LYNCH & ASSOCIATES/IN
โขCIK: 1108965โขFiling: Q4 2025
LYNCH & ASSOCIATES/IN manages $529M across a diversified portfolio of 122 positions. The fund exhibits significant concentration in technology and industrials, with MSFT representing the largest holding at $49.0M. Notable allocations include IVV ($22.8M), IJH ($20.7M), and WMT ($20.2M). This structure suggests a tactical, large-cap exposure favoring established market leaders.
Total AUM
$528.9M
QoQ Performance
+2.1%
Positions
121
Top 10 Concentration
38.9%
Latest Filing
Q4 2025
Top Holdings Allocation
MSFT
MSFT9.3%
IVV4.3%
IJH3.9%
WMT3.8%
JNJ3.4%
JPM3.2%
ABBV3.0%
XOM2.8%
๐ Biggest Buys
๐ Biggest Sells
Sector Breakdown
Other32.3%
Technology20.3%
Healthcare13.1%
Consumer8.4%
Financial8.0%
Industrial6.6%
ETF4.4%
Energy2.8%
๐ช Exited Positionssold since Q3 2025
+1 more exited positions
Changes from Q3 2025
NEW3 new positions
โ51 increased
โ52 decreased
Historical Filings
Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023