Fund HoldingsDeer Management Co. LLC

Total Portfolio Value
$812.16M
Total Bought
$275.93M
Total Sold
$353.14M
Net Transaction
-$77.21M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
XANADU QUANTUM TECHNOLOGIES LTD(XNDU)022,785,156+22,785,1560275,92833.97%+275,928
STUBHUB HOLDINGS, INC.(STUB)22,038,48922,038,4890137,520283,63534.92%+146,115
HINGE HEALTH, INC.(HNGE)2,633,7071,908,707-725,000101,556158,42319.51%+56,867
KYMERA THERAPEUTICS, INC.(KYMR)125,895125,895010,48614,4361.78%+3,951
FRACTYL HEALTH, INC.4,770,9014,770,90102,1953,7880.47%+1,593
SPIRE GLOBAL, INC.713,310538,310-175,0008,97310,0131.23%+1,039
TSCAN THERAPEUTICS, INC.1,245,5041,245,50401,2581,2210.15%-37
CS DISCO, INC.8,652,8268,652,826033,05432,7084.03%-346
FIVERR INTERNATIONAL LTD.561,4260-561,4265,6250-5,625
SERVICETITAN, INC.(TTAN)5,068,0644,568,064-500,000321,61932,0083.94%-289,612
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