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Glynn Capital Management LLC 13F filings

Manager(s): John W. Glynn

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Holdings as of 2020-06-30

Filed on 2020-08-03 under CIK 911270

Company name, stock class and CUSIPValue (x$1000) Shares
ATLASSIAN CORP PLC
CL A G06242104
$55,871$11,370309,931 sh-14,280 sh
-4%
Twilio Inc Cl A
COM 90138F102
$54,560$31,253248,654 sh-11,784 sh
-5%
AMAZON COM INC
COM 023135106
$49,295$13,05417,868 sh-720 sh
-4%
DOCUSIGN INC
COM 256163106
$48,545$21,257281,894 sh-13,431 sh
-5%
SERVICENOW INC
COM 81762P102
$48,090$12,443118,724 sh-5,663 sh
-5%
FARFETCH LTD
ORD SH CL A 30744W107
$45,659$23,7702,643,828 sh-126,994 sh
-5%
Workday, Inc. Cl. A
COM 98138H101
$45,532$19,887243,021 sh46,087 sh
23%
Coupa Software Incorporated
COM 22266L106
$45,428$21,416163,978 sh-7,865 sh
-5%
VEEVA SYS INC
CL A COM 922475108
$43,920$13,232187,356 sh-8,895 sh
-5%
OKTA INC
CL A 679295105
$42,619$15,039212,849 sh-12,739 sh
-6%
Salesforce.com
COM 79466L302
$40,399$13,276215,655 sh27,277 sh
14%
Netflix Inc
cs 64110L106
$39,894$5,49387,672 sh-3,942 sh
-4%
SQUARE INC
CL A 852234103
$31,723$17,012302,293 sh21,436 sh
8%
ELASTIC N V
ORD SHS N14506104
$30,553$1,098331,343 sh-196,429 sh
-37%
Datadog, Inc.
COM 23804L103
$29,301$29,301336,991 sh336,991 sh
NEW
Smartsheet Inc Class A
COM 83200N103
$26,610$3,878522,592 sh-25,024 sh
-5%
Zoom Video Comms Inc Cl A
COM 98980L101
$25,952$25,952102,357 sh102,357 sh
NEW
APPFOLIO INC
COM CL A 03783C100
$18,191-$996111,800 sh-61,137 sh
-35%
SLACK TECHNOLOGIES INC
COM CL A 83088V102
$18,071$1,739581,240 sh-27,239 sh
-4%
OPORTUN FINL CORP
COM 68376D104
$15,946 1,186,454 sh 
DOMO INC
COM CL B 257554105
$6,359 197,667 sh 
Visa Inc.
COM 92826C839
$3,863 20,000 sh 
BERKSHIRE HATHAWAY CL B
COM 084670207
$3,016 16,897 sh 
APPLE INC
COM 037833100
$2,948 8,080 sh 
Facebook, Inc.
COM 30303M102
$2,566-$21,03511,300 sh-130,193 sh
-92%
MICROSOFT CORP
COM 594918104
$2,499 12,280 sh 
AbbVie, Inc.
COM 00287Y109
$2,454 25,000 sh 
INTEL CORP
COM 458140100
$2,315 38,700 sh 
ABBOTT LABS
COM 002824100
$2,286 25,000 sh 
JOHNSON & JOHNSON
COM 478160104
$2,268 16,128 sh 
LILLY ELI & CO
COM 532457108
$2,215 13,490 sh 
GUIDEWIRE SOFTWARE
COM 40171V100
$1,878 16,940 sh 
Merck & Co Inc.
COM 58933Y105
$1,784 23,068 sh 
GENERAL MLS INC
COM 370334104
$1,644 26,672 sh 
TARGET CORP
CS 87612E106
$1,576 13,140 sh 
Alphabet Inc., Cl. A
COM 02079K305
$1,560 1,100 sh 
Alphabet Inc., Cl. C
COM 02079K107
$1,558 1,102 sh 
INTUIT
COM 461202103
$1,481 5,000 sh 
ROYAL DUTCH SHELL PLC
SPONS ADR A 780259206
$789 24,135 sh 
HALLIBURTON CO
COM 406216101
$675 51,993 sh 
SCHLUMBERGER LTD
COM 806857108
$662 36,014 sh 
3M Company
COM 88579Y101
$624 4,000 sh 
EOG RESOURCES INC
CS 26875P101
$514 10,140 sh 
WELLS FARGO CO NEW
COM 949746101
$491 19,165 sh 
TENABLE HLDGS INC
COM 88025T102
$0-$1,0400 sh-47,556 sh
-100%