CIK: 0001728718
Total reported value
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Reporting period: 2024-09-30 · Number of holdings: 1
Growth Interface Management LLC disclosed 1 holdings in its latest 13F filing for the period ending 2024-09-30, with total reported value of — and a quarterly turnover rate of 0.0%.
Sector classification currently covers about 0% of this portfolio's disclosed value; the remainder includes holdings (e.g. unmapped tickers, options, or other security types) not yet covered by our sector mapping.
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No holding changes this quarter
| # | Ticker | Issuer | Asset Subclass | Weight | Weight Change | Shares Change | 4Q Trend |
|---|---|---|---|---|---|---|---|
| 1 | ✓ | Ikena Oncology Inc | Stock-Other | — | — | — |
Performance for Q3 2026
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Performance Last 4 Quarters
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Based on 79% of reported portfolio value with available pricing
Not enough sector-mapped data yet
| Period | Holdings | Total value | Stability | Top holdings | |
|---|---|---|---|---|---|
| 2024 Q3 | 1 | — | 0 | ||
| 2024 Q2 | 1 | — | 0 | ||
| 2024 Q1 | 1 | — | 0 | ||
| 2023 Q4 | 1 | — | 0 | ||
| 2023 Q3 | 9 | $64.0M | 0 | ||
| 2023 Q2 | 10 | $133.1M | 0 | ||
| 2023 Q1 | 9 | $100.2M | 0 | ||
| 2022 Q4 | 8 | $83.8M | 0 | ||
| 2022 Q3 | 9 | $135.8M | 0 | ||
| 2022 Q2 | 9 | $99.6M | 0 | ||
| 2022 Q1 | 10 | $393.4M | 0 | ||
| 2021 Q4 | 9 | $953.8M | 0 | ||
| 2021 Q3 | 10 | $908.8M | 0 | ||
| 2021 Q2 | 10 | $987.3M | 88 | ||
| 2021 Q1 | 10 | $772.6M | 100 | ||
| 2020 Q4 | 10 | $593.1M | 28 | ||
| 2020 Q3 | 10 | $471.2M | 18 | ||
| 2020 Q2 | 10 | $414.5M | 39 | ||
| 2020 Q1 | 10 | $279.6M | 19 | ||
| 2019 Q4 | 10 | $264.9M | 19 | ||
| 2019 Q3 | 10 | $226.6M | 28 | ||
| 2019 Q2 | 10 | $171.1M | 34 | ||
| 2019 Q1 | 9 | $122.0M | 28 | ||
| 2018 Q4 | 9 | $99.5M | 0 |
| # | Ticker | Issuer | Weight Change | Shares Change | Action |
|---|
Growth Interface Management LLC returned an annualized 32.0% over the trailing 6 months — underperforming the S&P 500 by 20.0 points — based on a reconstructed track record of its disclosed 13F positions, with a beta of 1.96 (more volatile than the market) and a 17% quarterly batting average against the index.
Its portfolio is broadly diversified and long-term-holding.
Its concentration score has fallen from 57 to 0 over the past 4 quarters — a shift toward broader diversification.
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