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MAKENA CAPITAL MANAGEMENT LLC

Q2 2026 13F filing

Updated 31 days ago

26 disclosed positions worth $951.8M

Portfolio value
$951.8M
Total holdings
26
New positions
2
Closed positions
3
Increased
12
Decreased
10
Turnover
19.2%
Filed
2026-08-10

Full holdings

Every line item disclosed in Q2 2026

V

VANGUARD INDEX FDS

-4.6%
Value
$290M
Shares
422.2K
% Port
30.47%
E

ISHARES TR

-5.6%
Value
$98.3M
Shares
1.02M
% Port
10.33%
E

ISHARES INC

-14.7%
Value
$48.9M
Shares
590.6K
% Port
5.14%
V

VEEVA SYS INC

+30.4%
Value
$35.9M
Shares
202.5K
% Port
3.77%
G

GUIDEWIRE SOFTWARE INC

+41.0%
Value
$34.8M
Shares
283.0K
% Port
3.66%
T

TAIWAN SEMICONDUCTOR MANUFAC

-14.7%
Value
$34.1M
Shares
71.5K
% Port
3.58%
S

SELECT SECTOR SPDR TR

+13.4%
Value
$31.3M
Shares
197.2K
% Port
3.29%
V
8.V

VISA INC

+0.2%
Value
$31M
Shares
90.2K
% Port
3.25%
A

AMAZON COM INC

-11.8%
Value
$30.9M
Shares
129.8K
% Port
3.25%
M
10.MCO

MOODYS CORP

+21.6%
Value
$27M
Shares
59.7K
% Port
2.84%
L

LIBERTY LIVE HOLDINGS INC

+4.3%
Value
$25.3M
Shares
239.8K
% Port
2.66%
M
12.MTZ

MASTEC INC

-23.7%
Value
$25.2M
Shares
60.5K
% Port
2.64%
G
13.GE

GE AEROSPACE

+0.7%
Value
$25.1M
Shares
67.2K
% Port
2.64%
M
14.MELI

MERCADOLIBRE INC

Value
$24.5M
Shares
14.4K
% Port
2.57%
S
15.SPGI

S&P GLOBAL INC

+20.8%
Value
$22.6M
Shares
55.6K
% Port
2.38%
R
16.RH

CRH PLC

+9.0%
Value
$22M
Shares
205.9K
% Port
2.31%
P
17.PCOR

PROCORE TECHNOLOGIES INC

+55.2%
Value
$20.2M
Shares
497.7K
% Port
2.12%
C
18.CPNG

COUPANG INC

+24.2%
Value
$19M
Shares
1.10M
% Port
2.00%
N
19.NVDA

NVIDIA CORPORATION

-10.8%
Value
$19M
Shares
94.7K
% Port
1.99%
G

ALPHABET INC

-14.4%
Value
$18.8M
Shares
52.6K
% Port
1.98%
N
21.NYT

NEW YORK TIMES CO MTN BE

Value
$16.4M
Shares
233.8K
% Port
1.72%
J
22.JCI

JOHNSON CONTROLS INTERNATION

-8.1%
Value
$15.2M
Shares
104.1K
% Port
1.60%
F
23.FSLR

FIRST SOLAR INC

Unchanged
Value
$13.7M
Shares
57.9K
% Port
1.43%
A
24.AAPL

SELECT SECTOR SPDR TR

-11.5%
Value
$11.2M
Shares
134.8K
% Port
1.18%
S
25.SNDA

SONIDA SENIOR LIVING INC

Unchanged
Value
$7.5M
Shares
185.0K
% Port
0.79%
M
26.MDLN

MEDLINE INC

+2.9%
Value
$3.8M
Shares
96.6K
% Port
0.40%