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Polen Capital Management Holdings – 2025 Q3

Explore the latest portfolio disclosure for Polen Capital Management, with insights into sector exposure, position sizes, and overall investment structure for 2025 Q3.

The latest 2025 Q3 filing shows that Polen Capital Management maintains its largest exposure in Technology, which represents approximately 47.57% of the portfolio. This sector forms the core of Polen Capital Management's investment stance during this reporting period.

Additional major allocations include Real Estate (about 18.39%) and Health Care (approximately 15.30%), reflecting how Polen Capital Management diversifies beyond its primary sector focus.

These sector weightings provide a clear view into Polen Capital Management's positioning and conviction areas for the 2025 Q3 quarter.

Breakdown by Sector

Technology
47.6%
Real Estate
18.4%
Health Care
15.3%
Consumer Discretionary
14.2%
Finance
3.4%
Non-U.S. Assets
0.4%
Industrials
0.3%
ETF
0.2%
Energy
0.1%
Unclassified Sector
0.1%
Basic Materials
0.0%
Miscellaneous
0.0%
Utilities
0.0%
Consumer Staples
0.0%
Telecommunications
0.0%
Symbol Shares Reported Price(USD) Action Change % Portfolio Weight Position Value Filing Period
PDD 63,283 $132.17 Reduced -1.60% 0.03% $8.36M 2025 Q3
MMYT 87,289 $93.6 Reduced -16.84% 0.03% $8.17M 2025 Q3
GLOB 135,108 $57.38 Reduced -50.51% 0.03% $7.75M 2025 Q3
SPOT 11,075 $697.97 Reduced -62.39% 0.03% $7.73M 2025 Q3
WGS 68,169 $107.75 Reduced -15.82% 0.02% $7.35M 2025 Q3
VIST 210,976 $34.4 Increased 1400.33% 0.02% $7.26M 2025 Q3
POWL 23,357 $304.79 Reduced -7.21% 0.02% $7.12M 2025 Q3
IBN 224,267 $30.23 Reduced -55.19% 0.02% $6.78M 2025 Q3
BWXT 36,748 $184.36 Reduced -10.45% 0.02% $6.77M 2025 Q3
METC 182,332 $33.19 Increased 193.11% 0.02% $6.05M 2025 Q3
VSEC 34,420 $166.24 Reduced -13.04% 0.02% $5.72M 2025 Q3
VUG 11,625 $479.66 Reduced -9.93% 0.02% $5.58M 2025 Q3
JOBY 318,267 $16.14 Reduced -10.46% 0.02% $5.14M 2025 Q3
IESC 12,144 $397.64 Reduced -12.13% 0.02% $4.83M 2025 Q3
KARO 82,608 $57.13 Reduced -2.55% 0.02% $4.72M 2025 Q3
MOD 32,523 $142.15 Increased 67.94% 0.02% $4.62M 2025 Q3
ADPT 291,197 $14.96 Increased 104.70% 0.01% $4.36M 2025 Q3
ACWX 61,612 $65 Increased 179.01% 0.01% $4M 2025 Q3
CVNA 10,456 $377.2 Reduced -10.59% 0.01% $3.94M 2025 Q3
AAPL 15,355 $254.64 Increased 80.10% 0.01% $3.91M 2025 Q3
TSLA 8,590 $444.7 Increased 27.79% 0.01% $3.82M 2025 Q3
SOFI 143,218 $26.42 Reduced -16.20% 0.01% $3.78M 2025 Q3
PRCH 217,423 $16.78 Increased 61.03% 0.01% $3.65M 2025 Q3
AMPX 339,427 $10.52 Buy 100.00% 0.01% $3.57M 2025 Q3
HCI 18,168 $191.93 Increased 30.03% 0.01% $3.49M 2025 Q3
CCJ 38,622 $83.86 Reduced -15.33% 0.01% $3.24M 2025 Q3
QQEW 22,529 $141.11 Buy 100.00% 0.01% $3.18M 2025 Q3
CECO 60,223 $51.19 Increased 228.78% 0.01% $3.08M 2025 Q3
SMR 83,543 $36.01 Reduced -2.20% 0.01% $3.01M 2025 Q3
PTON 324,372 $9 Increased 51.32% 0.01% $2.92M 2025 Q3
AMSC 47,291 $59.4 Increased 0.15% 0.01% $2.81M 2025 Q3
BELFB 19,539 $141 Reduced -4.15% 0.01% $2.75M 2025 Q3
W 29,861 $89.31 Increased 72.75% 0.01% $2.67M 2025 Q3
VO 8,690 $293.79 Buy 100.00% 0.01% $2.55M 2025 Q3
CATH 30,866 $81.06 Reduced -34.32% 0.01% $2.5M 2025 Q3
DAVE 12,429 $199.37 Reduced -1.52% 0.01% $2.48M 2025 Q3
FSLR 11,214 $220.53 Buy 100.00% 0.01% $2.47M 2025 Q3
ATRO 53,993 $45.62 Increased 8.44% 0.01% $2.46M 2025 Q3
IT 9,284 $262.93 Reduced -98.81% 0.01% $2.44M 2025 Q3
AFRM 33,096 $73.09 Increased 10.22% 0.01% $2.42M 2025 Q3
IE 188,274 $12.55 Increased 64.37% 0.01% $2.36M 2025 Q3
CORT 28,363 $83.1 Increased 31.46% 0.01% $2.36M 2025 Q3
PGY 75,870 $29.7 Increased 120.02% 0.01% $2.25M 2025 Q3
ASPI 232,913 $9.62 Increased 32.99% 0.01% $2.24M 2025 Q3
KTOS 23,719 $91.36 Reduced -31.31% 0.01% $2.17M 2025 Q3
IRMD 28,459 $71.15 Increased 14.34% 0.01% $2.02M 2025 Q3
FTI 50,920 $39.45 Reduced -1.28% 0.01% $2.01M 2025 Q3
CVLT 10,395 $188.74 Reduced -20.90% 0.01% $1.96M 2025 Q3
HHH 23,823 $82.19 Buy 100.00% 0.01% $1.96M 2025 Q3
BBIO 36,164 $51.93 Increased 1.44% 0.01% $1.88M 2025 Q3
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