Fund HoldingsSYCOMORE ASSET MANAGEMENT

Total Portfolio Value
$931.6K
Total Bought
$0
Total Sold
$7.6K
Net Transaction
-$7.6K
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
MICRON TECHNOLOGY INC(MU)155,733155,73301714014.98%+122
NVIDIA(NVDA)380,389380,389047828.77%+35
BROADCOM(AVGO)104,183104,183019444.72%+25
ADVANCED MICRO DEVICES(AMD)67,94267,942011343.67%+23
VERTIV HOLDINGS(VRT)76,65176,65108252.66%+17
ALPHABET - A(GOOG)47,80347,80308192.00%+11
COHERENT INC(COHR)34,37434,37403131.41%+10
TSMC ADR(TSM)40,52440,52408171.79%+9
ANALOG DEVICES(ADI)44,25144,251010191.99%+9
QUANTA SERVICES19,45519,45506141.55%+9
PURE STORAGE(P)187,874187,87409171.78%+7
MASTEC(MTZ)22,43722,4370390.94%+6
APPLIED MATERIAL22,25222,25205101.09%+5
ASTERA LABS INC(ALAB)17,23117,2310150.59%+5
ASTRA ZENECA(AZN)163,871163,871026313.29%+4
CROWDSTRIKE(CRWD)10,85410,8540370.78%+4
SNOWFLAKE(SNOW)63,63763,63707111.21%+4
ELI LILLY(LLY)20,23820,238018222.31%+3
EATON CORP(ETN)44,42844,428015181.92%+3
DARLING INGREDIENTS(DAR)130,096130,0960580.83%+3
JP MORGAN(JPM)29,16429,1640690.96%+3
WABTEC(WAB)33,55833,5580690.94%+3
ON SEMICONDUCTOR CORP(ON)44,45044,4500360.61%+2
UNITED RENTALS(URI)14,06014,060011141.45%+2
DEERE(DE)15,83515,8350780.90%+2
APPLE INC US(AAPL)21,47921,4790570.71%+2
MONGO DB(MDB)41,78041,780011131.38%+1
DATADOG(DDOG)6,7006,7000110.16%+1
SYNOPSYS(SNPS)21,05421,054011111.21%0
ACUITY BRANDS INC(AYI)7,6697,6690220.24%0
TOTAL ENERGIES(TTE)12,71012,7100110.12%0
NEXTERA ENERGY(NEE)42,88942,8890440.40%0
INVESCO SOLAR ETF
SOLAR ETF
6,5006,5000000.05%0
INVESCO CHINA TECHNOLOGY ETF6,1006,1000000.04%0
REPUBLIC SERVICES(RSG)13,88413,8840330.31%0
FIRST SOLAR INC(FSLR)5,5445,5440110.16%0
MASTERCARD(MA)39,83439,834020202.11%0
ALIBABA GROUP(BABA)2,8002,8000000.04%0
AMAZON.COM(AMZN)3003000000.01%0
BAIDU INC6006000000.01%0
DIGITAL REALTY 0.625 2031(DLR)500,000500,0000000.05%0
CALL FSLR 1/17/25 C2302002000000.00%0
CALL NXT 02/21/25 C455005000000.00%0
CALL RUN 1/17/25 C17.5(RUN)1,6001,6000000.00%0
WEST FRASER(WFG)6,5006,5000100.04%-0
CARLISLE COS INC(CSL)3,0003,0000110.11%-0
AMERICAN WATER WORKS23,55323,5530330.31%-0
XYLEM(XYL)25,93925,9390330.31%-1
QIAGEN N.V.(QGEN)64,02464,0240330.28%-1
INTUITIVE SURGICAL18,94518,9450980.89%-1
T-MOBILE US(TMUS)78,61478,614016151.61%-1
SENTINEL ONE(S)207,688207,6880540.41%-1
OWENS CORNING(OC)20,94720,9470430.27%-1
PALO ALTO(PANW)17,36517,3650640.48%-1
ARISTA NETWORKS(ANET)7,0397,0390310.12%-2
VEEVA(VEEV)40,27340,2730860.69%-2
PROCORE TECHNOLOGY(PCOR)155,373155,37301070.79%-2
VERISK ANALYTICS INC(VRSK)24,08524,0850640.44%-2
STRYKER CORP(SYK)47,57847,578017151.60%-2
PROGRESSIVE US(PGR)51,77051,770013101.10%-3
MICROSOFT CORP(MSFT)189,860189,860082798.48%-3
GITLAB INC(GTLB)133,668133,6680740.38%-3
WASTE CONNECTIONS(WCN)117,228117,228028252.67%-3
THERMO FISHER(TMO)23,31823,318014101.12%-4
SMURFIT WESTROCK(SW)488,737488,737018141.50%-4
FERRARI NV
COM
23,64923,64901280.82%-4
DUOLINGO(DUOL)28,18428,1840830.32%-5
INTUIT INC(INTU)16,84616,84601150.55%-6
ALCON INC(ALC)133,220133,22001490.94%-6
CLEAN HARBORS(CLH)31,4370-31,43780-8
STELLANTIS NV(STLA)1,110,0511,110,05101890.92%-10
ACCENTURE PLC
SHS CLASS A
57,24257,242020101.09%-10
WORKDAY INC(WDAY)98,18998,189024121.31%-12
SERVICENOW(NOW)25,70325,70302330.28%-20
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