Fund Holdings — Carmignac Gestion

Total Portfolio Value
$7.71B
Total Bought
$2.36B
Total Sold
$1.22B
Net Transaction
+$1.14B
Filing Period:
Securities
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SharesValue ($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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BROADCOM INC(AVGO)541,6511,354,155+812,504167,447511,4856.64%+344,038
MCKESSON CORP(MCK)317,721626,904+309,183274,936473,6746.15%+198,738
MASTERCARD INC(MA)380,470732,598+352,128190,065376,2344.88%+186,169
NVIDIA CORP(NVDA)4,566,4444,795,726+229,282796,005959,39712.45%+163,391
BERKSHIRE HATHAWAY INC407,702704,407+296,705195,371352,4784.57%+157,107
MICROSOFT CORP(MSFT)214,923621,773+406,85079,442231,9023.01%+152,460
CENCORA INC1,101,2511,747,363+646,112345,930494,4636.42%+148,533
TRADEWEB MARKETS INC(TW)2,286,2003,876,800+1,590,600268,994386,3625.01%+117,368
ZOETIS INC(ZTS)01,575,700+1,575,7000113,2301.47%+113,230
AMPHENOL CORP669,236969,763+300,52784,558170,9892.22%+86,431
INTERCONTINENTAL EXCHANGE INC(ICE)1,150,0732,070,226+920,153180,879254,8613.31%+73,982
CELESTICA INC(CLS)0193,200+193,200070,4790.91%+70,479
PARKER-HANNIFIN CORP(PH)35,433103,265+67,83231,721100,9711.31%+69,250
LANTHEUS HOLDINGS INC(LNTH)1,328,0001,340,100+12,100100,729148,6711.93%+47,942
EQUIFAX INC(EFX)364,605710,685+346,08065,622112,7981.46%+47,176
VNET GROUP INC(VNET)322,7204,760,599+4,437,8792,70838,1230.49%+35,415
SPACE EXPLORATION TECHNOLOGIES CORP0168,723+168,723028,8280.37%+28,828
ITAU UNIBANCO HOLDING SA(ITUB)8,630,22212,219,314+3,589,09272,32199,8321.30%+27,511
ALPHABET INC(GOOG)1,345,5921,154,334-191,258386,765412,4805.35%+25,715
GITLAB INC(GTLB)947,0001,475,612+528,61220,49345,0500.58%+24,557
BBB FOODS INC(TBBB)106,965670,106+563,1413,77827,9170.36%+24,139
REGENERON PHARMACEUTICALS INC(REGN)116,571182,507+65,93690,015113,8271.48%+23,812
IONIS PHARMACEUTICALS INC(IONS)53,000321,000+268,0003,98025,4520.33%+21,472
AGNICO EAGLE MINES LTD(AEM)0113,584+113,584017,6200.23%+17,620
FRANCO-NEVADA CORP(FNV)083,723+83,723017,4510.23%+17,451
ALIGN TECHNOLOGY INC225,171316,832+91,66138,53753,4960.69%+14,958
VERTEX PHARMACEUTICALS INC(VRTX)148,199163,045+14,84666,16081,0031.05%+14,842
NEUROCRINE BIOSCIENCES INC(NBIX)186,000214,100+28,10024,50436,0830.47%+11,580
AIRBNB INC659,570656,570-3,00083,29193,9551.22%+10,665
SEA LTD(SE)637,576651,818+14,24252,64362,3490.81%+9,706
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD(TSM)1,37220,956+19,58446410,0080.13%+9,544
LIVERAMP HOLDINGS INC(RAMP)0234,126+234,12608,8130.11%+8,813
BIO-TECHNE CORP(TECH)0124,530+124,53008,7980.11%+8,798
ORGANON & CO(OGN)0448,606+448,60606,0740.08%+6,074
APOGEE THERAPEUTICS INC(APGE)044,475+44,47505,9030.08%+5,903
NUVALENT INC047,657+47,65705,8860.08%+5,886
KENVUE INC(KVUE)157,574420,432+262,8582,7178,0340.10%+5,318
ESPERION THERAPEUTICS INC01,659,399+1,659,39905,2440.07%+5,244
ROYALTY PHARMA PLC(RPRX)631,200630,700-50030,27935,3630.46%+5,085
LEGGETT & PLATT INC(LEG)0410,119+410,11904,8020.06%+4,802
WEBSTER FINANCIAL CORP(WBS)194,025222,221+28,19613,46916,9820.22%+3,513
KASPI.KZ JSC(KSPI)224,528226,666+2,13816,60719,6490.26%+3,042
PAYONEER GLOBAL INC(PAYO)0426,354+426,35403,0360.04%+3,036
CAESARS ENTERTAINMENT INC(CZR)0100,508+100,50803,0330.04%+3,033
SILICON LABORATORIES INC(SLAB)27,84340,340+12,4975,7968,8170.11%+3,021
CATALYST PHARMACEUTICALS INC095,603+95,60303,0050.04%+3,005
OPEN LENDING CORP0960,179+960,17902,9860.04%+2,986
GLOBAL BUSINESS TRAVEL GROUP I(GBTG)0316,463+316,46302,9720.04%+2,972
AVANOS MEDICAL INC089,418+89,41802,2250.03%+2,225
TALKSPACE INC(TALK)146,646556,771+410,1257592,8950.04%+2,136
CRH PLC
ORD
017,183+17,18301,8390.02%+1,839
VESTA REAL ESTATE CORP(VTMX)822,445829,302+6,85727,40528,4510.37%+1,046
MAKEMYTRIP LTD
SHS
30,42840,452+10,0241,1352,1560.03%+1,021
WARNER BROS DISCOVERY INC(WBD)236,373276,857+40,4846,4917,3810.10%+890
OLAPLEX HOLDINGS INC853,1991,252,648+399,4491,7322,5680.03%+836
DYNEX CAPITAL INC(DX)044,846+44,84605880.01%+588
AGNC INVESTMENT CORP(AGNC)049,928+49,92805440.01%+544
ANNALY CAPITAL MANAGEMENT INC023,612+23,61205280.01%+528
BRISTOL-MYERS SQUIBB CO(BMY)09,014+9,01405190.01%+519
GLOBALFOUNDRIES INC(GFS)05,719+5,71904710.01%+471
PFIZER INC(PFE)019,475+19,47504690.01%+469
CHART INDUSTRIES INC82,94482,944017,14917,3300.22%+182
APPLIED MATERIALS INC0232+23201680.00%+168
THERMO FISHER SCIENTIFIC INC(TMO)15,82815,727-1017,7407,9040.10%+165
DIGITALBRIDGE GROUP INC(DBRG)369,415369,41505,6965,8290.08%+133
QFIN HOLDINGS INC(QFIN)39,08139,08105056180.01%+113
JANUS HENDERSON GROUP PLC137,300137,30007,0537,1330.09%+80
ELECTRONIC ARTS INC48,93448,93409,97610,0330.13%+57
SELECT MEDICAL HOLDINGS CORP174,516174,51602,8432,8810.04%+38
CLEAR CHANNEL OUTDOOR HOLDINGS INC(CCO)58,47158,47101391420.00%+3
TXNM ENERGY INC(TXNM)47,00047,00002,7482,6690.03%-79
VISA INC(V)2,3281,721-6077045900.01%-113
INTERNATIONAL MONEY EXPRESS INC(IMXI)138,650138,65002,1912,0030.03%-187
CHURCH & DWIGHT CO INC(CHD)97,08690,997-6,0899,0738,8380.11%-235
EHANG HOLDINGS LTD76,98576,98507485040.01%-243
DAY ONE BIOPHARMACEUTICALS INC
COM
13,6910-13,6912940—-294
NETFLIX INC(NFLX)3,0710-3,0712950—-295
INTUIT INC(INTU)1,1640-1,1645030—-503
SUN COUNTRY AIRLINES HOLDINGS INC30,5250-30,5255040—-504
ACCENTURE PLC
SHS CLASS A
2,6650-2,6655280—-528
ELI LILLY & CO(LLY)5840-5845370—-537
SUNOPTA INC
COM
113,0660-113,0667330—-733
SUNBELT RENTALS HOLDINGS INC(SUNB)15,5910-15,5917410—-741
HOME DEPOT INC/THE(HD)30,73426,374-4,36010,0729,2880.12%-784
HILTON WORLDWIDE HOLDINGS INC(HLT)2,9900-2,9909090—-909
MARRIOTT INTERNATIONAL INC/MD(MAR)2,8380-2,8389280—-928
JPMORGAN CHASE & CO(JPM)3,3080-3,3089730—-973
COSTCO WHOLESALE CORP(COST)1,1510-1,1511,1470—-1,147
APPLE INC(AAPL)4,7850-4,7851,2140—-1,214
CISCO SYSTEMS INC(CSCO)15,7960-15,7961,2260—-1,226
APELLIS PHARMACEUTICALS INC
COM
35,1270-35,1271,4130—-1,413
PROCTER & GAMBLE CO/THE(PG)88,16076,813-11,34712,73911,2990.15%-1,440
ON24 INC
COM
178,5550-178,5551,4460—-1,446
COLGATE-PALMOLIVE CO(CL)236,202199,143-37,05920,15618,2930.24%-1,863
CLEARWATER ANALYTICS HOLDINGS INC90,5860-90,5862,1420—-2,142
ARCELLX INC
COMMON STOCK
18,9250-18,9252,1730—-2,173
SKYWATER TECHNOLOGY INC84,1060-84,1062,3050—-2,305
EVERPURE INC(P)40,0000-40,0002,3620—-2,362
TENCENT MUSIC ENTERTAINMENT GROUP(TME)2,881,1532,903,426+22,27326,74024,2570.31%-2,482
BIONTECH SE(BNTX)112,71179,875-32,8369,9567,4480.10%-2,508
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Carmignac Gestion — 13F Holdings — Q2 2026 | TickerTrail