple Inc
3.87%
2,550
$537,081,000 0.40%
MetLife, Inc.
Opened
7,418
$520,669,000 0.39%
Walmart Inc
5.36%
7,526
$509,585,000 0.38%
Cardinal Health, Inc.
Closed
4,485
$501,872,000
Leidos Holdings Inc
Opened
3,182
$464,198,000 0.35%
Copa Holdings Sa Cl A
Closed
4,263
$444,034,000
Vanguard Growth Etf
Opened
1,186
$443,576,000 0.33%
Symbotic Inc Cl A
Closed
9,194
$413,730,000
Vanguard Ftse Etf Developed Markets Etf
Opened
8,303
$410,334,000 0.31%
Incyte Corp.
Opened
6,767
$410,216,000 0.31%
Walgreens Boots Alliance Inc
Closed
18,405
$399,204,000
Invesco Tr Etf Sp 500 Equal Weight Technology
Opened
9,790
$358,901,000 0.27%
United Airlines Holdings Inc
Closed
7,370
$352,876,000
At T Inc
Closed
19,650
$345,835,000
Flex Ltd
Opened
11,085
$326,897,000 0.24%
Sempra Energy
1.69%
3,907
$297,166,000 0.22%
Shell Plc Adr Sponsored Repstg Ord Sh
64.82%
3,973
$286,771,000 0.21%
Vanguard Value Etf
Opened
1,767
$283,444,000 0.21%
Vulcan Materials Co
Closed
970
$264,732,000
Ishares Etf Sp 100
Opened
947
$250,299,000 0.19%
Vontier Corporation
69.58%
5,849
$223,432,000 0.17%
Axon Enterprise Inc
69.86%
735
$216,266,000 0.16%
WEX Inc
Closed
889
$211,164,000
Vanguard Total Stock Etf Market Etf
Opened
761
$203,575,000 0.15%
No transactions found
Showing first 500 out of 119 holdings