Sequoia Fund Holdings Activity

Sequoia Fund Portfolio 13F

Sequoia Fund has disclosed a total of 13 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 2, bought 3 totally new, decreased the number of shares of 7 and completely sold out 1 position(s).

What stocks is Sequoia Fund buying now?

In the recent quarter Sequoia Fund has purchased 5 securities: (SUNB) SUNBELT RENTALS HOLDINGS INC (new buy), (ZTS) ZOETIS INC (new buy), (TECH) BIO-TECHNE CORP (new buy), (SAP) SAP SE-SPONSORED ADR (added shares +434.83%) and (UMGNF) UNIVERSAL MUSIC GROUP NV (added shares +19.6%).

What does Sequoia Fund invest in?

Sequoia Fund's top 5 holdings (by % of portfolio) are (RYCEF) ROLLS-ROYCE HOLDINGS PLC (10.79%), (GOOGL) ALPHABET INC-CL A (8.78%), (FWONK) LIBERTY MEDIA CORP-LIB-NEW-C (7.18%), (ERFSF) EUROFINS SCIENTIFIC (6.52%) and (UMGNF) UNIVERSAL MUSIC GROUP NV (6.15%).

In the latest report(s) the following changes have been made to the top investments: (RYCEF) ROLLS-ROYCE HOLDINGS PLC (reduced shares -23.04%) and (UMGNF) UNIVERSAL MUSIC GROUP NV (added shares +19.6%).

2025 Q3 (11 results)
GLIBA
buy
+68,152
+0.07%
$37.56
-
0.07%
GLIBK
buy
+116,745
+0.12%
$37.27
42.15% $21.56
0.12%
SAP
buy
+46,000
+0.33%
$267.21
-
0.33%
ANTM
+27.29%
+114,351
+1.00%
$323.12
-
4.67%
CACC
-0.76%
-1,665
-0.02%
$466.93
16.66% $544.71
2.77%
TSM
-2.58%
-18,000
-0.14%
$279.29
-
5.14%
CHTR
-6.69%
-9,800
-0.07%
$275.11
51.97% $132.12
1.02%
SAPGF
-8.00%
-46,000
-0.33%
$267.57
30.11% $187.00
3.84%
SCHW
-8.89%
-225,012
-0.58%
$95.47
6.94% $88.84
5.97%
META
-64.31%
-126,588
-2.52%
$734.38
19.25% $593.00
1.40%
J
-100.00%
-361,872
-1.29%
$131.45
-
0.00%
2025 Q2 (10 results)
RYCEY
buy
+1,150,000
+0.41%
$13.38
-
0.41%
ICLR
+27.45%
+135,813
+0.52%
$145.45
-
2.43%
UMGNF
+21.87%
+1,561,265
+1.34%
$32.37
35.90% $20.75
7.47%
AMTM
+2.29%
+22,720
+0.01%
$23.61
3.43% $22.80
0.64%
META
-1.42%
-2,837
-0.06%
$738.09
19.66% $593.00
3.85%
RYCEF
-2.75%
-1,150,000
-0.41%
$13.28
26.87% $16.85
14.35%
J
-3.11%
-11,607
-0.04%
$131.45
-
0.00%
UNH
-12.55%
-39,832
-0.33%
$311.97
28.05% $399.47
2.30%
CACC
-16.41%
-43,201
-0.58%
$509.43
6.93% $544.71
2.97%
LBRDK
-33.35%
-292,069
-0.76%
$98.38
68.58% $30.91
1.52%
2025 Q1 (2 results)
ASHTF
+46.56%
+693,406
+1.12%
$53.56
-
3.54%
ICE
-42.10%
-739,736
-3.86%
$172.50
-
5.31%
2024 Q4 (27 results)
ICLR
buy
+494,675
+3.20%
$209.71
-
3.20%
ANTM
+25.55%
+85,268
+0.97%
$368.90
-
4.77%
ERFSF
+17.74%
+440,908
+0.70%
$51.08
-
4.61%
UMGNF
+14.19%
+887,091
+0.70%
$25.61
18.96% $20.75
5.64%
ASHTF
-0.09%
-1,320
-0.00%
$62.16
-
2.86%
CACC
-0.09%
-233
-0.00%
$469.46
16.03% $544.71
3.82%
AMTM
-0.09%
-879
-0.00%
$21.03
8.42% $22.80
0.64%
2299955D
-0.09%
-88
-0.00%
$0.00
-
0.00%
CNSWF
-0.09%
-74
-0.01%
$3,092.22
31.00% $2,133.69
7.94%
LBRDA
-0.09%
-302
-0.00%
$74.36
58.47% $30.88
0.78%
ICE
-0.09%
-1,557
-0.01%
$149.01
-
8.08%
LBRDK
-0.09%
-776
-0.00%
$74.76
58.65% $30.91
2.02%
FWONK
-0.09%
-2,431
-0.01%
$92.66
-
7.85%
FWONA
-0.09%
-37
-0.00%
$84.04
-
0.11%
SCHW
-9.22%
-257,279
-0.59%
$74.01
20.04% $88.84
5.79%
META
-10.76%
-24,082
-0.44%
$585.51
1.28% $593.00
3.61%
GOOGL
-13.04%
-173,324
-1.01%
$189.30
94.68% $368.53
6.75%
CHTR
-13.64%
-23,130
-0.24%
$342.77
61.46% $132.12
1.55%
RYCEF
-15.11%
-7,459,373
-1.64%
$7.12
136.71% $16.85
9.21%
UNH
-15.49%
-58,165
-0.91%
$505.86
21.03% $399.47
4.96%
SAPGF
-19.43%
-138,717
-1.05%
$244.77
23.60% $187.00
4.35%
COF
-19.87%
-205,275
-1.13%
$178.32
1.32% $180.67
4.56%
TSM
-37.79%
-423,419
-2.58%
$197.49
-
4.25%
BRK.B
-47.55%
-71,069
-0.99%
$453.28
-
1.10%
J
-62.38%
-619,258
-2.56%
$133.62
-
1.54%
LMGIF
-100.00%
-298,252
-0.22%
$23.37
28.57% $16.69
0.00%
KMX
-100.00%
-645,901
-1.54%
$77.38
39.07% $47.15
0.00%
50 of 377

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.