Fund Holdings — Varenne Capital Partners

Total Portfolio Value
$595.93M
Total Bought
$328.47M
Total Sold
$200.22M
Net Transaction
+$128.25M
Filing Period:
Securities
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SharesValue ($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)9,556217,265+207,7092,96782,01413.76%+79,047
WOODWARD INC(WWD)086,629+86,629036,8306.18%+36,830
NVIDIA CORPORATION(NVDA)0154,959+154,959030,9845.20%+30,984
LAUDER ESTEE COS INC(EL)0355,673+355,673028,0614.71%+28,061
CBOE GLOBAL MKTS INC(CBOE)0106,908+106,908025,9254.35%+25,925
FIVE BELOW INC(FIVE)0140,847+140,847025,3054.25%+25,305
HERSHEY CO(HSY)0127,096+127,096022,2833.74%+22,283
ARISTA NETWORKS INC(ANET)420,014419,076-93851,73171,14311.94%+19,412
AMAZON COM INC(AMZN)061,050+61,050014,5402.44%+14,540
GE HEALTHCARE TECHNOLOGIES I(GEHC)17,636242,161+224,5251,25915,4902.60%+14,231
V F CORP(VFC)0820,157+820,157013,6712.29%+13,671
TAIWAN SEMICONDUCTOR MANUFAC(TSM)184,607153,341-31,26662,58373,18012.28%+10,597
AMPHENOL CORP185,367186,110+74323,49432,7925.50%+9,298
ELI LILLY & CO(LLY)26,06126,251+19024,04531,4645.28%+7,419
TEXTRON INC(TXT)063,169+63,16905,7900.97%+5,790
WASTE CONNECTIONS INC(WCN)034,303+34,30305,7140.96%+5,714
ROSS STORES INC(ROST)018,694+18,69403,9760.67%+3,976
WARNER BROS DISCOVERY INC(WBD)0103,500+103,50002,7570.46%+2,757
MICRON TECHNOLOGY INC(MU)12,1795,305-6,8744,1276,1191.03%+1,992
ANALOG DEVICES INC(ADI)81,04470,156-10,88825,86427,8444.67%+1,980
WABTEC(WAB)19,21420,473+1,2594,8175,5160.93%+699
BRADY CORP(BRC)03,269+3,26902990.05%+299
CHART INDS INC17,87417,87403,7073,7320.63%+25
SEALED AIR CORP NEW(SDA)6,5350-6,5352760—-276
ROPER TECHNOLOGIES INC(ROP)1,7340-1,7346160—-616
GXO LOGISTICS INCORPORATED(GXO)162,766135,089-27,6778,4666,8441.15%-1,622
GLOBUS MED INC(GMED)236,615238,200+1,58520,45018,8073.16%-1,643
JOHNSON CONTROLS INTERNATION
SHS
50,32133,223-17,0986,6104,8510.81%-1,759
CLEARWATER ANALYTICS HLDGS I76,8410-76,8411,8230—-1,823
ONESTREAM INC
CL A
76,9060-76,9061,8520—-1,852
AMICUS THERAPEUTIC
COM
180,8180-180,8182,6230—-2,623
AIR LEASE CORP
CL A
53,6290-53,6293,4940—-3,494
HOLOGIC INC47,3760-47,3763,5920—-3,592
GE VERNOVA INC(GEV)6,2850-6,2855,5030—-5,503
MICROSOFT CORP(MSFT)51,8180-51,81819,2410—-19,241
DECKERS OUTDOOR CORP(DECK)202,7180-202,71820,3530—-20,353
AT&T INC(T)833,9930-833,99324,2530—-24,253
TE CONNECTIVITY PLC(TEL)121,0420-121,04225,3790—-25,379
ENVISTA HOLDINGS CORPORATION(NVST)1,051,0290-1,051,02926,7480—-26,748
BOOKING HOLDINGS INC(BKNG)6,4180-6,41827,1060—-27,106
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Varenne Capital Partners — 13F Holdings — Q2 2026 | TickerTrail