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Glynn Capital Management 13F filings

Manager(s): John W. Glynn

Holdings as of 2024-12-31

Filed on 2025-02-10 under CIK 911270

Company
Investment Type
Change
Value (x$1000)
increase or decrease
Oscar Health Inc.
2,733,237 sh
817,518 sh
43%
$36,735
-$3,897
ATLASSIAN CORPORATION CL A
150,829 sh
-12,070 sh
-7%
$36,709
$10,839
ServiceNow Inc
26,351 sh
-11,226 sh
-30%
$27,935
-$5,673
KLAVIYO SRS A ORD COM
652,758 sh
-506,821 sh
-44%
$26,920
-$14,106
Crowdstrike Holdings Inc
69,580 sh
-16,680 sh
-19%
$23,807
-$386
Cloudflare Inc
215,087 sh
-36,021 sh
-14%
$23,161
$2,849
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
111,333 sh
10,178 sh
10%
$21,987
$4,419
Datadog Inc
151,837 sh
-95,582 sh
-39%
$21,696
-$6,772
NU HOLDINGS CL A ORD COM
1,922,958 sh
166,098 sh
9%
$19,922
-$4,059
MongoDB Inc.
84,880 sh
1,271 sh
2%
$19,761
-$2,843
Toast Inc.
521,547 sh
-394,467 sh
-43%
$19,010
-$6,922
Snowflake Inc.
120,147 sh
-10,708 sh
-8%
$18,552
$3,522
ADYEN N V UNSPONSRED ADS STOCK
1,262,725 sh
-473,077 sh
-27%
$18,512
-$8,619
Gitlab Inc.
308,300 sh
-177,615 sh
-37%
$17,373
-$7,671
Vertiv Holdings Co
118,554 sh
118,554 sh
NEW
$13,469
$13,469
ARISTA NETWORKS INC EQTY
106,013 sh
106,013 sh
NEW
$11,718
$11,718
Couchbase Inc.
531,470 sh
 
$8,286
Eli Lilly
7,291 sh
 
$5,629
Amazon.com Inc
21,901 sh
 
$4,805
Apple Inc
19,125 sh
13 sh
0%
$4,789
$336
BERKSHIRE HATHAWAY CL B COM
9,849 sh
 
$4,464
Meta Platforms, Inc.
6,921 sh
8 sh
0%
$4,052
$95
Microsoft Corp
9,269 sh
17 sh
0%
$3,907
-$74
Visa Inc
11,620 sh
 
$3,672
AbbVie Inc.
14,747 sh
 
$2,621
Alphabet Inc
13,700 sh
107 sh
1%
$2,593
$339
Alphabet Inc
13,418 sh
 
$2,555
Netflix Inc
2,699 sh
 
$2,406
Salesforce.com Inc
7,143 sh
 
$2,388
OPORTUN FINL CORP COM
588,233 sh
 
$2,282
Workday Inc
8,419 sh
 
$2,172
Intuit Inc
2,894 sh
 
$1,819
Abbott Laboratories
14,618 sh
 
$1,653
Johnson & Johnson
9,953 sh
 
$1,439
Merck & Co. Inc.
14,201 sh
 
$1,413
Target Corp
7,669 sh
 
$1,037
ROYAL DUTCH SHELL PLC SPONS ADR A
13,992 sh
 
$877
Halliburton Co.
29,839 sh
 
$811
Schlumberger Ltd
20,965 sh
 
$804
NVIDIA Corp.
876 sh
-100 sh
-10%
$118
-$1
Tesla Inc
126 sh
-20 sh
-14%
$51
$13
Broadcom Inc
187 sh
 
$43
Advanced Micro Devices Inc
172 sh
32 sh
23%
$21
-$2
MERCADOLIBRE INC COM
12 sh
2 sh
20%
$20
-$1
Micron Technology Inc
219 sh
 
$18
GE VERNOVA LLC COM
36 sh
36 sh
NEW
$12
$12
Lumentum Holdings Inc
137 sh
137 sh
NEW
$12
$12
Marvell Technology Inc.
106 sh
106 sh
NEW
$12
$12
Constellation Energy Corp
50 sh
50 sh
NEW
$11
$11
Adobe Inc.
14 sh
-23 sh
-62%
$6
-$13
GROVE COLLABORATIVE HOLD INC COM CL A
0 sh
-226,252 sh
-100%
$0
-$305
Mynd ai Inc Common Stock
0 sh
-29,380 sh
-100%
$0
-$24
ASML HOLDING N V N Y REGISTRY SHS
0 sh
-22 sh
-100%
$0
-$18