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Vantage Investment Partners, LLC

4900 MAIN STREET SUITE 800, KANSAS CITY, MO 64112 • 816-569-1373

Q1 2026 · Filed 2026-05-01
Market Value
$1.4B
-3.4%
Holdings
65
+4
New Purchases
4
Added To
10
Closed
2
Reduced
37
Top 10 Concentration
43.3%
Turnover
9.2%

Top Buys (by % of Portfolio)

SymbolCur %Prior %Chg %Value
BKNG 2.41% 0.00% +2.41% $34M
UBER 2.34% 0.00% +2.34% $33M
TSM 3.09% 1.12% +1.96% $43M
ETN 1.11% 0.00% +1.11% $16M
NOC 3.73% 3.02% +0.72% $52M
WSO 4.47% 3.87% +0.60% $63M
FANG 1.32% 0.97% +0.35% $19M
LMT 1.17% 0.91% +0.26% $16M
EQT 4.22% 3.98% +0.24% $59M
CAT 1.52% 1.31% +0.21% $21M
FAST 1.19% 0.99% +0.19% $17M
NEE 1.15% 0.96% +0.19% $16M
MSFT 3.97% 3.79% +0.17% $55M
SCCO 1.41% 1.26% +0.15% $20M
BRK-B 2.62% 2.48% +0.14% $37M

Top Sells (by % of Portfolio)

SymbolCur %Prior %Chg %Value
NVO 0.00% 1.93% -1.93% $0
NKE 0.73% 2.56% -1.83% $10M
UNH 5.82% 7.03% -1.20% $82M
HEI 0.60% 1.60% -1.00% $8M
TROW 0.00% 0.91% -0.91% $0
CMG 2.49% 3.37% -0.88% $35M
LLY 3.15% 3.84% -0.70% $44M
ASML 3.28% 3.91% -0.64% $46M
GOOG 7.53% 7.99% -0.46% $105M
IDXX 2.17% 2.53% -0.36% $30M
WAB 3.66% 3.94% -0.28% $51M
AMZN 3.01% 3.23% -0.22% $42M
SNOW 0.40% 0.56% -0.16% $6M
PAYX 0.70% 0.82% -0.12% $10M
NVDA 3.48% 3.60% -0.12% $49M

Sector Allocation Over Time

Industry Breakdown

IndustryWeight
Technology 23.3%
Industrials 20.7%
Consumer Cyclical 14.7%
Healthcare 12.5%
Communication Services 11.3%

Market Cap Concentration

TierHoldingsValueWeight
Mega Cap 24 $748M 53.4%
Large Cap 38 $650M 46.4%
Mid Cap 3 $2M 0.2%

Portfolio Analytics

Avg Market Cap
$648.6B
Median Market Cap
$124.8B
Avg P/E
34.7
Median P/E
29.4
Avg Dividend Yield
0.01%
Avg Beta
0.98
# Stocks
55
# ETFs / Funds
10

Top Holdings (65 total)

# Symbol % Port Shares Value Avg Price Q/Q Value Chg Share Chg Chg % Status
1 GOOG 7.53% 367,423 $105M $286.86 -$10M -1,325 -0.4%
2 UNH 5.82% 301,247 $82M $270.59 -$20M -7,016 -2.3%
3 WSO 4.47% 171,864 $63M $363.79 $7M +5,692 +3.4%
4 EQT 4.22% 927,041 $59M $63.64 $1M -148,592 -13.8%
5 MSFT 3.97% 149,923 $55M $370.17 $539K +36,285 +31.9%
6 NOC 3.73% 76,583 $52M $682.24 $9M -60 -0.1%
7 WAB 3.66% 205,095 $51M $249.91 -$6M -62,478 -23.4%
8 NVDA 3.48% 279,444 $49M $174.40 -$3M -180 -0.1%
9 ASML 3.28% 34,704 $46M $1,320.83 -$11M -18,267 -34.5%
10 LLY 3.15% 47,894 $44M $919.77 -$12M -3,921 -7.6%
11 TSM 3.09% 127,778 $43M $337.95 $27M +74,198 +138.5%
12 AAPL 3.08% 169,652 $43M $253.79 -$3M -292 -0.2%
13 AMZN 3.01% 202,274 $42M $208.27 -$5M -204 -0.1%
14 ORLY 2.84% 430,326 $40M $92.31 $465K -92 -0.0%
15 META 2.81% 68,620 $39M $572.13 -$3M +5,171 +8.2%
16 BRK-B 2.62% 76,620 $37M $479.20 $747K +5,061 +7.1%
17 CMG 2.49% 1,090,413 $35M $32.01 -$14M -229,772 -17.4%
18 BKNG 2.41% 7,997 $34M $4,210.32 +7,997 NEW
19 UBER 2.34% 454,876 $33M $71.93 +454,876 NEW
20 IDXX 2.17% 54,067 $30M $561.89 -$6M -35 -0.1%
21 CAT 1.52% 29,952 $21M $708.46 $2M -3,111 -9.4%
22 SCCO 1.41% 114,984 $20M $172.06 $2M -12,124 -9.5%
23 RTX 1.36% 98,458 $19M $192.90 -$517K -7,919 -7.4%
24 CSCO 1.33% 240,269 $19M $77.59 $112K -292 -0.1%
25 FANG 1.32% 93,564 $19M $197.79 $4M
26 TM 1.26% 85,781 $18M $206.09 -$684K
27 JPM 1.22% 58,074 $17M $294.16 -$2M -109 -0.2%
28 AVGO 1.20% 54,464 $17M $309.51 -$2M -120 -0.2%
29 FAST 1.19% 357,596 $17M $46.40 $2M -405 -0.1%
30 LMT 1.17% 27,173 $16M $604.39 $3M -110 -0.4%
31 HEI-A 1.17% 77,261 $16M $211.09 -$11K +12,610 +19.5%
32 NEE 1.15% 173,412 $16M $92.88 $2M -144 -0.1%
33 ETN 1.11% 43,465 $16M $357.67 +43,465 NEW
34 MCD 1.04% 47,035 $15M $310.79 $214K -93 -0.2%
35 BX 1.04% 127,062 $15M $114.99 $506K +35,557 +38.9%
36 GOOGL 0.95% 46,341 $13M $287.56 -$1M
37 LOW 0.95% 56,030 $13M $236.28 -$302K -117 -0.2%
38 ZTS 0.85% 100,995 $12M $118.21 -$554K +1,703 +1.7%
39 AMT 0.85% 69,147 $12M $172.58 -$223K -91 -0.1%
40 NKE 0.73% 194,575 $10M $52.82 -$27M -388,248 -66.6%
41 PAYX 0.70% 106,021 $10M $92.12 -$2M -161 -0.1%
42 MPWR 0.68% 8,715 $10M $1,093.35 $377K -1,382 -13.7%
43 HEI 0.60% 30,551 $8M $274.20 -$15M -40,879 -57.2%
44 COST 0.59% 8,304 $8M $996.43 $1M -51 -0.6%
45 ISRG 0.54% 16,281 $8M $460.99 -$2M -55 -0.3%
46 SHW 0.53% 23,158 $7M $320.55 -$113K -100 -0.4%
47 V 0.53% 24,332 $7M $302.24 -$1M -50 -0.2%
48 MA 0.51% 14,376 $7M $499.66 -$1M -20 -0.1%
49 MKL 0.49% 3,564 $7M $1,914.07 -$760K +37 +1.1%
50 NXPI 0.48% 34,123 $7M $196.86 -$704K -70 -0.2%
51 SPGI 0.44% 14,413 $6M $425.34 -$1M -13 -0.1%
52 SNOW 0.40% 37,113 $6M $150.82 -$3M -50 -0.1%
53 GVI 0.11% 15,058 $2M $106.68 $40K +465 +3.2%
54 VYM 0.08% 7,950 $1M $148.10 $36K
55 SPLG 0.06% 11,641 $891K $76.54 -$43K
56 IBIT 0.05% 19,132 $735K $38.42 -$215K
57 VTI 0.05% 2,126 $682K $320.81 -$31K
58 BA 0.03% 2,448 $487K $199.03 +2,448 NEW
59 DVY 0.03% 2,806 $425K $151.41 $29K
60 VEU 0.03% 5,493 $413K $75.10 $8K
61 SPY 0.02% 524 $341K $650.34 -$17K
62 FLRN 0.02% 10,365 $319K $30.78 $519
63 SPYD 0.02% 5,365 $244K $45.52 $12K
64 NVO —% -$28M -549,469 -100.0% SOLD
65 TROW —% -$13M -128,774 -100.0% SOLD

New Positions

SymbolValue% Port
BKNG $34M 2.41%
UBER $33M 2.34%
ETN $16M 1.11%
BA $487K 0.03%

Sold Out Positions

SymbolValue% Port
NVO —%
TROW —%
View SEC EDGAR Filings for Vantage Investment Partners, LLC →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms