Instuitional Investor - Spyglass Capital Management Llc

Fund Profile
Filing Period:
Fund Name: Spyglass Capital Management Llc
Portfolio Value $1,875,063,378
Filing Period:
No. Security Ticker Shares Value % Port
1. APP 175,917 $126,403,401 6.74%
2. EXAS 2,125,435 $116,282,549 6.2%
3. MDB 339,723 $105,443,225 5.62%
4. HUBS 225,229 $105,362,126 5.62%
5. AAON 1,068,859 $99,874,185 5.33%