PC

Polar Capital Portfolio holdings

AUM $13.5B
This Quarter Return
+15.77%
1 Year Return
+55.85%
3 Year Return
+125.38%
5 Year Return
+259.12%
10 Year Return
AUM
$13.5B
AUM Growth
+$13.5B
Cap. Flow
+$1.08B
Cap. Flow %
8.03%
Top 10 Hldgs %
31.74%
Holding
335
New
58
Increased
111
Reduced
91
Closed
41

Sector Composition

1 Technology 35.5%
2 Healthcare 19.85%
3 Financials 14.53%
4 Communication Services 13.92%
5 Consumer Discretionary 8.99%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
INCY icon
76
Incyte
INCY
$16.5B
$52.6M 0.39% 585,929 +65,000 +12% +$5.83M
AXNX
77
DELISTED
Axonics, Inc. Common Stock
AXNX
$52.2M 0.39% 1,022,155 -17,386 -2% -$887K
LSCC icon
78
Lattice Semiconductor
LSCC
$9.09B
$51.3M 0.38% 1,772,390 -492,522 -22% -$14.3M
SHOP icon
79
Shopify
SHOP
$184B
$50M 0.37% +48,844 New +$50M
SYNH
80
DELISTED
Syneos Health, Inc. Class A Common Stock
SYNH
$49.8M 0.37% 935,929 +691,519 +283% +$36.8M
KEYS icon
81
Keysight
KEYS
$28.1B
$48.2M 0.36% 487,872 +38,691 +9% +$3.82M
QTNT
82
DELISTED
Quotient Limited Ordinary Shares
QTNT
$47.6M 0.35% 9,251,653 +1,660,588 +22% +$8.54M
TWOU
83
DELISTED
2U, Inc.
TWOU
$45.9M 0.34% +1,355,606 New +$45.9M
AKAM icon
84
Akamai
AKAM
$11.3B
$45.8M 0.34% 414,707 +39,550 +11% +$4.37M
CCXI
85
DELISTED
ChemoCentryx, Inc.
CCXI
$44.3M 0.33% +808,739 New +$44.3M
RGA icon
86
Reinsurance Group of America
RGA
$12.9B
$43.8M 0.33% 460,000 +15,000 +3% +$1.43M
EG icon
87
Everest Group
EG
$14.3B
$43M 0.32% 217,840 +36 +0% +$7.11K
TFX icon
88
Teleflex
TFX
$5.59B
$41M 0.3% 120,563 +44,433 +58% +$15.1M
ALXN
89
DELISTED
Alexion Pharmaceuticals Inc
ALXN
$40.1M 0.3% 350,000 +85,000 +32% +$9.73M
MOH icon
90
Molina Healthcare
MOH
$9.8B
$39.5M 0.29% +215,800 New +$39.5M
ADUS icon
91
Addus HomeCare
ADUS
$2.12B
$39.4M 0.29% 416,943 +123,455 +42% +$11.7M
STE icon
92
Steris
STE
$24.1B
$38.5M 0.29% +218,415 New +$38.5M
NSTG
93
DELISTED
NanoString Technologies, Inc.
NSTG
$38M 0.28% 850,000 +350,000 +70% +$15.6M
AHCO icon
94
AdaptHealth
AHCO
$1.28B
$37.8M 0.28% 1,734,214 +1,718,883 +11,212% +$37.5M
FLIR
95
DELISTED
FLIR Systems, Inc. (DE) Common Stock
FLIR
$37.6M 0.28% 1,049,729 -269,902 -20% -$9.68M
TMUS icon
96
T-Mobile US
TMUS
$284B
$33.5M 0.25% 292,980 -11,110 -4% -$1.27M
FI icon
97
Fiserv
FI
$75.1B
$31.4M 0.23% 305,138 -5,654 -2% -$583K
ADI icon
98
Analog Devices
ADI
$124B
$30.5M 0.23% 261,568 +17,986 +7% +$2.1M
AME icon
99
Ametek
AME
$42.7B
$30.3M 0.23% 305,087 -11,569 -4% -$1.15M
NVST icon
100
Envista
NVST
$3.52B
$30.3M 0.22% 1,227,448 -170,177 -12% -$4.2M