First seen by DFX
Sep 13, 2026
date not stated
Vantage Investment Partners, LLC: CONFIRMED_SFO -> CONFIRMED_SFO (The firm's own website says it operates as a single family office and does not serve the public.)
First seen by DFX
Sep 12, 2026
date not stated
Vantage Investment Partners, LLC: CANDIDATE_FAMILY_OFFICE -> CONFIRMED_SFO (the office describes itself as a single family office (cited))
First seen by DFX
Sep 12, 2026
date not stated
Vantage Investment Partners, LLC files Form 13F (non_adviser_filer, $1,498,650,843 in 62 positions)
First seen by DFX
Sep 12, 2026
date not stated
Vantage Investment Partners, LLC: CANDIDATE_FAMILY_OFFICE -> CANDIDATE_FAMILY_OFFICE (13F filer that is on no adviser roster and is not institutional by name: could be an SFO, a corporate treasury or a trust company)
Vantage Investment Partners, LLC reported $1,449,405,343 across 64 13(f) positions for the quarter ended 2026-03-31
Vantage Investment Partners, LLC reduced Asml Holding N V 52,971 -> 34,704 shares ($56,671,554 -> $45,838,084)
Vantage Investment Partners, LLC increased Blackstone Inc 91,505 -> 127,062 shares ($14,104,581 -> $14,610,859)
Vantage Investment Partners, LLC opened a $33,669,929 position in Booking Holdings Inc (7,997 shares)
Vantage Investment Partners, LLC opened a $15,546,127 position in Eaton Corp Plc (43,465 shares)
Vantage Investment Partners, LLC reduced Heico Corp New 71,430 -> 30,551 shares ($23,114,034 -> $8,377,084)
Vantage Investment Partners, LLC increased Microsoft Corp 113,638 -> 149,923 shares ($54,957,610 -> $55,496,997)
Vantage Investment Partners, LLC reduced Nike Inc 582,823 -> 194,575 shares ($37,131,653 -> $10,277,452)
Vantage Investment Partners, LLC increased Taiwan Semiconductor Mfg Ltd 53,580 -> 127,778 shares ($16,282,426 -> $43,182,575)
Vantage Investment Partners, LLC opened a $32,719,231 position in Uber Technologies Inc (454,876 shares)
Vantage Investment Partners, LLC exited Novo-Nordisk a S (was $27,956,983, 549,469 shares)
Vantage Investment Partners, LLC exited Price T Rowe Group Inc (was $13,183,882, 128,774 shares)
Vantage Investment Partners, LLC reported $1,498,650,843 across 62 13(f) positions for the quarter ended 2025-12-31
Vantage Investment Partners, LLC increased Berkshire Hathaway Inc Del 52,420 -> 71,559 shares ($26,353,631 -> $35,969,131)
Vantage Investment Partners, LLC increased Chipotle Mexican Grill Inc 968,639 -> 1,320,185 shares ($37,960,962 -> $48,846,845)
Vantage Investment Partners, LLC increased Corpay Inc 130,769 -> 166,994 shares ($37,669,318 -> $50,253,504)
Vantage Investment Partners, LLC reduced Monolithic Pwr Sys Inc 44,584 -> 10,097 shares ($41,045,814 -> $9,151,517)
Vantage Investment Partners, LLC increased Watsco Inc 97,730 -> 166,172 shares ($39,512,239 -> $55,991,655)
Vantage Investment Partners, LLC increased Zoetis Inc 77,103 -> 99,292 shares ($11,281,711 -> $12,492,919)
Vantage Investment Partners, LLC reported $1,463,025,496 across 62 13(f) positions for the quarter ended 2025-09-30
Vantage Investment Partners, LLC opened a $6,741,367 position in Markel Group Inc (3,527 shares)
Vantage Investment Partners, LLC reduced Spdr Series Trust Prtflo S&p 500 27,907 -> 11,641 shares ($2,028,560 -> $911,956)
Vantage Investment Partners, LLC opened a $14,964,358 position in Taiwan Semiconductor Mfg Ltd (53,580 shares)
Vantage Investment Partners, LLC exited Floor & Decor Hldgs Inc (was $17,636,241, 232,178 shares)
Vantage Investment Partners, LLC exited Starbucks Corp (was $12,944,387, 141,268 shares)
Vantage Investment Partners, LLC increased Watsco Inc 27,336 -> 97,730 shares ($12,072,124 -> $39,512,239)
Vantage Investment Partners, LLC reported $1,373,304,446 across 65 13(f) positions for the quarter ended 2025-06-30
Vantage Investment Partners, LLC reduced Heico Corp New 162,145 -> 86,608 shares ($43,323,523 -> $28,407,424)
Vantage Investment Partners, LLC opened a $16,728,446 position in Heico Corp New (64,651 shares)
Vantage Investment Partners, LLC exited Centene Corp Del (was $38,994,215, 642,303 shares)
Vantage Investment Partners, LLC exited Select Sector Spdr Tr (was $31,344,038, 629,272 shares)
Vantage Investment Partners, LLC increased Floor & Decor Hldgs Inc 180,103 -> 232,178 shares ($14,492,888 -> $17,636,241)
Vantage Investment Partners, LLC increased Meta Platforms Inc 23,982 -> 64,913 shares ($13,822,266 -> $47,911,636)
Vantage Investment Partners, LLC increased Corpay Inc 92,872 -> 119,272 shares ($32,386,324 -> $39,576,835)
Vantage Investment Partners, LLC increased Fastenal Co 181,138 -> 362,276 shares ($14,047,252 -> $15,215,592)
Vantage Investment Partners, LLC increased Nvidia Corporation 267,128 -> 349,029 shares ($28,951,333 -> $55,143,092)