Current Polen Capital Management Portfolio 2021 (September 30, 2021)

Below is the latest current Polen Capital Management portfolio. This is a breakdown of Polen Capital Management portfolio positions from the fund’s 13F last filings.

No.NameValue% of total portfolioSharesPrice per share*
1ALPHABET INC5,685,804,00010.43%2,131,4902,667.5
2FACEBOOK INC4,491,595,0008.24%13,234,318339.4
3AMAZON COM INC3,787,346,0006.95%1,152,9073,285.0
4ADOBE SYSTEMS INCORPORATED3,284,135,0006.03%5,704,396575.7
5MICROSOFT CORP2,830,581,0005.19%10,040,370281.9
6MASTERCARD INCORPORATED2,657,098,0004.88%7,642,367347.7
7SALESFORCE COM INC2,651,879,0004.87%9,777,594271.2
8ABBOTT LABS2,600,360,0004.77%22,012,696118.1
9VISA INC2,430,226,0004.46%10,910,106222.7
10ACCENTURE PLC IRELAND2,150,996,0003.95%6,723,544319.9
11AUTODESK INC1,966,921,0003.61%6,897,362285.2
12SERVICENOW INC1,908,660,0003.50%3,067,253622.3
13ZOETIS INC1,860,371,0003.41%9,582,626194.1
14PAYPAL HLDGS INC1,789,896,0003.28%6,878,660260.2
15AIRBNB INC1,599,368,0002.94%9,534,237167.7
16NETFLIX INC1,596,125,0002.93%2,615,141610.3
17UNITEDHEALTH GROUP INC1,487,537,0002.73%3,806,974390.7
18STARBUCKS CORP1,434,071,0002.63%13,000,370110.3
19GARTNER INC1,370,250,0002.51%4,509,180303.9
20NIKE INC1,165,417,0002.14%8,024,628145.2
21ALIGN TECHNOLOGY INC1,102,222,0002.02%1,656,405665.4
22INTUITIVE SURGICAL INC1,092,490,0002.00%1,098,919994.1
23ILLUMINA INC1,028,659,0001.89%2,536,079405.6
24MSCI INC841,635,0001.54%1,383,494608.3
25ICON PLC434,914,0000.80%1,659,850262.0
26AON PLC292,127,0000.54%1,022,244285.8
27MEDTRONIC PLC127,003,0000.23%1,013,186125.4
28SAP SE106,988,0000.20%792,271135.0
29ALIBABA GROUP HLDG LTD71,205,0000.13%480,951148.1
30ASML HOLDING N V58,686,0000.11%78,762745.1
31AUTOMATIC DATA PROCESSING IN55,670,0000.10%278,462199.9
32UNILEVER PLC28,992,0000.05%534,70454.2
33MERCADOLIBRE INC28,960,0000.05%17,2441,679.4
34SHOPIFY INC25,707,0000.05%18,9611,355.8
35GOOSEHEAD INS INC24,213,0000.04%158,994152.3
36GLOBANT S A23,456,0000.04%83,472281.0
37ENDAVA PLC20,795,0000.04%153,075135.8
38WINGSTOP INC20,494,0000.04%125,015163.9
39FOX FACTORY HLDG CORP19,962,0000.04%138,109144.5
40ISHARES TR19,106,0000.04%82,367232.0
41REVOLVE GROUP INC18,494,0000.03%299,40761.8
42MEDPACE HLDGS INC17,891,0000.03%94,522189.3
43PROGYNY INC17,243,0000.03%307,91156.0
44EXPONENT INC16,933,0000.03%149,651113.1
45OLO INC14,820,0000.03%493,49930.0
46BLACKLINE INC14,386,0000.03%121,850118.1
47DUCK CREEK TECHNOLOGIES INC14,376,0000.03%324,95644.2
48ETSY INC13,494,0000.02%64,887208.0
49HOULIHAN LOKEY INC13,391,0000.02%145,39692.1
50YETI HLDGS INC13,098,0000.02%152,85885.7
51AMN HEALTHCARE SVCS INC13,051,0000.02%113,730114.8
52TRUPANION INC12,858,0000.02%165,54877.7
53ALARM COM HLDGS INC12,496,0000.02%159,81178.2
54APPFOLIO INC12,081,0000.02%100,342120.4
55HELEN OF TROY LTD10,390,0000.02%46,245224.7
56PAYLOCITY HLDG CORP10,106,0000.02%36,041280.4
57QUALYS INC8,623,0000.02%77,483111.3
58ALTAIR ENGR INC8,220,0000.02%119,22768.9
59MALIBU BOATS INC7,314,0000.01%104,52270.0
60SIMULATIONS PLUS INC7,034,0000.01%178,07639.5
61DYNATRACE INC6,096,0000.01%85,90171.0
62GLOBAL X FDS5,386,0000.01%99,87953.9
63RH4,866,0000.01%7,296666.9
64PAYCOM SOFTWARE INC4,683,0000.01%9,446495.8
65THE TRADE DESK INC3,622,0000.01%51,51570.3
66TYLER TECHNOLOGIES INC3,499,0000.01%7,629458.6
67ASPEN TECHNOLOGY INC3,356,0000.01%27,328122.8
68TREX CO INC3,280,0000.01%32,176101.9
69CDW CORP3,249,0000.01%17,852182.0
70COPART INC2,811,0000.01%20,265138.7
71EPAM SYS INC2,661,0000.00%4,664570.5
72GENERAC HLDGS INC2,630,0000.00%6,436408.6
73YANDEX N V2,555,0000.00%32,06379.7
74FAIR ISAAC CORP2,458,0000.00%6,176398.0
75FARFETCH LTD2,323,0000.00%61,97037.5
76HEICO CORP NEW2,120,0000.00%16,074131.9
77REGENERON PHARMACEUTICALS1,304,0000.00%2,155605.1
78KAROOOOO LTD1,139,0000.00%38,58429.5
79DOLLAR GEN CORP NEW1,110,0000.00%5,234212.1
80LAUDER ESTEE COS INC812,0000.00%2,707300.0
81TIMOTHY PLAN786,0000.00%24,76231.7
82OREILLY AUTOMOTIVE INC632,0000.00%1,035610.6
83AUTOHOME INC516,0000.00%10,99546.9
84TENCENT MUSIC ENTMT GROUP508,0000.00%70,0497.3
85ORACLE CORP367,0000.00%4,21687.0
86BOOKING HOLDINGS INC318,0000.00%1342,373.1
87TAL EDUCATION GROUP84,0000.00%17,3404.8

*Price per share is the stock price on the date of the portfolio.

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