Fund HoldingsMAVERICK CAPITAL LTD

Total Portfolio Value
$8.60B
Total Bought
$2.53B
Total Sold
$2.97B
Net Transaction
-$440.13M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
LINDE PLC(LIN)0426,111+426,1110211,2492.46%+211,249
INFLEQTION INC(INFQ)019,941,924+19,941,9240195,6302.28%+195,630
ABBOTT LABORATORIES01,758,160+1,758,1600180,5102.10%+180,510
REPLIGEN CORP(RGEN)01,518,805+1,518,8050178,9462.08%+178,946
DANAHER CORP DEL(DHR)0819,679+819,6790155,4111.81%+155,411
ADVANCED MICRO DEVICES INC(AMD)0676,572+676,5720137,6351.60%+137,635
INTEL CORP(INTC)02,995,488+2,995,4880132,1911.54%+132,191
NU HLDGS LTD(NU)022,444,311+22,444,3110322,5253.75%+322,525
ARGAN INC438,858464,759+25,901137,503253,1312.94%+115,628
MCDONALDS CORP(MCD)12,453294,100+281,6473,80691,4031.06%+87,597
MOLINA HEALTHCARE INC(MOH)0645,768+645,768086,0811.00%+86,081
NOVO-NORDISK A S(NVO)02,080,121+2,080,121076,4440.89%+76,444
FLUOR CORP(FLR)01,415,557+1,415,557066,0360.77%+66,036
BOSTON SCIENTIFIC CORP(BSX)(Call)01,000,000+1,000,000062,750+62,750
ASML HLDG NV
N Y REGISTRY SHS
261,003258,377-2,626279,237341,2723.97%+62,035
CORNING INC(GLW)0374,507+374,507050,9220.59%+50,922
MIRION TECHNOLOGIES INC(MIR)02,649,879+2,649,879049,2610.57%+49,261
ROIVANT SCIENCES LTD(ROIV)01,626,940+1,626,940045,0660.52%+45,066
DICKS SPORTING GOODS INC(DKS)834,2491,044,903+210,654165,156207,1942.41%+42,038
SHERWIN WILLIAMS CO(SHW)0391,839+391,8390125,6041.46%+125,604
CENTESSA PHARMACEUTICALS PLC1,643,7241,854,488+210,76441,11073,6600.86%+32,551
BIO-TECHNE CORP(TECH)3,850,9234,739,721+888,798226,473247,6982.88%+21,225
SOUTHWEST GAS HLDGS INC(SWX)2,048,0532,126,927+78,874163,885184,8302.15%+20,945
MARVELL TECHNOLOGY INC(MRVL)0188,160+188,160018,6370.22%+18,637
NATERA INC(NTRA)944,0281,171,633+227,605216,267234,3152.72%+18,048
ACADIA HEALTHCARE COMPANY IN(ACHC)01,314,116+1,314,116030,7370.36%+30,737
VAXCYTE INC(PCVX)1,354,2371,377,738+23,50162,48480,0600.93%+17,576
RTX CORPORATION(RTX)1,368,8421,364,888-3,954251,046263,2873.06%+12,241
APPLIED MATLS INC1,131,276869,943-261,333290,727297,3383.46%+6,611
MERIT MED SYS INC(MMSI)0714,081+714,081049,2220.57%+49,222
INTERPARFUMS INC(IPAR)056,734+56,73405,1540.06%+5,154
ROCKET PHARMACEUTICALS INC03,567,372+3,567,372012,7710.15%+12,771
HORMEL FOODS CORP(HRL)0171,063+171,06303,8750.05%+3,875
NEWAMSTERDAM PHARMA COMPANY
ORDINARY SHARES
1,894,2262,186,402+292,17666,44969,9870.81%+3,537
EDGEWELL PERSONAL CARE CO(EPC)0165,242+165,24203,5260.04%+3,526
PRIMO BRANDS CORPORATION(PRMB)0224,525+224,52504,2280.05%+4,228
CELESTICA INC(CLS)011,573+11,57303,2650.04%+3,265
BUNGE GLOBAL SA(BG)023,975+23,97503,0500.04%+3,050
HERSHEY CO(HSY)10,50023,317+12,8171,9114,8470.06%+2,937
PICS NV(PICS)0268,663+268,66302,8080.03%+2,808
ALTRIA GROUP INC(MO)052,322+52,32203,4530.04%+3,453
BANK NOVA SCOTIA B C036,701+36,70102,5460.03%+2,546
COTY INC(COTY)01,261,833+1,261,83302,5360.03%+2,536
CANADIAN NAT RES LTD MED TER(CNQ)046,050+46,05002,2460.03%+2,246
MEDLINE INC(MDLN)796,077796,077033,43535,4250.41%+1,990
SPECTRUM BRANDS HOLDINGS INC(SPB)51,58867,826+16,2383,0484,9990.06%+1,951
CANADIAN NATL RY CO(CNI)018,775+18,77501,9330.02%+1,933
WAVE LIFE SCIENCES LTD(WVE)(Call)380,0001,156,000+776,0006,4608,381+1,921
KIMBERLY-CLARK CORP(KMB)019,028+19,02801,8360.02%+1,836
PAN AMERN SILVER CORP(PAAS)032,915+32,91501,8010.02%+1,801
CLOROX CO DEL(CLX)016,486+16,48601,7080.02%+1,708
MKS INC.(MKSI)07,286+7,28601,6740.02%+1,674
COHERENT CORP(COHR)06,869+6,86901,6360.02%+1,636
KENVUE INC(KVUE)092,009+92,00901,5860.02%+1,586
FRESHPET INC(FRPT)034,509+34,50902,0350.02%+2,035
GLOBE LIFE INC011,081+11,08101,5420.02%+1,542
NRG ENERGY INC(NRG)010,537+10,53701,5400.02%+1,540
ICON PLC(ICLR)013,887+13,88701,5370.02%+1,537
LUMENTUM HLDGS INC(LITE)02,172+2,17201,5260.02%+1,526
WESCO INTL INC(WCC)05,555+5,55501,5200.02%+1,520
EAST WEST BANCORP INC(EWBC)014,203+14,20301,5160.02%+1,516
SUNCOR ENERGY INC NEW(SU)022,911+22,91101,5160.02%+1,516
ENTEGRIS INC(ENTG)012,859+12,85901,5080.02%+1,508
WESTERN ALLIANCE BANCORP(WAL)021,081+21,08101,4940.02%+1,494
ELEMENT SOLUTIONS INC(ESI)043,524+43,52401,4860.02%+1,486
ENERSYS(ENS)08,546+8,54601,4850.02%+1,485
TRANSFORCE INC(TFII)013,569+13,56901,4770.02%+1,477
TECK RESOURCES LTD(TECK)027,573+27,57301,4270.02%+1,427
SAIA INC(SAIA)04,030+4,03001,4160.02%+1,416
CHARLES RIV LABS INTL INC(CRL)08,178+8,17801,4110.02%+1,411
REGAL REXNORD CORPORATION(RRX)07,377+7,37701,3810.02%+1,381
PINNACLE FINL PARTNERS INC(PNFP)016,023+16,02301,3800.02%+1,380
APPLIED OPTOELECTRONICS INC(AAOI)016,193+16,19301,3700.02%+1,370
GLOBUS MED INC(GMED)015,660+15,66001,3490.02%+1,349
CITIZENS FINL GROUP INC(CFG)022,222+22,22201,3330.02%+1,333
ALLEGRO MICROSYSTEMS INC(ALGM)042,224+42,22401,3310.02%+1,331
TIMKEN CO(TKR)013,221+13,22101,3300.02%+1,330
HUNTINGTON BANCSHARES INC(HBAN)083,182+83,18201,3020.02%+1,302
GENERAC HLDGS INC(GNRC)06,487+6,48701,2670.01%+1,267
ULTRA CLEAN HLDGS INC(UCTT)020,309+20,30901,2630.01%+1,263
OSHKOSH CORP(OSK)08,497+8,49701,2510.01%+1,251
SOUTHSTATE BK CORP013,497+13,49701,2490.01%+1,249
ANHEUSER BUSCH INBEV SA NV(BUD)051,020+51,02003,5390.04%+3,539
INTEGER HLDGS CORP(ITGR)014,051+14,05101,2360.01%+1,236
HUDBAY MINERALS INC(HBM)059,037+59,03701,2340.01%+1,234
TRAVEL PLUS LEISURE CO(TNL)017,644+17,64401,2210.01%+1,221
EXPAND ENERGY CORPORATION(EXE)011,017+11,01701,2090.01%+1,209
AMENTUM HOLDINGS INC046,335+46,33501,2080.01%+1,208
KBR INC(KBR)032,606+32,60601,2020.01%+1,202
SANOFI SA(SNY)024,581+24,58101,1840.01%+1,184
CROWN HLDGS INC(CCK)011,554+11,55401,1580.01%+1,158
SCIENCE APPLICATIONS INTL CO(SAIC)012,079+12,07901,1470.01%+1,147
MIDDLEBY CORP(MIDD)08,647+8,64701,1460.01%+1,146
ICHOR HOLDINGS
SHS
024,410+24,41001,1380.01%+1,138
RAMBUS INC DEL(RMBS)013,028+13,02801,1210.01%+1,121
AGCO CORP09,653+9,65301,1180.01%+1,118
SEABOARD CORP DEL(SEB)693741+483,0804,1900.05%+1,109
RANGE RES CORP(RRC)024,168+24,16801,0920.01%+1,092
CENOVUS ENERGY INC(CVE)041,248+41,24801,0910.01%+1,091
ARCBEST CORP(ARCB)011,094+11,09401,0910.01%+1,091
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