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FolioFact
FolioFact
Q2 2026 58/68 funds filed
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Some record dates are in the future and are excluded from the latest observation date.

Investor portfolio

Polen Capital Management

QualityGrowth

Polen Capital Management is an investment management firm listed with manager Polen Capital.

Linked investors: Polen Capital

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US 13F portfolio

Quarter
Q2 2026
Filed
2026-08-04
Portfolio value
$11,610,786,601
Positions
219
history Ticker Change % of portfolio
≡ ITRG Newly reported 0.0%
≡ ARWR Newly reported 0.0%
≡ VIST +164% 0.0%
≡ AEIS Newly reported 0.0%
≡ TLN +116% 0.0%
≡ FORM Newly reported 0.0%
≡ NXE −47% 0.01%
≡ SN +66% 0.01%
≡ CAMT Newly reported 0.01%
≡ GKOS Newly reported 0.01%
≡ XPO Newly reported 0.01%
≡ MITK +34% 0.01%
≡ UAL Newly reported 0.01%
≡ AFRM +88% 0.01%
≡ APEI −1% 0.01%
≡ MTSI +93% 0.01%
≡ LOCO +254% 0.01%
≡ CCXI Newly reported 0.01%
≡ AAPL −29% 0.01%
≡ CYD Newly reported 0.01%
≡ DNTH +127% 0.01%
≡ ASPI +22% 0.01%
≡ EMBJ +61% 0.01%
≡ ADTN −7% 0.01%
≡ WSC Newly reported 0.01%
≡ WYFI Newly reported 0.01%
≡ RXO Newly reported 0.01%
≡ VOO Newly reported 0.01%
≡ CATH −37% 0.01%
≡ URGN Newly reported 0.01%
≡ AXSM +111% 0.01%
≡ OSCR Newly reported 0.01%
≡ IBN −68% 0.01%
≡ PRSU Newly reported 0.01%
≡ NESR Newly reported 0.01%
≡ SPCX Newly reported 0.01%
≡ TWLO +106% 0.01%
≡ FN +8% 0.01%
≡ SOFI −37% 0.01%
≡ VT +17% 0.01%
≡ GRBK +16% 0.01%
≡ BTDR Newly reported 0.01%
≡ O −7% 0.01%
≡ VELO +21% 0.01%
≡ AIRJ Newly reported 0.01%
≡ KOD −14% 0.01%
≡ CVLG Newly reported 0.01%
≡ ZGN Newly reported 0.01%
≡ FTI −35% 0.01%
≡ ADBE −36% 0.01%
≡ RNG Newly reported 0.01%
≡ CW +75% 0.01%
≡ ETON +51% 0.01%
≡ RHLD −16% 0.01%
≡ ERO −11% 0.01%
≡ ADEA Newly reported 0.01%
≡ MAMA +54% 0.02%
≡ WOLF Newly reported 0.02%
≡ ESTA −7% 0.02%
≡ TVTX Newly reported 0.02%
≡ GHM −11% 0.02%
≡ OUT +17% 0.02%
≡ PTCT Newly reported 0.02%
≡ BLLN Newly reported 0.02%
≡ AKTS Newly reported 0.02%
≡ ONON −33% 0.02%
≡ ACWX +8% 0.02%
≡ PENG Newly reported 0.02%
≡ SMTC +104% 0.02%
≡ NOVT Newly reported 0.02%
≡ ADPT −12% 0.02%
≡ SE −30% 0.02%
≡ RKLB −3% 0.02%
≡ MEC Newly reported 0.02%
≡ VCTR −29% 0.02%
≡ KN Newly reported 0.02%
≡ PRAX −28% 0.02%
≡ MIRM +2% 0.02%
≡ CVNA +410% 0.02%
≡ FIVN Newly reported 0.02%
≡ WT +37% 0.02%
≡ ROAD −15% 0.02%
≡ CAKE +34% 0.02%
≡ PURR +449% 0.02%
≡ AZZ +20% 0.02%
≡ CALY +107% 0.02%
≡ PTGX −7% 0.02%
≡ DRTS Newly reported 0.02%
≡ FPS Newly reported 0.02%
≡ PLPC −6% 0.02%
≡ OPY −0% 0.02%
≡ PRLB −7% 0.02%
≡ AAOI +29% 0.02%
≡ SRRK +0% 0.02%
≡ CDNL Newly reported 0.02%
≡ CPA Newly reported 0.03%
≡ JOBY +13% 0.03%
≡ SPY +7% 0.03%
≡ TIGO −7% 0.03%
≡ EVC Newly reported 0.03%

13F filings show only a manager's disclosed reportable long positions; this filing contains no call or put rows — methodology & caveats.

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