13F Filings for General Catalyst Group Management, LLC (CIK: 1637946)

View the most recent portfolio holdings disclosed by General Catalyst Group Management, LLC in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
N/A - CIRCLE INTERNET GROUP INC(Class: COM CL A)20.12M $3.65B 84.87%New 20.12M ($3.65B)
IOT - SAMSARA INC(Class: COM CL A)11.98M $476.62M 11.09%Decreased 5.46M (31.0%, $191.94M)
OSCR - OSCAR HEALTH INC(Class: CL A)2.11M $45.19M 1.05%Unchanged
GTLB - GITLAB INC(Class: CLASS A COM)921.40K $41.56M 0.97%Unchanged
AVBP - ARRIVENT BIOPHARMA INC(Class: COM)1.49M $32.54M 0.76%Unchanged
CART - MAPLEBEAR INC(Class: COM)710.71K $32.15M 0.75%Unchanged
MAZE - MAZE THERAPEUTICS INC(Class: COM)1.04M $12.71M 0.30%Unchanged
GUTS - FRACTYL HEALTH INC(Class: COM)4.88M $7.91M 0.18%New 4.88M ($7.91M)
PET - WAG GROUP CO(Class: COMMON STOCK)6.98M $1.61M 0.04%Unchanged
VRM - VROOM INC(Class: COM NEW)7.63K $217.50K 0.01%New 7.63K ($217.50K)
SNOW - Snowflake, Inc.(Class: Common Stock)0 $0 -Exited 265.08K ($38.74M)
BIGC - BigCommerce Holdings, Inc.(Class: Common Stock)0 $0 -Exited 1.20M ($6.91M)
VRM - Vroom, Inc.(Class: Common Stock)0 $0 -Exited 7.63K ($224.29K)
EVLV - Evolv Techology Holdings, Inc.(Class: Common Stock)0 $0 -Exited 10.80M ($33.68M)