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Focused investors/Polen Capital Management

Polen Capital Management

As of Q1 2026, Polen Capital Management reported 221 long-equity positions worth $14.46B in aggregate.

Copy-investor backtest

Latest quarter
+5.61%
1-year
-2.36%
3-year
+37.87%
3-year top 5
+78.58%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. Method & limitations.

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Sectors

This breakdown groups the manager’s latest reported 13F holdings by industry sector, so you can see where their conviction is concentrated and how diversified the portfolio is.

Technology: 41.5% ($5.99B)Financial Services: 17.3% ($2.5B)Healthcare: 14.6% ($2.11B)Consumer Cyclical: 12.2% ($1.76B)Communication Services: 8.3% ($1.2B)Real Estate: 3.5% ($510.06M)Unclassified: 1.7% ($249.25M)Industrials: 0.8% ($121.87M)Energy: 0.0% ($6.99M)Basic Materials: 0.0% ($5.74M)Consumer Defensive: 0.0% ($3.4M)Utilities: 0.0% ($590K)

Sector breakdown

  • Technology(46)41.5%
  • Financial Services(25)17.3%
  • Healthcare(38)14.6%
  • Consumer Cyclical(24)12.2%
  • Communication Services(9)8.3%
  • Real Estate(4)3.5%
  • Unclassified(16)1.7%
  • Industrials(42)0.8%
  • Energy(6)0.0%
  • Basic Materials(5)0.0%
  • Consumer Defensive(4)0.0%
  • Utilities(2)0.0%