INDEX VENTURE GROWTH ASSOCIATES I LTD Holdings

INDEX VENTURE GROWTH ASSOCIATES I LTD is an investment fund managing more than 288.07M US dollars. In Q2 2021 the fund bought assets of total value of 1.14B US dollars and sold assets of total value of 43.37M US dollars.

INDEX VENTURE GROWTH ASSOCIATES I LTD portfolio value:

$288.06M
portfolio value

INDEX VENTURE GROWTH ASSOCIATES I LTD quarter portfolio value change:

+2.10%
quarter

INDEX VENTURE GROWTH ASSOCIATES I LTD 1 year portfolio value change:

-43.44%
1 year

INDEX VENTURE GROWTH ASSOCIATES I LTD 3 years portfolio value change:

-548.92%
3 years

INDEX VENTURE GROWTH ASSOCIATES I LTD portfolio changes

Portfolio changes (number of shares)
Period Buy Sel
Q4 2020 67106000 57505000
Q2 2021 1144594000 43365000

INDEX VENTURE GROWTH ASSOCIATES I LTD 13F holdings

Stock
Portfolio share: 100.00%
Portfolio value: 288.06M
Avg. open price: N/A
Current price: $20.93
P/L: N/A
Sold -22.22% shares
Q3 2022

Showing TOP 1 INDEX VENTURE GROWTH ASSOCIATES I LTD's 13F holdings.

Frequently Asked Questions (FAQ)

What is the biggest position of INDEX VENTURE GROWTH ASSOCIATES I LTD?

The biggest position of the INDEX VENTURE GROWTH ASSOCIATES I LTD is Squarespace, Inc. (SQSP) with 100% portfolio share worth of 288.07M US dollars.

Who is the portfolio manager of INDEX VENTURE GROWTH ASSOCIATES I LTD?

The portfolio manager of the INDEX VENTURE GROWTH ASSOCIATES I LTD is .

What is the total asset value of the INDEX VENTURE GROWTH ASSOCIATES I LTD portfolio?

INDEX VENTURE GROWTH ASSOCIATES I LTD total asset value (portfolio value) is 288.07M US dollars.

Who is ?

is the portfolio manager of the INDEX VENTURE GROWTH ASSOCIATES I LTD.

What is (INDEX VENTURE GROWTH ASSOCIATES I LTD) fund performance?

INDEX VENTURE GROWTH ASSOCIATES I LTD's quarterly performance is +2.10%, annualy -43.44%. In the past 3 years, the value of 's portfolio has decreased by -549%.

What is the INDEX VENTURE GROWTH ASSOCIATES I LTD CIK?

INDEX VENTURE GROWTH ASSOCIATES I LTD's Central Index Key is 0001447961 .