13F Portfolios

Cryder Capital Partners LLP: ALPHABET CL C (GOOG): Quarterly 13F Position History

As of Q1 2026, Cryder Capital Partners LLP reported 720,125 shares of ALPHABET CL C (GOOG), worth $206.6M and representing 13.5% of its 13F equity book. Quarter-over-quarter share count change: 154,700 (-17.7%) . The position first appeared in Q2 2016 and has been disclosed across 40 13F-HR filings in Pactolio's tracked window.

Quarterly 13F-HR Disclosure History Source: SEC 13F-HR filings, 40 quarter s

Quarter Shares QoQ Share Change Share Change (%) Market Value Weight Implied Price
Q1 2026 720,125 154,700 -17.7% $206.6M 13.5% $286.9
Q4 2025 874,825 177,161 -16.8% $274.5M 16.2% $313.8
Q3 2025 1,051,986 115,951 -9.9% $256.2M 14.1% $243.6
Q2 2025 1,167,937 +191,215 +19.6% $207.2M 11.7% $177.4
Q1 2025 976,722 0 $152.6M 11.4% $156.2
Q4 2024 976,722 350,086 -26.4% $186.0M 13.5% $190.4
Q3 2024 1,326,808 14,250 -1.1% $221.8M 12.8% $167.2
Q2 2024 1,341,058 686,550 -33.9% $246.0M 15.4% $183.4
Q1 2024 2,027,608 +266,847 +15.2% $308.7M 13.4% $152.3
Q4 2023 1,760,761 164,640 -8.6% $248.1M 12.3% $140.9
Q3 2023 1,925,401 15,635 -0.8% $253.9M 12.3% $131.8
Q2 2023 1,941,036 20,047 -1.0% $234.8M 11.4% $121.0
Q1 2023 1,961,083 0 $204.0M 10.8% $104.0
Q4 2022 1,961,083 96,941 -4.7% $174.0M 10.8% $88.7
Q3 2022 2,058,024 +1,955,017 +1897.9% $197.9M 12.3% $96.2
Q2 2022 103,007 +2,146 +2.1% $225.3M 12.3% $2187.5
Q1 2022 100,861 +683 +0.7% $281.7M 13.8% $2793.0
Q4 2021 100,178 0 $289.9M 13.1% $2893.6
Q3 2021 100,178 0 $267.0M 13.3% $2665.3
Q2 2021 100,178 +13,904 +16.1% $251.1M 13.0% $2506.3
Q1 2021 86,274 0 $151.1M 12.1% $1751.9
Q4 2020 86,274 +2,098 +2.5% $151.1M 12.1% $1751.9
Q3 2020 84,176 +1,290 +1.6% $123.7M 11.5% $1469.6
Q2 2020 82,886 0 $117.2M 12.7% $1413.6
Q1 2020 82,886 2,172 -2.6% $96.4M 14.1% $1162.8
Q4 2019 85,058 0 $113.7M 12.9% $1337.0
Q3 2019 85,058 +4,896 +6.1% $103.7M 13.3% $1219.0
Q2 2019 80,162 +11,720 +17.1% $84.9M 12.6% $1059.1
Q1 2019 68,442 +662 +1.0% $80.3M 12.3% $1173.3
Q4 2018 67,780 +3,109 +4.8% $70.2M 12.8% $1035.6
Q3 2018 64,671 +2,397 +3.8% $77.2M 11.9% $1193.5
Q2 2018 62,274 +30,930 +98.7% $69.5M 11.3% $1115.7
Q1 2018 31,344 +5,481 +21.2% $32.3M 9.3% $1031.8
Q4 2017 25,863 +6,759 +35.4% $27.1M 8.7% $1046.4
Q3 2017 19,104 0 $18.3M 7.5% $959.1
Q2 2017 19,104 0 $17.4M 6.4% $908.7
Q1 2017 19,104 0 $15.8M 6.4% $829.6
Q4 2016 19,104 +5,245 +37.8% $14.7M 6.6% $771.8
Q3 2016 13,859 +2,350 +20.4% $10.8M 6.3% $777.3
Q2 2016 11,509 $8.0M 6.4% $692.1

Methodology & FAQ

How This Position History Is Sourced

Each row is one SEC Form 13F-HR filing disclosing this position. Share count, market value, and reported quarter are taken verbatim from the filing; portfolio weight is recomputed against the same filing's total reported equity book. Implied price-per-share is market value divided by shares — a quarter-end mark, not the manager's cost basis. See the full methodology document for the normalization rules.

When did Cryder Capital Partners LLP first disclose a GOOG position in 13F-HR filings?

Cryder Capital Partners LLP first reported ALPHABET CL C (GOOG) on its 13F-HR filing for the period ending 2016-06-30 (Q2 2016). The position has appeared on 40 reported quarters within Pactolio's tracked window.

What was Cryder Capital Partners LLP's most recent quarter-over-quarter share-count change in GOOG?

Between Q4 2025 and Q1 2026, Cryder Capital Partners LLP reduced its GOOG position by 154,700 shares (-17.7%), leaving 720,125 shares at a market value of $206.6M.

Does the implied price-per-share represent Cryder Capital Partners LLP's cost basis in GOOG?

No. The implied price-per-share column is the 13F-HR reported market value divided by reported share count on the filing date (end of quarter). It is a quarter-end mark, not a cost basis or transaction price. Use it as a sanity check on the value column, not as an indicator of the manager's entry or exit price.