Lane Generational Llc Portfolio Stock Holdings

Lane Generational Llc disclosed 39 stock positions valued at approximately $125.6 million in its latest SEC 13F filing. The largest holdings include SPIRE GLOBAL INC, AGNICO EAGLE MINES LTD, and DLOCAL LTD. The filing reflects positions held as of March 31, 2026 and was filed on May 14, 2026.

Report Period
March 31, 2026
No. of Stocks
39
Portfolio Value
$125.6M
Holdings by Sector
Lane Generational Llc Portfolio Holdings in Q1 2026

35 holdings in the latest reporting period.

Page 1 of 1
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
SPIRE GLOBAL INCSPIRIndustrials7.57%755,902+10,685+1.43%$9,509,247
AGNICO EAGLE MINES LTDAEMBasic Materials7.34%45,442-13,270-22.60%$9,223,894
DLOCAL LTDDLOOther5.37%519,886+12,629+2.49%$6,742,921
COEUR MNG INCCDEBasic Materials5.25%351,334-50,895-12.65%$6,594,539
BLOCK INCSQTechnology5.01%104,600+25,201+31.74%$6,294,828
EVOLV TECHNOLOGIES HLDNGS INEVLVIndustrials3.81%790,846+790,846+100.00%$4,784,618
AMAZON COM INCAMZNConsumer Cyclical3.61%21,772+4,003+22.53%$4,534,388
CLEARPOINT NEURO INCCLPTHealthcare3.53%486,849+146,242+42.94%$4,430,326
ELASTIC N VN14506104Other3.39%85,312+85,312+100.00%$4,264,747
GITLAB INCGTLBTechnology3.14%182,575+182,575+100.00%$3,950,923
SERVICENOW INCNOWTechnology3.12%37,535+37,535+100.00%$3,924,284
ZOOM COMMUNICATIONS INCZMTechnology3.11%48,588-6-0.01%$3,905,989
WEAVE COMMUNICATIONS INCWEAVHealthcare3.04%826,201+316,667+62.15%$3,817,049
ADVANCED MICRO DEVICES INCAMDTechnology3.01%18,585-293-1.55%$3,780,747
FLYWIRE CORPORATIONFLYWTechnology2.58%278,224+182,981+192.12%$3,238,527
INTUITIVE MACHINES INCLUNRIndustrials2.57%174,026+2,946+1.72%$3,229,923
OSCAR HEALTH INCOSCRHealthcare2.52%275,559+55,140+25.02%$3,160,662
COUPANG INCCPNGConsumer Cyclical2.51%167,326+167,326+100.00%$3,159,115
SENTINELONE INCSTechnology2.18%213,023+213,023+100.00%$2,743,736
PROCEPT BIOROBOTICS CORPPRCTHealthcare2.05%103,182+46,358+81.58%$2,580,582
NEURONETICS INCSTIMHealthcare2.05%1,774,624+69,427+4.07%$2,573,205
DUOLINGO INCDUOLTechnology1.83%23,319+23,319+100.00%$2,298,554
MERCADOLIBRE INCMELIConsumer Cyclical1.81%1,315+23+1.78%$2,274,197
DELCATH SYS INCDCTHHealthcare1.52%205,092+7,402+3.74%$1,903,254
ATLASSIAN CORPORATIONTEAMTechnology1.46%26,907+26,907+100.00%$1,836,403
SPROTT ASSET MANAGEMENT LPPHYSOther1.29%45,858--$1,625,208
VANECK ETF TRUSTGDXOther1.18%16,201--$1,486,766
APPLE INCAAPLTechnology1.01%4,987-17-0.34%$1,265,651
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive0.87%1,100--$1,096,073
SPROTT ASSET MANAGEMENT LPPSLVOther0.86%44,334--$1,081,306
ISHARES INCSLVPOther0.81%28,824-3,554-10.98%$1,022,099
DIGIMARC CORP NEWDMRCTechnology0.48%123,475+1,299+1.06%$606,262
THERMO FISHER SCIENTIFIC INCTMOHealthcare0.33%850--$417,801
GLOBAL X FDSURAOther0.32%8,266--$400,322
QUEST DIAGNOSTICS INCDGXHealthcare0.27%1,742--$341,397