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Glynn Capital Management 13F filings

Manager(s): John W. Glynn

Holdings as of 2024-09-30

Filed on 2024-11-08 under CIK 911270

Company
Investment Type
Change
Value (x$1000)
increase or decrease
KLAVIYO SRS A ORD COM
1,159,579 sh
-204,189 sh
-15%
$41,026
$7,082
Oscar Health Inc.
1,915,719 sh
 
$40,632
ServiceNow Inc
37,577 sh
-6,458 sh
-15%
$33,608
-$1,033
Datadog Inc
247,419 sh
-22,465 sh
-8%
$28,468
-$6,533
ADYEN N V UNSPONSRED ADS STOCK
1,735,802 sh
-130,974 sh
-7%
$27,131
$4,972
Toast Inc.
916,014 sh
-54,419 sh
-6%
$25,932
$924
ATLASSIAN CORPORATION CL A
162,899 sh
-17,718 sh
-10%
$25,870
-$6,078
Gitlab Inc.
485,915 sh
68,990 sh
17%
$25,044
$4,314
Crowdstrike Holdings Inc
86,260 sh
3,352 sh
4%
$24,193
-$7,577
NU HOLDINGS CL A ORD COM
1,756,860 sh
-1,162,223 sh
-40%
$23,981
-$13,646
MongoDB Inc.
83,609 sh
-3,538 sh
-4%
$22,604
$821
Cloudflare Inc
251,108 sh
48,701 sh
24%
$20,312
$3,547
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
101,155 sh
101,155 sh
NEW
$17,568
$17,568
Snowflake Inc.
130,855 sh
-10,003 sh
-7%
$15,030
-$3,999
Couchbase Inc.
531,470 sh
 
$8,567
Eli Lilly
7,291 sh
-6,199 sh
-46%
$6,459
-$5,755
BERKSHIRE HATHAWAY CL B COM
9,849 sh
-7,048 sh
-42%
$4,533
-$2,341
Apple Inc
19,112 sh
-12,911 sh
-40%
$4,453
-$2,292
Amazon.com Inc
21,901 sh
-15,179 sh
-41%
$4,081
-$3,085
Microsoft Corp
9,252 sh
-5,770 sh
-38%
$3,981
-$2,733
Meta Platforms, Inc.
6,913 sh
-3,889 sh
-36%
$3,957
-$1,490
Visa Inc
11,620 sh
-8,380 sh
-42%
$3,195
-$2,054
AbbVie Inc.
14,747 sh
-10,253 sh
-41%
$2,912
-$1,376
Alphabet Inc
13,593 sh
-9,068 sh
-40%
$2,254
-$1,874
Alphabet Inc
13,418 sh
-9,291 sh
-41%
$2,243
-$1,922
Workday Inc
8,419 sh
-6,031 sh
-42%
$2,058
-$1,172
Salesforce.com Inc
7,143 sh
-5,054 sh
-41%
$1,955
-$1,181
Netflix Inc
2,699 sh
-1,801 sh
-40%
$1,914
-$1,123
Intuit Inc
2,894 sh
-2,106 sh
-42%
$1,797
-$1,489
Abbott Laboratories
14,618 sh
-10,382 sh
-42%
$1,667
-$931
OPORTUN FINL CORP COM
588,233 sh
 
$1,653
Merck & Co. Inc.
14,201 sh
-8,867 sh
-38%
$1,613
-$1,243
Johnson & Johnson
9,953 sh
-6,175 sh
-38%
$1,613
-$744
Target Corp
7,669 sh
-5,471 sh
-42%
$1,195
-$750
ROYAL DUTCH SHELL PLC SPONS ADR A
13,992 sh
-10,143 sh
-42%
$923
-$819
Schlumberger Ltd
20,965 sh
-15,049 sh
-42%
$879
-$820
Halliburton Co.
29,839 sh
-22,154 sh
-43%
$867
-$889
GROVE COLLABORATIVE HOLD INC COM CL A
226,252 sh
-439,735 sh
-66%
$305
-$874
NVIDIA Corp.
976 sh
976 sh
NEW
$119
$119
Tesla Inc
146 sh
146 sh
NEW
$38
$38
Broadcom Inc
187 sh
187 sh
NEW
$32
$32
Mynd ai Inc Common Stock
29,380 sh
-17,606 sh
-37%
$24
-$106
Advanced Micro Devices Inc
140 sh
140 sh
NEW
$23
$23
Micron Technology Inc
219 sh
219 sh
NEW
$23
$23
MERCADOLIBRE INC COM
10 sh
10 sh
NEW
$21
$21
Adobe Inc.
37 sh
37 sh
NEW
$19
$19
ASML HOLDING N V N Y REGISTRY SHS
22 sh
22 sh
NEW
$18
$18
Okta Inc
0 sh
-335,668 sh
-100%
$0
-$31,422