Instuitional Investor - Glynn Capital Management Llc

Fund Profile
Filing Period:
Fund Name: Glynn Capital Management Llc
Portfolio Value $380,121,853
Filing Period:
No. Security Ticker Shares Value % Port
1. OSCR 3,115,217 $40,840,495 10.74%
2. CRWD 69,193 $24,396,068 6.42%
3. NU 2,237,967 $22,916,782 6.03%
4.
Atlassian Corporation
105,438 $22,374,998 5.89%
5. NOW 26,210 $20,866,829 5.49%