First seen by DFX
Sep 12, 2026
date not stated
Cyrus J. Lawrence, LLC files Form 13F (non_adviser_filer, $2,331,549 in 193 positions)
Cyrus J. Lawrence, LLC reported $26,400,000 across 43 13(f) positions for the quarter ended 2025-03-31
Cyrus J. Lawrence, LLC exited Adobe Inc (was $9,003,000, 20,248 shares)
Cyrus J. Lawrence, LLC exited L3Harris Technologies Inc. (was $6,883,000, 32,736 shares)
Cyrus J. Lawrence, LLC reduced Thermo Fisher Scntfc 13,275 -> 803 shares ($6,905,000 -> $399,000)
Cyrus J. Lawrence, LLC reduced Eaton Corporation PLC 24,452 -> 1,554 shares ($8,114,000 -> $422,000)
Cyrus J. Lawrence, LLC reduced NextEra Energy Inc 119,675 -> 6,150 shares ($8,579,000 -> $435,000)
Cyrus J. Lawrence, LLC exited Alphabet Inc. Class C (was $2,967,000, 15,580 shares)
Cyrus J. Lawrence, LLC reduced Rollins Inc 140,499 -> 8,159 shares ($6,512,000 -> $440,000)
Cyrus J. Lawrence, LLC reduced Oracle Corporation 60,834 -> 3,498 shares ($10,137,000 -> $486,000)
Cyrus J. Lawrence, LLC reduced GE Vernova Inc. 17,009 -> 1,611 shares ($5,594,000 -> $491,000)
Cyrus J. Lawrence, LLC reduced Linde PLC ADR 19,818 -> 1,057 shares ($8,297,000 -> $492,000)
Cyrus J. Lawrence, LLC reduced Intuit Inc 13,859 -> 816 shares ($8,710,000 -> $501,000)
Cyrus J. Lawrence, LLC reduced Morgan Stanley 70,698 -> 4,330 shares ($8,888,000 -> $505,000)
Cyrus J. Lawrence, LLC reduced Home Depot Inc 27,069 -> 1,500 shares ($10,529,000 -> $549,000)
Cyrus J. Lawrence, LLC reduced Stryker Corp 23,931 -> 1,483 shares ($8,616,000 -> $552,000)
Cyrus J. Lawrence, LLC reduced Parker-Hannifin Corp 14,736 -> 912 shares ($9,372,000 -> $554,000)
Cyrus J. Lawrence, LLC reduced Wal-Mart Stores Inc 124,469 -> 6,642 shares ($11,245,000 -> $583,000)
Cyrus J. Lawrence, LLC reduced Blackrock Inc 8,547 -> 617 shares ($8,762,000 -> $583,000)
Cyrus J. Lawrence, LLC reduced Blackstone Group Inc. Cl A 101,984 -> 4,369 shares ($17,584,000 -> $601,000)
Cyrus J. Lawrence, LLC reduced Motorola Solutions Inc 23,431 -> 1,425 shares ($10,830,000 -> $623,000)
Cyrus J. Lawrence, LLC reduced Vertex Pharmaceuticals Inc 20,384 -> 1,373 shares ($8,208,000 -> $665,000)
Cyrus J. Lawrence, LLC reduced Broadridge Financial Solutions 45,796 -> 2,818 shares ($10,353,000 -> $683,000)
Cyrus J. Lawrence, LLC reduced S&P Global Inc 21,782 -> 1,370 shares ($10,847,000 -> $696,000)
Cyrus J. Lawrence, LLC reduced Broadcom Limited 94,750 -> 4,628 shares ($21,966,000 -> $774,000)
Cyrus J. Lawrence, LLC reduced Alphabet Inc. Class A 97,082 -> 5,065 shares ($18,377,000 -> $783,000)
Cyrus J. Lawrence, LLC reduced Palo Alto Networks Inc 85,578 -> 4,607 shares ($15,571,000 -> $786,000)
Cyrus J. Lawrence, LLC reduced Mastercard Inc Class A 23,876 -> 1,441 shares ($12,572,000 -> $789,000)
Cyrus J. Lawrence, LLC reduced JPMorgan Chase & Co 57,348 -> 3,456 shares ($13,746,000 -> $847,000)
Cyrus J. Lawrence, LLC reduced Nvidia Corp. 236,063 -> 8,706 shares ($31,700,000 -> $943,000)
Cyrus J. Lawrence, LLC reduced Fiserv Inc 84,990 -> 4,562 shares ($17,458,000 -> $1,007,000)
Cyrus J. Lawrence, LLC reduced T-Mobile US Inc. 66,147 -> 3,962 shares ($14,600,000 -> $1,056,000)
Cyrus J. Lawrence, LLC reduced Costco Wholesale Co 18,533 -> 1,144 shares ($16,980,000 -> $1,081,000)
Cyrus J. Lawrence, LLC reduced Eli Lilly & Co 23,521 -> 1,320 shares ($18,158,000 -> $1,090,000)
Cyrus J. Lawrence, LLC reduced Meta Platforms Class A Common 42,810 -> 2,045 shares ($25,065,000 -> $1,178,000)
Cyrus J. Lawrence, LLC reduced Amazon.com Inc 99,094 -> 6,536 shares ($21,470,000 -> $1,243,000)
Cyrus J. Lawrence, LLC reduced Apple Inc 104,341 -> 6,163 shares ($26,129,000 -> $1,368,000)
Cyrus J. Lawrence, LLC reduced Microsoft Corp 88,165 -> 4,166 shares ($37,161,000 -> $1,563,000)
Cyrus J. Lawrence, LLC reported $2,331,549,000 across 193 13(f) positions for the quarter ended 2024-12-31