13F Filings for Dragoneer Investment Group, LLC (CIK: 1602189)

View the most recent portfolio holdings disclosed by Dragoneer Investment Group, LLC in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
XYZ - BLOCK INC(Class: CL A)9.23M $627.23M 12.80%Decreased 1.69K (0.0%, $125.48M)
CPNG - COUPANG INC(Class: CL A)20.89M $625.97M 12.78%Decreased 4.89M (18.0%, $60.56M)
NVDA - NVIDIA CORPORATION(Class: COM)3.19M $503.51M 10.28%New 3.19M ($503.51M)
FLUT - FLUTTER ENTMT PLC(Class: SHS)1.68M $481.05M 9.82%Unchanged
PDD - PDD HOLDINGS INC(Class: SPONSORED ADS)3.54M $370.04M 7.55%Decreased 1.03M (22.0%, $170.12M)
GLBE - GLOBAL E ONLINE LTD(Class: SHS)10.06M $337.28M 6.88%Increased 1.71M (20.0%, $39.70M)
INSP - INSPIRE MED SYS INC(Class: COM)2.35M $305.53M 6.24%Increased 1.06M (81.0%, $98.85M)
DDOG - DATADOG INC(Class: CL A COM)2.25M $302.86M 6.18%Increased 1.98M (729.0%, $275.89M)
N/A - CHIME FINL INC(Class: COM SHS CL A)8.55M $295.02M 6.02%New 8.55M ($295.02M)
DAY - DAYFORCE INC(Class: COM)4.75M $263.09M 5.37%Increased 23.59K (0.0%, $12.59M)
SAIL - SAILPOINT INC(Class: COM)8M $182.88M 3.73%Unchanged
DUOL - DUOLINGO INC(Class: CL A COM)372.44K $152.71M 3.12%Decreased 883.42K (70.0%, $237.29M)
NU - NU HLDGS LTD(Class: ORD SHS CL A)9.91M $135.95M 2.77%Unchanged
TTAN - SERVICETITAN INC(Class: SHS CL A)1.21M $129.28M 2.64%Decreased 842.81K (41.0%, $65.60M)
CCCS - CCC INTELLIGENT SOLUTIONS HL(Class: COM)9.20M $86.54M 1.77%Unchanged
JAMF - JAMF HLDG CORP(Class: COM)4.33M $41.16M 0.84%Decreased 4.49M (50.0%, $65.98M)
OSCR - OSCAR HEALTH INC(Class: CL A)1.35M $28.86M 0.59%Decreased 5.57M (80.0%, $61.83M)
ROOT - ROOT INC(Class: CL A NEW)154.32K $19.75M 0.40%Unchanged
GTM - ZOOMINFO TECHNOLOGIES INC(Class: COMMON STOCK)670K $6.78M 0.14%Unchanged
N/A - HINGE HEALTH INC(Class: CL A)69.28K $3.59M 0.07%New 69.28K ($3.59M)
DT - DYNATRACE INC(Class: COM NEW)0 $0 -Exited 1.20M ($56.52M)
RBLX - ROBLOX CORP(Class: CL A)0 $0 -Exited 1.75M ($102.28M)
TEAM - ATLASSIAN CORPORATION(Class: CL A)0 $0 -Exited 1.11M ($235.92M)
KRMN - KARMAN HLDGS INC(Class: COMMON STOCK)0 $0 -Exited 900K ($30.08M)
INTU - INTUIT(Class: COM)0 $0 -Exited 646.12K ($396.71M)