Universe · entity

FORA Capital, LLC

Institutional manager (13F) · CIK 1742435
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $714M
#IssuerValueShares
1BOSTON SCIENTIFIC CORP$23M370,934
2ORACLE CORP$23M157,785
3SOFI TECHNOLOGIES INC$23M1,459,754
4EXXON MOBIL CORP$23M136,604
5ALPHABET INC$23M80,590
6MICROSOFT CORP$23M62,251
7BARRICK MNG CORP$23M564,059
8VERIZON COMMUNICATIONS INC$22M438,693
9LOCKHEED MARTIN CORP$21M35,264
10FISERV INC$21M377,913
11CATERPILLAR INC$20M27,673
12VISA INC$18M58,496
13NEWMONT CORP$17M160,004
14GENERAL MTRS CO$17M231,336
15CUMMINS INC$16M30,563
16ROBLOX CORP$16M282,680
17TE CONNECTIVITY PLC$16M75,064
18PETROLEO BRASILEIRO S A$15M713,836
19WARNER BROS DISCOVERY INC$15M538,855
20ASML HLDG NV$15M11,069
21SYNOPSYS INC$14M35,524
22DISNEY WALT CO$14M144,509
23ROBINHOOD MKTS INC$14M197,016
24THE TRADE DESK INC$13M593,456
25LAM RESEARCH CORP$13M62,052
26UNITEDHEALTH GROUP INC$13M48,314
27APPLIED MATLS INC$13M38,105
28FEDEX CORP$13M35,329
29SOUTHERN COPPER CORP$12M68,785
30SAP SE$11M66,690
31PINTEREST INC$11M604,400
32CHEVRON CORPORATION$11M53,411
33AUTOMATIC DATA PROCESSING IN$11M52,665
34MICRON TECHNOLOGY INC$11M31,321
35BITMINE IMMERSION TECNOLOGIE$10M517,463
36DOORDASH INC$10M67,993
37VALE S A$10M640,450
38COSTAR GROUP INC$10M252,068
39UBER TECHNOLOGIES INC$10M140,570
40BLACKROCK INC$10M10,200
41BROWN & BROWN INC$9M143,923
42AMPHENOL CORP$9M73,001
43CANADIAN NAT RES LTD MED TER$9M186,005
44FIRST SOLAR INC$9M45,784
45WESTERN DIGITAL CORP$9M33,374
46IDEXX LABS INC$9M15,925
47CADENCE DESIGN SYSTEM INC$9M31,993
48GALLAGHER ARTHUR J & CO$9M40,089
49MOLINA HEALTHCARE INC$9M64,721
50DEERE & CO$8M14,808
All filings on EDGAR ↗

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