Universe · entity

SANDS CAPITAL MANAGEMENT, LLC

Institutional manager (13F) · CIK 1020066
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $25.4B
#IssuerValueShares
1NVIDIA CORPORATION$3.2B18,085,742
2TAIWAN SEMICONDUCTOR MANUFAC$2.0B5,862,685
3ALPHABET INC$1.5B5,124,494
4AMAZON COM INC$1.4B6,719,055
5SHOPIFY INC$1.1B8,935,666
6NETFLIX INC.$905M9,414,668
7SPOTIFY TECHNOLOGY S A$870M1,794,226
8ASML HLDG NV$845M639,833
9VISA INC$837M2,770,431
10MERCADOLIBRE INC$822M475,455
11CLOUDFLARE INC$756M3,661,749
12META PLATFORMS INC$732M1,279,121
13INTERCONTINENTAL EXCHANGE IN$690M4,384,298
14CARVANA CO$666M2,117,248
15AXON ENTERPRISE INC$664M1,564,504
16INTUITIVE SURGICAL INC$609M1,321,274
17DOORDASH INC$594M3,957,060
18MICROSOFT CORP$566M1,530,124
19SAMSARA INC$496M15,657,744
20NU HLDGS LTD$493M34,342,221
21BROADCOM INC$434M1,402,835
22SEA LTD$392M4,728,550
23APPLOVIN CORP$387M971,561
24QUANTA SVCS INC$344M626,348
25BLOCK INC$332M5,510,835
26CARPENTER TECHNOLOGY CORP$324M823,277
27CARLISLE COS INC$307M919,614
28ARGENX SE$248M340,285
29BLOOM ENERGY CORP$241M1,779,038
30BUILDERS FIRSTSOURCE INC$216M2,621,085
31ON HLDG AG$215M6,325,547
32SEAGATE TECHNOLOGY HLDNGS PL$208M531,892
33FLUTTER ENTMT PLC$203M1,988,830
34TETRA TECH INC NEW$201M6,658,823
35MCKESSON CORP$174M201,283
36COUPANG INC$173M9,172,187
37DATADOG INC$166M1,406,366
38LAM RESEARCH CORP$161M755,222
39ROBLOX CORP$154M2,726,701
40LIBERTY MEDIA CORP DEL$133M1,559,760
41KASPI KZ JSC$117M1,586,334
42TRANSDIGM GROUP INC$109M94,341
43WASTE CONNECTIONS INC$103M634,903
44AMPHENOL CORP$102M805,602
45FERRARI N V$97M287,709
46ULTRAGENYX PHARMACEUTICAL IN$67M3,214,533
47BOSTON SCIENTIFIC CORP$46M736,109
48FULL TRUCK ALLIANCE CO LTD$41M4,970,779
49GRAB HOLDINGS LIMITED$33M9,122,432
50ELI LILLY & CO$30M32,887
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.