Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
GILDER GAGNON HOWE & CO LLC 08-12-2019 06-30-2019 284 9,911,523,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
NETFLIX COM INC COM COM 1 $522,246,000 1,421,773 5.27 5.99 -153,045 -9.72
AMAZON.COM INC COM 2 $418,959,000 221,247 4.23 4.74 -27,859 -11.18
ROKU INC COM CL A COM 3 $319,298,000 3,525,035 3.22 2.44 -16,696 -0.47
OKTA INC CL A COM 4 $257,531,000 2,085,099 2.60 1.85 -6,078 -0.29
EXACT SCIENCES CORP COM 5 $222,893,000 1,888,287 2.25 1.85 -117,107 -5.84
ETSY INC COM COM 6 $219,625,000 3,578,703 2.22 2.59 -33,715 -0.93
RINGCENTRAL INC-CLASS A COM 7 $207,866,000 1,808,792 2.10 2.46 -329,461 -15.41
MONGODB INC CL A COM 8 $193,571,000 1,272,738 1.95 2.13 -85,178 -6.27
OCADO GROUP PLC ORD GBP0.02 ISIN #GB00B3MBS747 SEDOL #B3MBS74 COM 9 $189,221,000 12,740,079 1.91 2.71 -1,451,085 -10.23
CHEGG INC COM USD0.001 COM 10 $178,153,000 4,616,555 1.80 2.00 -308,397 -6.26
NEW YORK TIMES CO CL A COM 11 $169,091,000 5,183,649 1.71 1.83 -29,160 -0.56
SHAKE SHACK INC CL A COM 12 $168,990,000 2,340,584 1.70 1.28 316,301 15.63
SAREPTA THERAPEUTICS INC COM COM 13 $150,735,000 992,007 1.52 1.26 -364 -0.04
AUTODESK INC COM COM 14 $143,073,000 878,286 1.44 1.31 89,851 11.40
HUBSPOT INC COM COM 15 $131,983,000 774,003 1.33 1.39 -9,326 -1.19
INVITAE CORP COM COM 16 $122,516,000 5,213,466 1.24 1.38 -316,571 -5.72
SQUARE INC CL A COM 17 $122,371,000 1,687,184 1.23 1.45 -130,922 -7.20
AZUL SA SPON ADR EACH REP 3 PFD SHS COM 18 $117,629,000 3,517,620 1.19 1.11 -55,260 -1.55
UBER TECHNOLOGIES INC COM COM 19 $117,077,000 2,524,305 1.18 2,524,305 +Inf
FRESHPET INC COM COM 20 $115,940,000 2,547,572 1.17 1.16 -23,953 -0.93
DEXCOM INC COM 21 $113,320,000 756,275 1.14 0.86 76,510 11.26
SHOPIFY INC COM NPV CL A ISIN #CA82509L1076 SEDOL #BX865C7 COM 22 $113,063,000 376,687 1.14 0.63 89,424 31.13
VERACYTE INC COM COM 23 $110,375,000 3,871,451 1.11 0.92 418,227 12.11
ARISTA NETWORKS INC COM USD0.0001 COM 24 $110,067,000 423,955 1.11 1.43 -3,418 -0.80
MARTIN MARIETTA MATERIALS INC COM USD0.01 COM 25 $108,984,000 473,617 1.10 0.98 16,119 3.52
GLAUKOS CORP COM COM 26 $108,724,000 1,441,959 1.10 1.04 195,906 15.72
TESLA INC COM COM 27 $108,342,000 484,837 1.09 1.65 -67,964 -12.29
INTUITIVE SURGICAL INC COM NEW COM 28 $105,315,000 200,772 1.06 1.24 -2,883 -1.42
TWITTER INC COM USD0.000005 COM 29 $104,859,000 3,004,564 1.06 1.06 -6,234 -0.21
QUANTERIX CORP COM COM 30 $103,673,000 3,068,168 1.05 0.27 2,081,581 210.99
LGI HOMES INC COM COM 31 $100,320,000 1,404,450 1.01 0.92 -24,107 -1.69
EPAM SYS INC COM USD0.001 COM 32 $98,016,000 566,242 0.99 1.04 -10,641 -1.84
GALAPAGOS NV NPV ISIN #BE0003818359 SEDOL #B07Q2V5 COM 33 $97,789,000 756,902 0.99 0.51 348,613 85.38
MERCADOLIBRE INC COM USD0.001 COM 34 $97,610,000 159,553 0.98 0.87 -1,815 -1.12
SHOTSPOTTER INC COM COM 35 $97,153,000 2,198,021 0.98 0.90 21,370 0.98
SLACK TECHNOLOGIES INC COM CL A COM 36 $97,048,000 2,587,944 0.98 2,587,944 +Inf
T MOBILE US INC COM USD0.00001 COM 37 $95,516,000 1,288,324 0.96 0.96 -7,757 -0.60
SALESFORCE.COM INC COM USD0.001 COM 38 $94,365,000 621,928 0.95 1.06 -5,554 -0.89
TELADOC HEALTH INC COM COM 39 $88,767,000 1,336,647 0.90 0.88 -143,012 -9.67
GOLDMAN SACHS GROUP INC COM USD0.01 COM 40 $88,764,000 433,841 0.90 0.80 45,699 11.77
LIVEPERSON INC COM USD0.001 COM 41 $85,332,000 3,043,221 0.86 1.05 -338,501 -10.01
Q2 HLDGS INC COM COM 42 $84,945,000 1,112,431 0.86 0.23 799,920 255.97
FIVE BELOW INC COM COM 43 $83,173,000 692,996 0.84 0.94 -12,654 -1.79
ADYEN NV 144A COM 44 $83,091,000 107,521 0.84 0.90 -329 -0.31
SHOCKWAVE MED INC COM COM 45 $82,632,000 1,447,401 0.83 0.48 114,842 8.62
GLOBANT SA USD1.20 COM 46 $77,960,000 771,497 0.79 0.59 -3,916 -0.51
MICROSOFT CORP COM 47 $77,386,000 577,676 0.78 0.73 -3,102 -0.53
IROBOT CORP COM COM 48 $77,166,000 842,056 0.78 1.06 -2,334 -0.28
POOL CORP COM COM 49 $74,114,000 388,030 0.75 0.68 2,548 0.66
FACEBOOK INC-CLASS A COM 50 $73,212,000 379,339 0.74 1.92 -697,469 -64.77
MATCH GROUP INC COM COM 51 $72,893,000 1,083,594 0.74 0.67 -27,813 -2.50
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