Fund Holdings — ALKEON CAPITAL MANAGEMENT LLC

Total Portfolio Value
$25.93B
Total Bought
$4.71B
Total Sold
$2.83B
Net Transaction
+$1.88B
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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APPLIED MATLS INC01,504,800+1,504,80001,087,9704.20%+1,087,970
LAM RESEARCH CORP(LRCX)3,900,4563,050,456-850,000833,3711,321,8545.10%+488,483
NOKIA CORP(NOK)036,000,000+36,000,0000478,0801.84%+478,080
MKS INC.(MKSI)01,072,040+1,072,0400476,8431.84%+476,843
AMPHENOL CORP4,617,9485,731,348+1,113,400583,4781,010,5513.90%+427,074
INVESCO QQQ TR1,325,7771,608,257+282,480765,2121,184,3204.57%+419,108
SILICON MOTION TECHNOLOGY CO(SIMO)01,100,000+1,100,0000366,6631.41%+366,663
KLA CORP(KLAC)580,9153,759,150+3,178,235855,3451,134,1734.37%+278,828
TWILIO INC(TWLO)1,840,0002,335,700+495,700231,509481,9251.86%+250,416
TERADYNE INC(TER)2,789,5102,163,010-626,500826,9781,046,5514.04%+219,573
NVENT ELEC PLC(NVT)01,217,317+1,217,3170206,4690.80%+206,469
AMAZON COM INC(AMZN)5,808,2995,808,29901,209,6941,384,3505.34%+174,656
ANALOG DEVICES INC(ADI)2,067,0832,069,083+2,000657,622821,7783.17%+164,156
CADENCE DESIGN SYSTEM INC(CDNS)1,622,8741,622,8740450,948609,0972.35%+158,149
ISHARES TR310,700371,200+60,500102,115237,8500.92%+135,735
EQUINIX INC(EQIX)233,775333,775+100,000229,156347,9241.34%+118,768
SPOTIFY TECHNOLOGY S A(SPOT)0204,000+204,000093,6630.36%+93,663
ASTERA LABS INC(ALAB)200,000200,000021,92096,6040.37%+74,684
QUANTA SVCS INC400,983400,9830220,148288,7241.11%+68,576
VISA INC(V)1,468,6181,468,6180443,875503,8681.94%+59,993
ALIBABA GROUP HLDG LTD(BABA)500,0001,200,000+700,00062,730115,1760.44%+52,446
BWX TECHNOLOGIES INC(BWXT)1,739,3482,022,748+283,400355,679393,7281.52%+38,049
UBER TECHNOLOGIES INC(UBER)3,861,0054,336,005+475,000277,722312,8861.21%+35,164
VULCAN MATLS CO(VMC)1,478,6461,478,6460402,635436,2151.68%+33,580
TRANSDIGM GROUP INC(TDG)149,078149,0780172,775198,5780.77%+25,802
MICROCHIP TECHNOLOGY INC.(MCHP)0206,000+206,000018,7870.07%+18,787
X-ENERGY INC01,000,000+1,000,000018,3600.07%+18,360
CANADIAN PACIFIC KANSAS CITY(CP)2,004,0002,004,0000157,635173,6470.67%+16,012
NAVAN INC(NAVN)2,686,8282,185,278-501,55035,57449,9770.19%+14,404
NVIDIA CORPORATION(NVDA)429,459439,459+10,00074,89887,9310.34%+13,034
HINGE HEALTH INC(HNGE)691,104466,104-225,00026,64938,6870.15%+12,038
MASTERCARD INCORPORATED(MA)778,465778,4650388,968399,8201.54%+10,852
ENTERGY CORP NEW(ETR)3,326,0123,341,012+15,000373,711383,7491.48%+10,038
IREN LIMITED
ORDINARY SHARES
500,000550,000+50,00017,14025,1520.10%+8,012
BURLINGTON STORES INC(BURL)545,000585,000+40,000177,332185,3280.71%+7,996
SHERWIN WILLIAMS CO(SHW)306,735306,735098,324105,6150.41%+7,291
STATE STR SPDR DOW JONES IND(DIA)119,700119,700055,44462,5300.24%+7,086
CRH PLC
ORD
2,050,0002,046,550-3,450215,496218,9810.84%+3,485
NISOURCE INC(NI)3,365,5003,365,5000157,034160,0300.62%+2,995
ADVANCED MICRO DEVICES INC(AMD)04,510+4,51002,6200.01%+2,620
INTEL CORP(INTC)018,320+18,32002,5580.01%+2,558
FULL TRUCK ALLIANCE CO LTD(YMM)8,898,5359,398,535+500,00073,85876,3160.29%+2,458
YUM BRANDS INC(YUM)465,603465,603072,39274,4310.29%+2,039
APPLE INC(AAPL)56,62756,627014,37116,3860.06%+2,014
TOAST INC(TOST)1,238,0961,238,096032,82234,4440.13%+1,622
MADRIGAL PHARMACEUTICALS INC(MDGL)80,00080,000041,87842,9560.17%+1,078
CHIPOTLE MEXICAN GRILL INC(CMG)500,289500,289016,01417,0100.07%+996
JFROG LTD(FROG)14,42514,42506771,3110.01%+634
CINTAS CORP(CTAS)401,539401,539067,91668,2940.26%+377
DLOCAL LTD(DLO)823,837823,837010,68510,7060.04%+21
PAYLOCITY HLDG CORP(PCTY)24,68324,68302,6672,5800.01%-87
UIPATH INC(PATH)2,611,2762,611,276028,98528,3850.11%-601
ROSS STORES INC(ROST)472,635472,6350102,387100,6000.39%-1,787
ALTO NEUROSCIENCE INC(ANRO)227,101102,101-125,0005,1052,6940.01%-2,411
LOWES COS INC(LOW)213,594213,594050,46847,0950.18%-3,373
S&P GLOBAL INC(SPGI)190,416190,416080,99277,5490.30%-3,443
BITDEER TECHNOLOGIES GROUP(BTDR)475,0000-475,0004,1090—-4,109
ISHARES TR511,000463,000-48,00044,29940,0120.15%-4,286
DOORDASH INC(DASH)1,183,210933,210-250,000177,659172,2050.66%-5,454
STANDARDAERO INC(SARO)1,202,019852,019-350,00031,04825,4840.10%-5,564
SS&C TECH HLDGS(SSNC)1,764,9161,764,9160119,255109,5130.42%-9,742
ORIC PHARMACEUTICALS INC(ORIC)4,504,0963,739,096-765,00057,06740,4940.16%-16,572
NEW ORIENTAL ED & TECHNOLOGY(EDU)1,727,9861,727,986097,85679,3320.31%-18,524
TJX COS INC NEW(TJX)2,799,9712,799,9710447,155424,1961.64%-22,960
RUBRIK INC.(RBRK)500,0000-500,00024,4850—-24,485
BROADCOM INC(AVGO)98,0900-98,09030,3600—-30,360
JOHNSON CONTROLS INTERNATION
SHS
270,0000-270,00035,3570—-35,356
CARLYLE GROUP INC(CG)5,941,3165,941,3160287,500250,1890.96%-37,311
SYNOPSYS INC(SNPS)1,569,3481,270,948-298,400622,215566,9322.19%-55,283
INTERCONTINENTAL EXCHANGE IN(ICE)1,800,3101,800,3100283,153221,6360.85%-61,517
CONSTELLATION ENERGY CORP(CEG)1,374,7391,284,739-90,000383,896319,0911.23%-64,805
RTX CORPORATION(RTX)1,250,000890,000-360,000241,125168,8600.65%-72,265
VISTRA CORP(VST)2,546,3571,946,357-600,000382,794308,7511.19%-74,043
MARTIN MARIETTA MATLS INC(MLM)747,351627,351-120,000439,951361,7931.40%-78,157
GE AEROSPACE(GE)700,000320,000-380,000198,639119,5940.46%-79,045
TTM TECHNOLOGIES INC(TTMI)1,050,0000-1,050,000102,2910—-102,291
EXPEDIA GROUP INC(EXPE)2,475,2761,825,276-650,000571,516467,0521.80%-104,465
MERCADOLIBRE INC(MELI)180,499109,499-71,000312,086185,8620.72%-126,224
MICROSOFT CORP(MSFT)1,201,176851,176-350,000444,639317,5061.22%-127,134
META PLATFORMS INC(META)2,145,3991,945,399-200,0001,227,4471,095,8244.23%-131,623
ALPHABET INC(GOOG)5,058,6183,686,368-1,372,2501,454,6561,317,3975.08%-137,259
TAIWAN SEMICONDUCTOR MANUFAC(TSM)5,421,6683,536,218-1,885,4501,832,2531,688,7926.51%-143,461
VERTIV HOLDINGS CO(VRT)2,501,9801,421,980-1,080,000626,946476,1071.84%-150,839
ASML HLDG NV
N Y REGISTRY SHS
180,825825-180,000238,8391,6410.01%-237,198
SOLSTICE ADVANCED MATLS INC(SOLS)3,668,0200-3,668,020279,3560—-279,356
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