Robert Karr's Investment Portfolio Update: March 31, 2026
Robert Karr's portfolio valued at $366.7 million as of March 31, 2026, shows significant changes in holdings like Microsoft and Walmart.

Robert Karr, managing investments through Joho Capital, saw his portfolio valued at $366.7 million as of March 31, 2026.
Karr's portfolio allocation includes major positions in Microsoft (30.59%), Amazon (14.89%), Wix (6.67%), and others. Holdings like Microsoft and Amazon saw decreases in shares, while Walmart experienced a substantial increase in holdings.
Robert Karr's portfolio includes:
Microsoft (Technology, 30.59%): Holdings decreased by 14.19% compared to the previous period.
Amazon (Consumer Cyclical, 14.89%): Holdings increased slightly by 0.87%.
Wix (sector not specified, 6.67%): Holdings increased significantly by 100%.
Walmart (Consumer Defensive, 3.99%): Holdings increased substantially by 474.82%.
HUBBELL INC (Industrials, 3.14%): Holdings increased by 100%.
SHARKNINJA INC (sector not specified, 1.36%): Holdings increased by 100%.
AMPHENOL CORP (Technology, 1.15%): Holdings decreased by 56.57%.