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  Name: Spyglass Capital Management LLC
  City: San Francisco
  State: CA
  Zip: 94129
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $1,500,979,000
  Total Value Change : $110,905,000
  Securities Held Change : 0
   
All Securities Held : 25
  New Positions : 2
  Closed Positions : 2
  Increased Positions : 7
  Unchanged Positions : 0
  Decreased Positions : 16

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Holdings Found : 16     View All Holdings Currently Viewing:  Decreased Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (APP)1 Year Chart         APP Applovin Corp 1 - $82.15 $100,689,000 1,454,624 6.71% 40,361,000 -59,249 0.671    N/A
   (PCOR)1 Year Chart         PCOR Procore Technologies, Inc. 7 - $68.75 $70,439,000 857,239 4.69% 8,660,000 -35,269 0.663    N/A
   (APG)1 Year Chart         APG Api Group Corp 8 - $36.41 $69,936,000 1,780,914 4.66% 5,804,000 -72,617 0.767    N/A
   (GDDY)1 Year Chart         GDDY Godaddy Inc. 9 - $140.14 $65,652,000 553,181 4.37% 4,534,000 -22,537 0.332    N/A
   (SG)1 Year Chart         SG Sweetgreen, Inc. 10 - $32.52 $64,199,000 2,541,514 4.28% 34,310,000 -103,514 2.611    N/A
   (DASH)1 Year Chart         DASH Doordash Inc 11 - $112.83 $61,829,000 448,944 4.12% -4,367,000 -220,450 0.125    N/A
   (HUBS)1 Year Chart         HUBS Hubspot Inc 13 - $0.00 $60,130,000 95,969 4.01% 2,146,000 -3,910 0.209    N/A
   (TDG)1 Year Chart         TDG Transdigm Group Inc 15 - $1,350.31 $56,316,000 45,726 3.75% 1,708,000 -8,256 0.083    Aerospace/Defense Pro...
   (AMG)1 Year Chart         AMG Affiliated Managers Group Inc 16 - $160.47 $55,055,000 328,745 3.67% 3,248,000 -13,395 0.706    Asset Management
   (GLBE)1 Year Chart         GLBE Global E Online Ord Shs 17 - $29.42 $52,056,000 1,432,076 3.47% -7,009,000 -58,341 1.007    N/A
   (SPOT)1 Year Chart         SPOT Spotify Technology SA 18 - $308.16 $51,608,000 195,558 3.44% -3,228,000 -96,264 0.105    N/A
   (FIVE)1 Year Chart         FIVE Five Below, Inc 19 - $132.99 $46,998,000 259,113 3.13% -10,485,000 -10,560 0.416    Specialty Retail, Other
   (MEDP)1 Year Chart         MEDP Medpace Holdings, Inc. 20 - $390.55 $44,784,000 110,811 2.98% -1,725,000 -40,918 0.313    N/A
   (ROKU)1 Year Chart         ROKU Roku, Inc 23 - $56.76 $38,714,000 594,042 2.58% -17,954,000 -24,195 0.545    N/A
   (NTNX)1 Year Chart         NTNX Nutanix, Inc. 24 - $72.85 $30,895,000 500,570 2.06% -27,524,000 -724,397 0.206    N/A
   (PANW)1 Year Chart         PANW Palo Alto Networks Inc 25 - $321.60 $30,276,000 106,558 2.02% -14,973,000 -46,891 0.035    Networking & Communic...

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