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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

Thrive Capital

VCGrowth

Thrive Capital is Josh Kushner's investment firm, widely known for venture and growth investing.

Linked investors: Josh Kushner

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US 13F portfolio

Quarter
Q2 2026
Filed
2026-08-14
Portfolio value
$4,340,352,431
Positions
174
history Ticker Change % of portfolio
≡ CVNA SOLD —
≡ FOXA SOLD —
≡ HIMS SOLD —
≡ CAG SOLD —
≡ ABT SOLD —
≡ PHM SOLD —
≡ DECK SOLD —
≡ XOM SOLD —
≡ SGOL SOLD —
≡ GLD SOLD —
≡ T SOLD —
≡ MA SOLD —
≡ BX SOLD —
≡ CVX SOLD —
≡ PH SOLD —
≡ VGT SOLD —
≡ STUB SOLD —
≡ UNH Newly reported 0.0%
≡ KEYS Newly reported 0.0%
≡ A Newly reported 0.0%
≡ AXP Newly reported 0.0%
≡ GEV Newly reported 0.0%
≡ GLW Newly reported 0.0%
≡ DIA Newly reported 0.01%
≡ MCD −0% 0.01%
≡ LMT +1% 0.01%
≡ BAR +24% 0.01%
≡ VXUS +1% 0.01%
≡ SMH −42% 0.01%
≡ FTEC Newly reported 0.01%
≡ MDYG −6% 0.01%
≡ ACWI −4% 0.01%
≡ SPYV Newly reported 0.01%
≡ COST −22% 0.01%
≡ IJR Newly reported 0.01%
≡ FLOT +20% 0.01%
≡ GS −10% 0.01%
≡ CAT −7% 0.01%
≡ HD −1% 0.01%
≡ VEU −5% 0.01%
≡ CAH 0.01%
≡ BSY +0% 0.01%
≡ TSM −4% 0.01%
≡ SCHD +8% 0.01%
≡ CEG −1% 0.01%
≡ PANW Newly reported 0.01%
≡ IBM −1% 0.01%
≡ QTEC −9% 0.01%
≡ IVV −3% 0.01%
≡ MS −1% 0.01%
≡ AZN −2% 0.01%
≡ ORCL −1% 0.01%
≡ CSCO −1% 0.01%
≡ XLU −4% 0.01%
≡ BIV −18% 0.01%
≡ D +1% 0.01%
≡ LRCX −2% 0.01%
≡ ABBV +6% 0.01%
≡ IEFA +9% 0.01%
≡ DVY −1% 0.01%
≡ BNDX −54% 0.01%
≡ BOND −3% 0.01%
≡ PM −3% 0.01%
≡ STIP +51% 0.01%
≡ GOVT +2% 0.01%
≡ LIN 0.01%
≡ JPM −21% 0.01%
≡ BRK.{A,B} +7% 0.01%
≡ LQD −3% 0.01%
≡ LGLV −8% 0.02%
≡ SPY 0.02%
≡ HYG +2% 0.02%
≡ XOVR Newly reported 0.02%
≡ IQLT −8% 0.02%
≡ NUE 0.02%
≡ VGSH Newly reported 0.02%
≡ SNEX −22% 0.02%
≡ TSLA 0.02%
≡ VCSH +337% 0.02%
≡ VYMI −0% 0.02%
≡ DWM +1% 0.02%
≡ BAC −1% 0.02%
≡ AOM −7% 0.02%
≡ VO +145% 0.02%
≡ XLV −34% 0.02%
≡ CVS +1% 0.02%
≡ SPSB +4% 0.02%
≡ AOK +2% 0.03%
≡ RSP +14% 0.03%
≡ XLP +6% 0.03%
≡ SPYG −11% 0.04%
≡ KBWD +6% 0.04%
≡ AMGN −0% 0.04%
≡ GLDM −53% 0.04%
≡ HYD +34% 0.04%
≡ PFF +8% 0.04%
≡ XLE −4% 0.04%
≡ VTI +1% 0.04%
≡ VGLT +0% 0.05%
≡ SHYG +8% 0.05%

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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