Chiron Investment Management, LLC

Investment Portfolio & 13F Holdings Analysis

About
CIK: 0001688882
Type: FundHoldings: 86Value: $300.3MLatest: 2024Q4

Chiron Investment Management, LLC is an institutional investment manager that filed its latest Form 13F for 2024Q4, reporting 86 holdings worth $0.3 billion. Form 13F filings provide transparency into the equity holdings of institutional investment managers with over $100 million in assets under management. This page displays the most recent portfolio holdings, allowing investors to track position changes, new investments, and portfolio composition.

Filing Details

13F-HR2024-12-31
Report Date
2024-12-31
Filing Date
2025-02-13
Total Holdings
86
Total Value
300271057
Accession Number
0001688882-25-000001
Form Type
13F-HR
Manager Name
Chiron-Investment-Management
Data Enrichment
97% identified
83 identified3 unidentified

Holdings

86 positions • $300.3M total value
Manager:
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Page 1 of 5
MICROSOFT CORP
Shares:35.9K
Value:$15.2M
% of Portfolio:5.0% ($15.2M/$300.3M)
NVIDIA CORP
Shares:110.9K
Value:$14.9M
% of Portfolio:5.0% ($14.9M/$300.3M)
AMAZON COM INC
Shares:61.2K
Value:$13.4M
% of Portfolio:4.5% ($13.4M/$300.3M)
Apple Inc.
Shares:48.3K
Value:$12.1M
% of Portfolio:4.0% ($12.1M/$300.3M)
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
Shares:57.2K
Value:$11.3M
% of Portfolio:3.8% ($11.3M/$300.3M)
Meta Platforms, Inc.
Shares:14.3K
Value:$8.4M
% of Portfolio:2.8% ($8.4M/$300.3M)
Philip Morris International Inc.
Shares:67.2K
Value:$8.1M
% of Portfolio:2.7% ($8.1M/$300.3M)
BERKSHIRE HATHAWAY INC
Shares:17.7K
Value:$8.0M
% of Portfolio:2.7% ($8.0M/$300.3M)
JPMORGAN CHASE & CO
Shares:32.7K
Value:$7.8M
% of Portfolio:2.6% ($7.8M/$300.3M)
Alphabet Inc.
Shares:41.2K
Value:$7.8M
% of Portfolio:2.6% ($7.8M/$300.3M)
ServiceNow, Inc.
Shares:7.0K
Value:$7.4M
% of Portfolio:2.5% ($7.4M/$300.3M)
Energy Transfer LP
Shares:343.8K
Value:$6.7M
% of Portfolio:2.2% ($6.7M/$300.3M)
GENERAL ELECTRIC CO
Shares:40.1K
Value:$6.7M
% of Portfolio:2.2% ($6.7M/$300.3M)
NETFLIX INC
Shares:7.3K
Value:$6.6M
% of Portfolio:2.2% ($6.6M/$300.3M)
COSTCO WHOLESALE CORP /NEW
Shares:7.0K
Value:$6.4M
% of Portfolio:2.1% ($6.4M/$300.3M)
Mastercard Inc
Shares:10.9K
Value:$5.8M
% of Portfolio:1.9% ($5.8M/$300.3M)
Palo Alto Networks Inc
Shares:31.5K
Value:$5.7M
% of Portfolio:1.9% ($5.7M/$300.3M)
EXXON MOBIL CORP
Shares:53.1K
Value:$5.7M
% of Portfolio:1.9% ($5.7M/$300.3M)
BOSTON SCIENTIFIC CORP
Shares:63.6K
Value:$5.7M
% of Portfolio:1.9% ($5.7M/$300.3M)
PROGRESSIVE CORP/OH/
Shares:23.6K
Value:$5.6M
% of Portfolio:1.9% ($5.6M/$300.3M)