Expertise, insights, & more
Coatue.com

Flexible aperture across public and private opportunities defined by innovation

Sector Breakdown

Information Tech
12.6%
Consumer
8.0%
Industrials
2.7%
Utilities
2.3%
Comms Services
2.1%
Financials
0.2%

*The sector and strategy breakdowns shown are presented for illustrative purposes only, reflect internal Coatue classifications, and are not intended to correspond to GICS sectors or regulatory classifications under the Investment Company Act of 1940. Portfolio holdings value are expressed as a percentage and are calculated by taking the market value of each holding and dividing it by the Fund's net asset. Allocations may change over time and are not indicative of future portfolio composition.

Strategy Breakdown

Public Equity
Cash & Cash-like Securities & Others

Areas of Focus

AI & Machine Learning
Tech, Media, Telecom
Software & Internet
Energy & Climate Tech
Healthcare & Life Sciences
Robotics
Financial Services & Fintech

Geography Breakdown

Primary focus
North America
Other regions
Latin AmericaAsiaMiddle EastEurope

Target Asset Class Breakdown

~50-80%
Public assets
~20-50%
Private assets

Employing a flexible aperture seeking to capture innovation across asset classes

Public assets: target asset allocation range

~[50-80%]

Long biased, with manager flexibility to reduce gross exposure as needed to mitigate market risk

  • Publicly traded equities
  • Cash, cash-like securities
  • Options, futures, index, foreign exchange hedges

Private assets: target asset allocation range

~[20-50%]

Select investments in high-quality companies

  • Non-control pre-IPO growth equity capital
  • Structured equity or debt capital solutions
  • Control equity

Interested in learning more?