Fund HoldingsPOLEN CAPITAL MANAGEMENT LLC

Total Portfolio Value
$11.61B
Total Bought
$1.32B
Total Sold
$4.49B
Net Transaction
-$3.17B
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
GE AEROSPACE(GE)0690,493+690,4930258,0582.22%+258,058
GE VERNOVA INC(GEV)0196,612+196,6120230,9911.99%+230,991
TAIWAN SEMICONDUCTOR MANUFAC(TSM)0501,210+501,2100239,3632.06%+239,363
ATI INC(ATI)0819,236+819,2360161,4711.39%+161,471
LAM RESEARCH CORP(LRCX)1,054,495859,036-195,459225,303372,2463.21%+146,943
HOWMET AEROSPACE INC(HWM)0457,124+457,1240122,9021.06%+122,902
EMCOR GROUP INC(EME)0103,123+103,123085,5800.74%+85,580
NVIDIA CORPORATION(NVDA)03,978,446+3,978,4460796,0476.86%+796,047
TERAWULF INC(WULF)106,375563,139+456,7641,53513,9100.12%+12,375
ASML HLDG NV
N Y REGISTRY SHS
16,07215,427-64521,22930,6920.26%+9,463
DIGITALOCEAN HLDGS INC(DOCN)96,206101,350+5,1448,25315,9150.14%+7,662
JFROG LTD(FROG)093,117+93,11708,4620.07%+8,462
CAMECO CORP(CCJ)068,968+68,96807,0260.06%+7,026
RACKSPACE TECHNOLOGY INC(RXT)0709,189+709,18904,6310.04%+4,631
TWIST BIOSCIENCE CORP(TWST)24,03755,310+31,2731,1425,6900.05%+4,548
LIGHTPATH TECHNOLOGIES INC79,055314,476+235,4217935,1420.04%+4,349
NLIGHT INC(LASR)89,791133,448+43,6575,1209,2910.08%+4,171
FLOTEK INDUSTRIES INC(FTK)27,642195,504+167,8624694,5980.04%+4,129
CECO ENVIRONMENTAL CORP(CECO)143,231137,977-5,2548,53412,5200.11%+3,986
VISHAY PRECISION GROUP INC(VPG)24,26332,744+8,4811,0534,9090.04%+3,855
THE REALREAL INC(REAL)0496,556+496,55605,8540.05%+5,854
APPLIED DIGITAL CORP098,328+98,32803,6680.03%+3,668
VICOR CORP(VICR)13,89914,924+1,0252,2385,6680.05%+3,430
AEHR TEST SYS(AEHR)79,39666,157-13,2392,9446,3550.05%+3,411
VEECO INSTRS INC DEL(VECO)048,314+48,31403,6620.03%+3,662
BLOOM ENERGY CORP67,23140,838-26,3939,10912,3620.11%+3,253
ENTRAVISION COMMUNICATIONS C0236,939+236,93903,0900.03%+3,090
COPA HOLDINGS SA(CPA)018,948+18,94802,9480.03%+2,948
CARDINAL INFRASTRUCTURE GROU030,787+30,78702,9000.02%+2,900
FORGENT POWER SOLUTIONS INC(FPS)050,328+50,32802,8110.02%+2,811
ALPHA TAU MEDICAL LTD(DRTS)0220,751+220,75102,7770.02%+2,777
FIVE9 INC(FIVN)0117,256+117,25602,5000.02%+2,500
KNOWLES CORP(KN)058,485+58,48502,4260.02%+2,426
BUTTERFLY NETWORK INC(BFLY)0480,502+480,50204,0460.03%+4,046
HYPERLIQUID STRATEGIES INC(PURR)0340,311+340,31102,6780.02%+2,678
BEL FUSE INC43,33932,845-10,4948,58010,9390.09%+2,358
MAYVILLE ENGR CO INC061,827+61,82702,3160.02%+2,316
NOVANTA INC(NOVT)013,366+13,36602,1690.02%+2,169
PENGUIN SOLUTIONS INC(PENG)028,293+28,29302,1510.02%+2,151
AKTIS ONCOLOGY INC(AKTS)063,514+63,51402,0470.02%+2,047
LIFE TIME GROUP HOLDINGS INC(LTH)40,48176,705+36,2241,0913,1330.03%+2,042
BILLIONTOONE INC016,975+16,97502,0370.02%+2,037
PTC THERAPEUTICS INC(PTCT)024,916+24,91602,0320.02%+2,032
TRAVERE THERAPEUTICS INC(TVTX)034,315+34,31501,9490.02%+1,949
GUARDANT HEALTH INC(GH)34,72534,372-3533,2085,1570.04%+1,949
TAYSHA GENE THERAPIES INC(TSHA)319,748489,219+169,4711,4293,3320.03%+1,902
WOLFSPEED INC(WOLF)038,219+38,21901,8440.02%+1,844
ALPHABET INC(GOOG)027,810+27,81009,9390.09%+9,939
CALLAWAY GOLF CO(CALY)70,431146,013+75,5829782,7440.02%+1,766
SOLARIS ENERGY INFRAS INC(SEI)83,67580,324-3,3514,7286,4630.06%+1,734
ADEIA INC(ADEA)052,575+52,57501,7310.01%+1,731
SITIME CORP(SITM)7,1015,555-1,5462,4524,1420.04%+1,689
SEMTECH CORP(SMTC)6,55313,353+6,8005042,1610.02%+1,657
APPLIED OPTOELECTRONICS INC(AAOI)14,91319,272+4,3591,2612,8550.02%+1,594
AAR CORP16,20823,561+7,3531,7743,3680.03%+1,593
RINGCENTRAL INC(RNG)040,133+40,13301,5640.01%+1,564
MODINE MFG CO(MOD)29,04229,335+2936,2947,8330.07%+1,539
LITTELFUSE INC(LFUS)4,9597,016+2,0571,6833,1950.03%+1,512
BROOKDALE SR LIVING INC(BKD)420,374451,082+30,7085,7517,2580.06%+1,507
LINDBLAD EXPEDITIONS HLDGS I(LIND)102,127114,915+12,7881,7673,2450.03%+1,478
ERMENEGILDO ZEGNA N V
ORD SHS
0111,273+111,27301,4490.01%+1,449
COVENANT LOGISTICS GROUP INC(CVLG)031,943+31,94301,4110.01%+1,411
AIRJOULE TECHNOLOGIES CORP0243,378+243,37801,3480.01%+1,348
CHEESECAKE FACTORY INC(CAKE)24,82233,297+8,4751,3592,6480.02%+1,289
BITDEER TECHNOLOGIES GROUP(BTDR)079,540+79,54001,2620.01%+1,262
SPACE EXPLORATION TECHN CORP06,705+6,70501,1460.01%+1,146
NATIONAL ENERGY SERVICES REU
SHS
038,252+38,25201,1450.01%+1,145
PURSUIT ATTRACTIONS AND HOSP(PRSU)019,995+19,99501,1190.01%+1,119
OSCAR HEALTH INC(OSCR)038,701+38,70101,1040.01%+1,104
UROGEN PHARMA LTD(URGN)029,615+29,61501,0900.01%+1,090
VANGUARD INDEX FDS01,518+1,51801,0430.01%+1,043
TESLA INC(TSLA)08,974+8,97403,7740.03%+3,774
RXO INC(RXO)037,400+37,40001,0320.01%+1,032
WHITEFIBER INC(WYFI)026,281+26,28101,0210.01%+1,021
SPHERE ENTERTAINMENT CO(SPHR)48,29338,529-9,7645,6706,6670.06%+997
WILLSCOT HLDGS CORP(WSC)034,229+34,22909880.01%+988
AXT INC(AXTI)49,36852,707+3,3392,8133,7990.03%+986
ASTEC INDS INC41,17252,160+10,9882,2173,1920.03%+975
WISDOMTREE INC(WT)109,005149,051+40,0461,5872,5250.02%+938
CHINA YUCHAI INTL LTD(CYD)019,146+19,14609080.01%+908
ETON PHARMACEUTICALS INC(ETON)30,13845,379+15,2417441,6430.01%+899
AZZ INC14,43817,364+2,9261,8072,6920.02%+886
PREFORMED LINE PRODS CO(PLPC)7,3416,875-4661,9882,8230.02%+835
TWILIO INC(TWLO)05,572+5,57201,1500.01%+1,150
ROCKET LAB CORP(RKLB)23,55522,751-8041,5132,3130.02%+800
CHURCHILL CAP CORP XI
CL A ORD SHS
045,590+45,59007960.01%+796
MAMAS CREATIONS INC65,408100,497+35,0891,0031,7940.02%+791
CURTISS WRIGHT CORP(CW)02,085+2,08501,5800.01%+1,580
AXSOME THERAPEUTICS INC.(AXSM)04,468+4,46801,0940.01%+1,094
VELO3D INC074,422+74,42201,3060.01%+1,306
UNITED AIRLS HLDGS INC(UAL)05,277+5,27707180.01%+718
PROTO LABS INC(PRLB)37,59435,011-2,5832,1442,8540.02%+710
XPO INC(XPO)03,396+3,39606970.01%+697
GLAUKOS CORP(GKOS)04,818+4,81806730.01%+673
CAMTEK LTD(CAMT)04,113+4,11306710.01%+671
OUTFRONT MEDIA INC(OUT)51,41160,351+8,9401,3621,9770.02%+615
EL POLLO LOCO HLDGS INC046,419+46,41907870.01%+787
ADAPTIVE BIOTECHNOLOGIES COR(ADPT)0102,457+102,45702,1980.02%+2,198
FORMFACTOR INC(FORM)03,591+3,59105740.00%+574
DIANTHUS THERAPEUTICS INC(DNTH)09,333+9,33309100.01%+910
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