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UCLA Foundation
The UCLA Foundation was established in 1945. It channels donor contributions into resources that sustain UCLA programs. The foundation maintains direct...
UCLA Foundation
The UCLA Foundation was established in 1945. It channels donor contributions into resources that sustain UCLA programs. The foundation maintains direct ownership of campus properties and art collections. Assets are deployed across public equity positions, venture commitments and real assets. Confirmed holdings include a stake in SPY ETF valued at $93.6 million as of 2025 Q1, limited partner interests in Movandi and NEA through UCLA Investment Company, and direct real estate such as UCLA Wilshire Center. Geographic exposure centers on the United States with additional holdings in global life settlements representing 5-15 percent of assets. The foundation participates in buyout strategies alongside external managers. UCLA Investment Company has served as investment advisor since 2011 with Justin Barton as primary contact. State Street Bank acts as custodian. The foundation sponsored LABEST Week in June 2024 and attended the NASP Southern California private equity event in March 2025. It maintains memberships in the Council on Foreign Relations and Pacific Council on International Policy through board member Matt Kaczmarek. Governance separates philanthropic grantmaking from investment management via the dedicated UCLA Investment Company vehicle. This structure allows the foundation to maintain university oversight while executing external manager relationships and direct asset ownership.
General information
Firm type
Endowment / Foundation
Year founded
1945
Location
Region
North America
Country
United States
City
Los Angeles
Corporate office
Los Angeles, CA, United States
Principals
Justin Barton
President and Chief Investment Officer of UCLA Investment Company
Cheryl Lott
Chair of The UCLA Foundation
John T. Mapes
Chair of UCLA Investment Company
Sector focus
Frequently asked questions
Who runs investment decisions at UCLA Foundation?
Justin Barton serves as President and Chief Investment Officer of UCLA Investment Company, the entity that manages the foundation's investments (Altss research record).
Does UCLA Foundation participate in fund commitments or only direct deals?
The foundation holds limited partner interests in funds including NEA and Seven Stars Ventures through UCLA Investment Company, alongside direct real asset ownership (Altss research record).
What asset classes does UCLA Foundation hold?
Holdings include public equities such as SPY ETF, venture and buyout commitments, commercial real estate, sculpture gardens and art collections (Altss research record).
Where does UCLA Foundation allocate capital geographically?
Primary exposure is in the United States with additional global life settlements representing 5-15 percent of assets (Altss research record).
How is UCLA Foundation related to UCLA Investment Company?
UCLA Investment Company serves as the dedicated investment advisor to the foundation under a mandate that began in 2011 (Altss research record).
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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