David M. PolenPolen Capital Management Portfolio Overview


The Polen Capital Management portfolio, managed by David M. Polen, offers a complete view of current equity holdings, portfolio balances, trading activity, derivatives exposure, and sector allocation. This data is based on the most recent SEC 13F filing submitted on Aug 13, 2025, reflecting positions as of Jun 30, 2025.


Through this portfolio overview, investors can explore:


Balances – total equity value and top positions.
Holdings – individual stock positions with weights.
Activity – recent buys, sells, and strategic changes.
Options – calls, puts, and derivative positions.
Allocation – sector and industry distribution.

Together, these sections provide insights into David M. Polen's investment strategy, capital allocation, and market outlook, making the portfolio a valuable resource for investors and researchers alike.