Flexible aperture across public and private opportunities defined by innovation

[All figures as of June 30, 2025 unless otherwise stated]

Portfolio composition

Strategy Breakdown


Public Equity
Private Equity
Cash & Cash-like Securities & Others

Geography


North America
Europe
Asia-Pacific

Sector Breakdown


Information Tech

51.1%

Financials

14.4%

Industrials

8.7%

Comms Services

2.9%

Consumer

2.0%

Healthcare

2.0%

[All figures as of February 28, 2026 unless otherwise stated]

*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.

Target allocation

Areas of Focus


AI & Machine Learning

Tech, Media, Telecom

Software & Internet

Energy & Climate Tech

Robotics

Financial Services & Fintech

Public Assets


Min ~50%
Max ~80%
~[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


Min ~20%
Max ~50%
~[20-50%]

Select investments in high-quality companies

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

Top 10 Positions

Position
Ticker
Sector
Geography
Strategy
%NAV
OpenAI
-
Information Tech
North America
Private Equity
10.60
Anthropic
-
Information Tech
North America
Private Equity
10.34
Revolut
-
Financials
Europe
Private Equity
6.94
Taiwan Semiconductor
TSM
Information Tech
Asia-Pacific
Public Equity
5.63
Databricks
-
Information Tech
North America
Private Equity
5.01
Stripe
-
Financials
North America
Private Equity
4.65
Applied Materials
AMAT
Information Tech
North America
Public Equity
3.94
ASML Holding
ASML
Information Tech
Europe
Public Equity
3.94
LAM Research
LRCX
Information Tech
North America
Public Equity
3.29
SpaceX
-
Industrials
North America
Private Equity
2.95

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[All figures as of February 28, 2026 unless otherwise stated]

Past performance does not guarantee future results. The quoted performance reflects fee waivers and/or expense reimbursements in effect during those periods. Returns would have been lower without the waivers and reimbursements.

Privates Portfolio

CTEK's private portfolio includes select investments in high-quality companies.

[as of February 28, 2026]

Positions are subject to change and are not a recommendation to buy or sell any security. May not include all private holdings or all private company branding due to confidentiality obligations and marketing rights. The Fund’s full portfolio holdings will be publicly available in the Fund’s shareholder reports and other filings made with the SEC.

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