Universe · entity

Hyperion Capital Advisors LP

Institutional manager (13F) · CIK 1794499
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $203M
#IssuerValueShares
1ALPHABET INC$19M64,909
2ICON PLC$16M142,455
3ALPHABET INC$15M52,542
4ELEVANCE HEALTH INC FORMERLY$15M50,757
5GLOBUS MED INC$12M140,849
6INTERCONTINENTAL EXCHANGE IN$10M65,015
7TAIWAN SEMICONDUCTOR MANUFAC$9M27,515
8UNITEDHEALTH GROUP INC$9M34,049
9LIBERTY MEDIA CORP DEL$9M103,343
10SUNBELT RENTALS HOLDINGS INC$8M125,152
11ROPER TECHNOLOGIES INC$8M22,500
12AMENTUM HOLDINGS INC$8M303,576
13ZOETIS INC$8M66,787
14AON PLC$7M23,001
15NETFLIX INC.$7M75,449
16CREDIT ACCEP CORP MICH$6M14,056
17VERTEX INC$6M480,000
18KASPI KZ JSC$4M55,810
19RYANAIR HOLDINGS PLC$4M71,375
20BROOKFIELD INFRASTRUCTURE PA$3M96,019
21APPLE INC$2M6,458
22TJX COS INC NEW$2M9,665
23U HAUL HOLDING COMPANY$1M29,573
24COPA HOLDINGS SA$954k8,400
25BURFORD CAPITAL LIMITED$918k203,000
26SPDR GOLD TR$855k1,988
27BERKSHIRE HATHAWAY INC DEL$841k1,754
28SCHWAB CHARLES CORP$824k8,767
29THOR INDS INC$813k10,180
30BERKSHIRE HATHAWAY INC DEL$718k1
31AMAZON COM INC$687k3,300
32GCI LIBERTY INC$621k16,682
33ROBLOX CORP$585k10,350
34BROWN & BROWN INC$580k8,900
35WEST PHARMACEUTICAL SVSC INC$534k2,130
36ENTERPRISE PRODS PARTNERS L$503k13,300
37WATERS CORP$492k1,653
38MICROSOFT CORP$470k1,271
39DELTA AIR LINES INC$449k6,750
40AVNET INC$444k7,200
41LINDE PLC$428k863
42BLACK STONE MINERALS L P$412k27,222
43ING GROEP N.V.$411k15,791
44TELEDYNE TECHNOLOGIES INC$393k650
45EAGLE MATLS INC$379k2,000
46MSA SAFETY INC$328k2,000
47CHUBB LTD SWITZ$324k995
48EQUITABLE HLDGS INC$320k8,611
49AERCAP HOLDINGS NV$316k2,300
50NORTHEAST BK PORTLAND ME$315k2,800
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.