Sharon Kelly
Cryder Capital Partners Llp
Assets Managed
$1.531B
Holdings
10
Last Quarter
2026 - Q1
Filed Date
15d ago
Growth Rate
-9.53%(2Q avg: -8.04%)
Sustained Growth
0 quarters
Portfolio positions
This chart displays the top 10 holdings in Cryder Capital Partners Llp's 2026 - Q1 portfolio, based on their 13F SEC filing, out of a total of 10 positions.
Assets under management
The assets under management (AUM) of Cryder Capital Partners Llp over the past 10 years (40 quarters) show continuous growth in total asset value over the last 0 quarters. As of the latest 13F SEC filing for 2026 - Q1, they manage 1.531B in assets, with a quarterly growth rate of -9.53% and a 2-quarter average growth rate of -8.04%. The portfolio is managed by Sharon Kelly, and others.
Portfolio holdings
| Investment | Portfolio % | Reported Value | Recent Activity |
|---|---|---|---|
HCA Hca Healthcare Inc
| 14.05% | $215.061M 454,444 shares@ $473.25 avg price | Decreased -14.27% |
GOOG Alphabet Inc-cl C
| 13.5% | $206.575M 720,125 shares@ $286.87 avg price | Decreased -17.68% |
TMO Thermo Fisher Scientific Inc
| 12.1% | $185.15M 376,681 shares@ $491.54 avg price | |
MSFT Microsoft Corp
| 11.58% | $177.203M 478,708 shares@ $370.17 avg price | Increased 15.45% |
BX Blackstone Inc
| 10.45% | $159.985M 1.391M shares@ $114.99 avg price | Increased 27.57% |
CHTR Charter Communications Inc-a
| 9.05% | $138.529M 641,694 shares@ $215.89 avg price | |
MA Mastercard Inc - A
| 8.03% | $122.826M 245,819 shares@ $499.67 avg price | Increased 8.63% |
V Visa Inc-class A Shares
| 7.82% | $119.692M 396,017 shares@ $302.24 avg price | Increased 8.85% |
AON Aon Plc-class A
| 6.79% | $103.835M 321,689 shares@ $322.78 avg price | Increased 9% |
MMC Marsh & Mclennan Cos
| 6.68% | $102.241M 589,456 shares@ $173.45 avg price | Increased 23.39% |
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