Ravenel Boykin Curry IV - Eagle Capital Management Portfolio (Jun 30, 2025)


As of Jun 30, 2025, the Eagle Capital Management oversees a portfolio valued at approximately $30.34B, featuring 55 publicly traded holdings. This in-depth profile highlights the top investments led by Microsoft (MSFT), Berkshire Hathaway (BRK-B), Waste Management (WM), and others—drawing on its latest SEC filings as of Aug 14, 2025. Explore insights into portfolio composition, allocation strategies, and recent trade activity.

Eagle Capital Management Strategy Analysis

Investment Strategy Metrics

Key metrics revealing investment style, risk management, and performance characteristics

MetricValueCategoryDescription
Holding Period6.7 yearsStyleAverage duration positions are maintained
Position Count65StyleNumber of active positions in portfolio
Position Size3.8%RiskTypical allocation per position
Win Rate56.2%PerformancePercentage of profitable positions
Average Return1812.6%PerformanceMean return across positions
Sharpe Ratio0.15PerformanceReturn per unit of risk taken

Investment Case Study: Amazon.com Inc (AMZN)

12/31/2014 - 9/16/2025

Performance Metrics

Total Return: 84,827.81%

Holding Period: 3912 days

Max Position Size: $1,264,723,824.00

Position Weight: 5.64%

Key Events

12/31/2014: ENTRY(1,721,938.00 shares) @ $0.31
3/31/2015: INCREASE(506,518.00 shares) @ $0.37
6/30/2015: DECREASE(-128,995.00 shares) @ $0.43
9/30/2015: DECREASE(-36,966.00 shares) @ $0.51
12/31/2015: DECREASE(-280,382.00 shares) @ $0.68
3/31/2016: INCREASE(27,339.00 shares) @ $0.59
6/30/2016: DECREASE(-41,821.00 shares) @ $0.72
9/30/2016: DECREASE(-122,614.00 shares) @ $0.84
12/31/2016: DECREASE(-95,712.00 shares) @ $0.75
3/31/2017: DECREASE(-53,854.00 shares) @ $0.89
6/30/2017: DECREASE(-75,847.00 shares) @ $0.97
9/30/2017: DECREASE(-84,153.00 shares) @ $0.96
12/31/2017: DECREASE(-46,338.00 shares) @ $1.17
3/31/2018: DECREASE(-317,908.00 shares) @ $1.45
6/30/2018: DECREASE(-17,135.00 shares) @ $1.70
9/30/2018: DECREASE(-33,995.00 shares) @ $2.00
12/31/2018: INCREASE(4,194.00 shares) @ $1.50
3/31/2019: DECREASE(-16,102.00 shares) @ $1.78
6/30/2019: DECREASE(-1,062.00 shares) @ $1.89
9/30/2019: INCREASE(6,951.00 shares) @ $1.74
12/31/2019: DECREASE(-19,377.00 shares) @ $1.85
3/31/2020: DECREASE(-8,064.00 shares) @ $1.95
6/30/2020: DECREASE(-21,128.00 shares) @ $2.76
9/30/2020: DECREASE(-259,474.00 shares) @ $3.15
12/31/2020: DECREASE(-33,735.00 shares) @ $3.26
3/31/2021: DECREASE(-58,114.00 shares) @ $3.09
6/30/2021: INCREASE(153,847.00 shares) @ $3.44
9/30/2021: INCREASE(33,841.00 shares) @ $3.29
12/31/2021: DECREASE(-24,024.00 shares) @ $3.33
3/31/2022: DECREASE(-22,272.00 shares) @ $3.26
6/30/2022: INCREASE(12,313,630.00 shares) @ $0.11
9/30/2022: INCREASE(233,675.00 shares) @ $0.11
12/31/2022: INCREASE(1,853,375.00 shares) @ $84.00

Investment Thesis

Entry Context: Initial position established based on fundamental analysis

Sector Conditions: Favorable market conditions in the sector

Risk Factors:
  • Market volatility
  • Sector-specific risks

Key Learnings

  • Position sizing is critical for portfolio management
  • Important to monitor sector exposure

Sector Allocations