HolderBook

Capricorn Fund Managers Ltd

Reported holdings as of Q2 2026, from 19 quarterly filings.

CIK
1901361
Reported value
$1.3B
Positions
178
Top 10 weight
27.0%
Filed
2026-07-24
Days after quarter end
24

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
LPL FINL HLDGS INCLPLA$54.9M194,8124.33%-newNEW
KKR & CO INCKKR$42.2M460,1003.33%+0.27pp2q+117.0%+$22.8M
BP PLCBP$36.4M984,2032.87%-newNEW
SHELL PLCSHEL$35.6M459,2002.81%-newNEW
APPLOVIN CORPAPP$31.6M61,2762.49%-newNEW
CARVANA COCVNA$31.3M475,0002.46%-2.19pp2q+400.0%+$25.0M
BOOST RUN INCBRUNW$29.1M750,0002.29%-newNEW
ING GROEP N.V.ING$28.2M900,0002.23%-newNEW
BRITISH AMERN TOB PLCBTI$26.9M435,2522.12%+0.78pp2q+196.1%+$17.8M
BANK OF AMER CORPBAC$26.1M457,4552.05%-2.03pp4q-14.8%-$4.5M
BROOKDALE SR LIVING INCBKD$25.3M1,570,0001.99%-newNEW
AFFILIATED MANAGERS GROUPAMG$23.4M69,0451.84%-newNEW
GSK PLCGSK$22.4M426,4161.76%-newNEW
NRG ENERGY INCNRG$22.1M151,0001.74%-newNEW
AXOGEN INCAXGN$21.5M464,8631.69%-1.86pp2q-32.4%-$10.3M
TAIWAN SEMICONDUCTOR MANUFACTSM$21.1M44,2001.66%-newNEW
REDDIT INCRDDT$20.8M120,0001.64%-newNEW
BLEND LABS INCBLND$19.3M11,314,6491.53%-0.20pp2q+74.1%+$8.2M
TRAVERE THERAPEUTICS INCTVTX$18.3M321,7211.44%-newNEW
BROADCOM INCAVGO$17.9M47,5001.41%-newNEW
PRICE T ROWE GROUP INCTROW$17.7M155,3001.39%+0.22pp2q+86.0%+$8.2M
FACTSET RESH SYS INCFDS$17.1M74,5001.35%-newNEW
KAROOOOO LTDKARO$15.8M319,3461.24%-0.92pp7q+14.7%+$2.0M
SKINHEALTH SYSTEMS INCSKIN$15.4M22,276,9351.22%-1.48pp2q+14.8%+$2.0M
RIO TINTO PLCRIO$15.2M160,2751.20%-newNEW
KINGSWAY CORPKWY$14.7M1,410,5261.16%-1.74pp2q-21.0%-$3.9M
LIQUIDIA CORPORATIONLQDA$14.5M182,2051.15%-0.31pp2q-26.4%-$5.2M
SEA LTDSE$14.4M150,0001.13%-newNEW
ROPER TECHNOLOGIES INCROP$14.2M42,0001.12%-newNEW
SHARKNINJA INCSN$13.4M88,0001.06%flat2q+37.5%+$3.7M
ZYMEWORKS INCZYME$12.7M486,5291.00%-2.93pp3q-51.7%-$13.6M
VISTRA CORPVST$12.7M80,0001.00%-newNEW
LIFTOFF MOBILE INCLFTO$12.2M508,5510.96%-newNEW
MICROSOFT CORPMSFT$12.1M32,3430.95%-0.92pp19qHELD
MIRUM PHARMACEUTICALS INCMIRM$11.9M101,2400.93%-newNEW
BERKSHIRE HATHAWAY INC DELBRKB$11.2M22,4680.89%-0.79pp18qHELD
ALPHABET INCGOOGL$11.1M31,0670.88%-0.52pp12qHELD
AMAZON COM INCAMZN$10.6M44,6480.84%-0.61pp5qHELD
WPP PLC NEWWPP$10.5M676,0000.83%-newNEW
NATWEST GROUP PLCNWG$10.4M587,2900.82%-newNEW
KASPI KZ JSCKSPI$10.3M118,9000.81%-0.56pp10qHELD
AMER SPORTS INCAS$10.2M300,0000.80%-0.15pp7q+62.2%+$3.9M
CAPITAL ONE FINL CORPCOF$10.1M50,5860.80%-newNEW
MAXCYTE INCMXCT$10.1M8,200,0000.79%-0.10pp2qHELD
SYSCO CORPSYY$10.0M120,0000.79%-newNEW
ENVISTA HOLDINGS CORPORATIONNVST$8.4M319,0280.66%-2.29pp2q-57.2%-$11.3M
FERMI INCFRMI$8.0M875,0000.63%-newNEW
FIVE BELOW INCFIVE$7.6M42,5000.60%+0.16pp2q+240.0%+$5.4M
META PLATFORMS INCMETA$7.6M13,5000.60%-0.60pp12qHELD
MOONLAKE IMMUNOTHERAPEUTICSMLTX$7.3M374,8660.57%-newNEW
METTLER TOLEDO INTERNATIONALMTD$7.3M5,7100.57%-newNEW
FLUTTER ENTMT PLCFLUT$7.2M70,0000.56%-0.01pp2q+94.4%+$3.5M
CHARLES RIV LABS INTL INCCRL$7.1M31,2740.56%-newNEW
ON HLDG AGONON$7.1M200,0000.56%-0.18pp2q+43.3%+$2.1M
APPLIED AEROSPACE & DEFENSEAADX$7.1M310,0000.56%-newNEW
SCHRODINGER INCSDGR$7.1M434,3210.56%-newNEW
VISA INCV$7.1M20,5550.56%-0.37pp17q+5.1%+$343.1K
CYTOKINETICS INCCYTK$7.0M81,8790.55%-newNEW
ABBVIE INCABBV$6.9M27,3970.54%-0.39pp2qHELD
STANDARDAERO INCSARO$6.9M230,4910.54%+0.02pp2q+76.3%+$3.0M
THE REALREAL INCREAL$6.9M581,5710.54%-0.24pp18q+6.0%+$387.2K
SCHWAB CHARLES CORPSCHW$6.8M73,7000.54%-newNEW
LUXEXPERIENCE BVLUXE$6.8M910,3720.53%-0.74pp7q-11.0%-$839.2K
BRINKER INTL INCEAT$6.7M40,0000.53%-0.23pp2q+17.6%+$1.0M
WEST PHARMACEUTICAL SVSC INCWST$6.7M18,7000.53%-newNEW
BOOT BARN HLDGS INCBOOT$6.7M40,5000.52%-newNEW
TAPESTRY INCTPR$6.1M42,0000.48%-0.04pp2q+75.0%+$2.6M
FLAGSTAR BANK NATIONAL ASSOCFLG$5.9M398,2000.47%-newNEW
LOAR HOLDINGS INCLOAR$5.8M71,9990.46%+0.05pp3q+58.8%+$2.2M
BRIGHTSPRING HEALTH SVCS INCBTSG$5.5M78,7180.43%-0.27pp3q-25.9%-$1.9M
DECKERS OUTDOOR CORPDECK$5.4M54,0000.42%-0.20pp2q+35.0%+$1.4M
PTC THERAPEUTICS INCPTCT$5.2M63,9000.41%-newNEW
PINNACLE FINL PARTNERS INCPNFP$5.2M51,1790.41%-newNEW
BRUKER CORPBRKR$5.1M85,1000.40%-newNEW
LAZARD INCLAZ$5.1M121,9000.40%-newNEW
HEALTHPEAK PROPERTIES INCDOC$4.9M228,2000.38%-newNEW
GUARDANT HEALTH INCGH$4.8M31,7750.38%-newNEW
KODIAK GAS SVCS INCKGS$4.6M61,3650.36%flat3q+53.3%+$1.6M
MSCI INCMSCI$4.6M8,1850.36%-newNEW
PEPSICO INCPEP$4.5M33,4960.36%-0.94pp5q-37.4%-$2.7M
NU HLDGS LTD OPTNU$4.4Moptions only0.34%-newOPTIONS
DIAGEO PLCDEO$4.3M54,0000.34%+0.17pp2q+260.0%+$3.1M
LEVI STRAUSS & CO NEWLEVI$4.2M168,7000.33%-0.15pp2q+2.2%+$91.9K
BURLINGTON STORES INCBURL$4.1M13,0000.32%-0.18pp2q+30.0%+$950.4K
AGILENT TECHNOLOGIES INCA$4.1M30,7170.32%-0.95pp2q-57.1%-$5.4M
COCA COLA COKO$4.1M50,0000.32%-0.04pp2q+66.7%+$1.6M
WELLS FARGO & COWFC$4.0M48,9000.32%-newNEW
RALPH LAUREN CORPRL$4.0M9,8820.31%-0.40pp2q-25.6%-$1.4M
VODAFONE GROUP PLCVOD$4.0M299,0000.31%-newNEW
GILEAD SCIENCES INCGILD$3.9M31,2000.31%-newNEW
ROSS STORES INCROST$3.9M18,5000.31%-0.47pp2q-19.6%-$957.8K
ECOLAB INCECL$3.8M13,4880.30%-0.01pp2q+85.3%+$1.7M
BROOKFIELD ASSET MANAGMT LTDBAM$3.7M82,4000.29%-newNEW
APOLLO GLOBAL MGMT INCAPO$3.6M30,7510.29%-0.60pp4q-39.7%-$2.4M
APPLOVIN CORP OPTAPP$3.6Moptions only0.29%-newOPTIONS
FERMI INC OPTFRMI$3.5Moptions only0.28%-newOPTIONS
CEREBRAS SYSTEMS INCCBRS$3.5M15,6820.27%-newNEW
TARGET CORPTGT$3.4M26,0000.27%flat2q+80.9%+$1.5M
ROBINHOOD MKTS INCHOOD$3.4M33,7000.27%-1.07pp2q-72.7%-$9.0M
EATON CORP PLCETN$3.4M7,9260.27%-newNEW
LINDE PLCLIN$3.3M6,3380.26%-0.20pp12q+6.2%+$192.0K
CRH PLCCRH$3.2M30,0000.25%-newNEW
OLLIES BARGAIN OUTLET HLDGSOLLI$3.1M40,0000.24%-newNEW
AVANTOR INCAVTR$3.0M300,7000.23%-newNEW
TEREX CORP NEWTEX$2.9M40,6840.23%-0.17pp3q-7.3%-$233.5K
BROOKFIELD CORPBN$2.9M67,5000.23%-0.20pp5qHELD
FORGENT POWER SOLUTIONS INCFPS$2.8M49,6570.22%-newNEW
LLOYDS BANKING GROUP PLCLYG$2.6M450,0000.21%-newNEW
BREAD FINANCIAL HOLDINGS INCBFH$2.6M24,1300.21%-newNEW
TRANE TECHNOLOGIES PLCTT$2.5M5,0000.19%-newNEW
MSC INDL DIRECT INCMSM$2.4M20,0000.19%-newNEW
PALVELLA THERAPEUTICS INC NEPVLA$2.2M14,0880.17%-newNEW
NRG ENERGY INC OPTNRG$2.1Moptions only0.17%-newOPTIONS
URBAN OUTFITTERS INCURBN$2.1M30,0000.17%-newNEW
ILLUMINA INCILMN$2.1M12,0000.17%-newNEW
CELSIUS HLDGS INCCELH$2.0M70,0000.16%-newNEW
EROCK INCEROC$2.0M140,0000.16%-newNEW
BARRICK MNG CORPB$2.0M55,0000.16%-newNEW
DENTSPLY SIRONA INCXRAY$2.0M184,7000.15%-newNEW
KROGER COKR$1.9M35,0000.15%-newNEW
TOAST INCTOST$1.9M66,8000.15%-newNEW
ENCOMPASS HEALTH CORPEHC$1.9M18,3440.15%-newNEW
SOTERA HEALTH COSHC$1.8M103,8300.15%-newNEW
INNIO NVINIO$1.8M45,6000.14%-newNEW
ASTERA LABS INCALAB$1.6M3,3590.13%+0.03pp3q-41.0%-$1.1M
AMAZON COM INC OPTAMZN$1.6Moptions only0.13%-newOPTIONS
EVERCORE INCEVR$1.6M4,7000.13%-newNEW
COGENT BIOSCIENCES INCCOGT$1.6M41,3000.13%-newNEW
JAZZ PHARMACEUTICALS PLCJAZZ$1.5M6,1000.12%-newNEW
UIPATH INCPATH$1.4M131,0000.11%-0.11pp2qHELD
ROIVANT SCIENCES LTDROIV$1.4M40,1000.11%+0.03pp4q+100.5%+$711.3K
VEEVA SYS INCVEEV$1.4M7,7500.11%-0.03pp2q+55.0%+$488.0K
BETA TECHNOLOGIES INCBETA$1.3M77,5500.10%-0.09pp3q-7.3%-$102.9K
XENON PHARMACEUTICALS INCXENE$1.3M20,9000.10%-newNEW
SMITHFIELD FOODS INCSFD$1.2M50,5770.10%-0.06pp2q+39.0%+$344.2K
QUANTINUUM INCQNT$1.2M15,0000.10%-newNEW
INGRAM MICRO HLDG CORPINGM$1.2M43,2350.09%-newNEW
ARES MANAGEMENT CORPORATIONARES$1.0M9,3000.08%-newNEW
WEALTHFRONT CORPWLTH$1.0M112,8000.08%-newNEW
ISHARES BITCOIN TRUST ETFIBIT$998.7K30,0000.08%-0.10pp6qHELD
VITA COCO CO INCCOCO$992.1K15,0000.08%-0.63pp2q-84.2%-$5.3M
BELITE BIO INCBLTE$985.5K6,4000.08%-newNEW
SEA LTD OPTSE$937.5Koptions only0.07%-newOPTIONS
MICROSOFT CORP OPTMSFT$891.4Koptions only0.07%-newOPTIONS
S&P GLOBAL INCSPGI$814.5K2,0000.06%-newNEW
COLLIERS INTL GROUP INCCIGI$750.3K8,0000.06%-newNEW
NOKIA CORPNOK$739.7K55,7020.06%-newNEW
WAYSTAR HLDG CORPWAY$692.2K33,7180.05%-0.12pp4q-26.2%-$246.2K
DICKS SPORTING GOODS INC OPTDKS$685.0Koptions only0.05%-newOPTIONS
AXALTA COATING SYS LTDAXTA$577.3K16,8690.05%-0.15pp3q-62.9%-$980.3K
BURFORD CAPITAL LIMITEDBUR$553.5K135,0000.04%-0.05pp6qHELD
PFIZER INCPFE$532.9K22,1300.04%-0.68pp3q-86.6%-$3.5M
LINCOLN INTL INCLCLN$528.5K22,1390.04%-newNEW
SHERWIN WILLIAMS COSHW$526.1K1,5280.04%-newNEW
MERCK & CO INCMRK$514.0K4,0000.04%-newNEW
ADAPTIVE BIOTECHNOLOGIES CORADPT$486.8K22,6930.04%-2.76pp2q-98.2%-$27.2M
ANGEL STUDIOS INCANGX$480.1K130,8060.04%-newNEW
CREDO TECHNOLOGY GROUP HOLDICRDO$458.5K1,6860.04%-newNEW
JOHNSON & JOHNSONJNJ$431.7K1,7000.03%-newNEW
TELIX PHARMACEUTICAL LTDTLX$416.2K36,1000.03%-newNEW
HMH HLDG INC$393.5K21,0000.03%-newNEW
BORR DRILLING LTDBORR$371.7K90,0000.03%-0.05pp3qHELD
RESTAURANT BRANDS INTL INCQSR$369.0K5,0890.03%-0.72pp6q-92.2%-$4.4M
ETHOS TECHNOLOGIES INCLIFE$367.0K20,2340.03%-0.01pp2q-14.6%-$62.9K
TIDEWATER INC NEWTDW$366.5K5,5000.03%-0.04pp2qHELD
MASTEC INCMTZ$366.1K8800.03%-newNEW
EQT CORPEQT$345.6K6,5000.03%-newNEW
SELECT SECTOR SPDR TR OPTXLU$324.8Koptions only0.03%-newOPTIONS
VAALCO ENERGY INCEGY$304.8K60,0000.02%-0.04pp2qHELD
ROCKET COS INCRKT$292.9K18,5940.02%-0.02pp2q-7.3%-$23.2K
OVINTIV INCOVV$284.3K5,4000.02%-newNEW
URANIUM RTY CORPUROY$278.0K100,0000.02%-newNEW
NEXTPOWER INCNXT$268.1K2,2500.02%-newNEW
NOBLE CORP PLCNE$257.4K6,9000.02%-0.03pp2qHELD
STATE STR SPDR S&P 500 ETF T OPTSPY$200.5Koptions only0.02%-newOPTIONS
D MARKET ELECTR SVCS & TRADIHEPS$84.9K29,1850.01%-0.01pp8qHELD
W & T OFFSHORE INCWTI$31.5K10,0000.00%flat2qHELD
SHELL PLC OPTSHEL$30.9Koptions only0.00%-newOPTIONS

By sector

Industry comes from the SIC code on each company's own SEC filings, which is self-reported and sometimes out of date. Derivative exposure is counted with the shares. Securities the SEC assigns no industry - funds, trusts, foreign issues - are shown as not classified rather than dropped.

Biotech & Pharma 13.2%Capital Markets 13.0%Software & IT Services 12.0%Retail & Consumer 9.7%Banks & Lending 8.0%Energy 6.2%Semiconductors & Electronics 4.6%Medical Devices 4.3%Business Services 3.8%Food, Drink & Tobacco 3.5%Healthcare Services 3.1%Utilities 2.9%Other sectors 11.3%Not classified 4.6%
 
SectorValueShare
Biotech & Pharma$167.1M13.2%
Capital Markets$164.7M13.0%
Software & IT Services$152.4M12.0%
Retail & Consumer$122.9M9.7%
Banks & Lending$101.4M8.0%
Energy$78.2M6.2%
Semiconductors & Electronics$58.3M4.6%
Medical Devices$54.0M4.3%
Business Services$48.5M3.8%
Food, Drink & Tobacco$44.1M3.5%
Healthcare Services$39.2M3.1%
Utilities$36.9M2.9%
Other sectors$142.8M11.3%
Not classified$58.2M4.6%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$1.3B17810530254127.0%24
Q1 2026$641.4M1147023153833.4%24
Q4 2025$414.9M824716142436.0%21
Q3 2025$297.8M59248221942.7%17
Q2 2025$211.6M54111324641.7%22
Q1 2025$187.1M49714152348.0%38
Q4 2024$224.7M65265101437.9%17
Q3 2024$148.5M536156853.5%11
Q2 2024$141.8M559971049.7%12
Q1 2024$166.1M5615891450.1%12
Q4 2023$181.8M55141834148.9%10
Q3 2023$288.2M823220161349.5%11
Q2 2023$278.5M632220146363.6%12
Q1 2023$327.3M1044125272037.5%18
Q4 2022$390.7K832322172542.9%17
Q3 2022$318.5M852323254044.4%40
Q2 2022$550.9M1022832201648.1%41
Q1 2022$409.9M90489113238.2%40
Q4 2021$355.5M74000049.7%45

Rows marked UNVERIFIED ID, PLACEHOLDER ID, TICKER AS ID or NON-CUSIP ID carry an identifier that is not a valid CUSIP. They are shown because the filer reported that money, but treat the security named with caution - hover the chip for what is wrong with it, and see the methodology.

Held counts consecutive filings in which this manager reported the position, and can reach further back than the quarters listed above: the tabs begin at Q4 2018 because earlier coverage is too sparse to describe a market, but tenure is counted over every filing we hold, some reaching to 2007. A position sold and later rebought starts again from one.

Weight change is the shift in this position's share of the whole book, in percentage points. It is the more useful column: when money flows into or out of a broad fund, almost every holding is bought or sold at once, so added and trimmed largely track flows. A weight that rose while the book shrank is a decision. Both compare with the previous quarter this filer reported, not the previous calendar quarter.