RK

Robert Karr

13F
Joho Capital
Last update 2024-05-17 16 Stocks (2 new)
Value $721.00 Mil Turnover 20 %
Countries:
Portfolio Report

Robert Karr Profile

Robert Karr founded Joho Capital in 1996. He is one of the Tiger Cubs, the hedge fund managers who learned from the legendary Julian Robertson at Tiger Management. At Tiger Management, his main focus was Asian equities. Karr tends to hold a concentrated portfolio in the area of new technologies, with a low portfolio turnover rate.

Robert Karr Investing Philosophy

Karr believes in the value of a simplistic approach to investing, focusing on a small number of long-term investments in order to conduct more in-depth research on each of the portfolio holdings.

Robert Karr's Portfolio

Robert Karr Current Holdings

Add To Portfolio
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
MTCH
Match Group Inc
186,000
6748.08
New Holding
0.94
+0.94%
0.07
-16.97%
-14.49%
8291.502
Interactive Media
BMBL
Bumble Inc
550,000
6242.5
New Holding
0.87
+0.87%
0.44
-9.36%
-16.55%
1552.243
Software
BROS
Dutch Bros Inc
1,364,514
45028.96
+428.88%
6.25
+5.07%
1.44
+33.94%
+15.88%
3489.162
Restaurants
SHLS
Shoals Technologies Group Inc
6,423,545
71815.23
+111.58%
9.96
+5.25%
3.77
-60.91%
-58.75%
1092.394
Semiconductors
ADBE
Adobe Inc
174,000
87800.4
+108.88%
12.18
+6.35%
0.04
-11.57%
-18.97%
216576.64
Software
NU
Nu Holdings Ltd
2,131,000
25422.83
+85.30%
3.53
+1.63%
0.04
+12.55%
+39.98%
55747.49
Banks
MSFT
Microsoft Corp
651,700
274183.22
0%
38.03
0%
0.01
+4.18%
+12.15%
3123129.218
Software
UBER
Uber Technologies Inc
1,018,900
78445.11
0%
10.88
0%
0.05
-16.25%
+6.66%
137218.805
Software
PWR
Quanta Services Inc
290,143
75379.15
0%
10.45
0%
0.2
+25.09%
+22.56%
38705.108
Construction
STZ
Constellation Brands Inc
18,215
4950.11
0%
0.69
0%
0.01
+5.17%
+6.46%
46731.603
Beverages - Alcoholic
APH
Amphenol Corp
39,240
4526.33
0%
0.63
0%
0.01
+25.26%
+33.34%
79225.667
Hardware
PG
Procter & Gamble Co
23,050
3739.86
0%
0.52
0%
0
+7.12%
+15.86%
395653.079
Consumer Packaged Goods
ANSS
Ansys Inc
5,230
1815.65
0%
0.25
0%
0.01
-0.65%
-9.69%
28609.077
Software
MCD
McDonald's Corp
4,200
1184.19
0%
0.16
0%
0
-6.19%
-7.62%
196299.269
Restaurants
NXT
NEXTracker Inc
571,669
32167.82
-31.67%
4.46
-2.25%
0.42
-26.71%
-5.66%
6035.175
Semiconductors
ADSK
Autodesk Inc
6,020
1567.73
-39.31%
0.22
-0.17%
0
-14.36%
-9.15%
47320.209
Software
INTU
Intuit Inc
0
0
Sold Out
0
-0.30%
0
+0.97%
+6.09%
185116.515
Software
RIVN
Rivian Automotive Inc
0
0
Sold Out
0
-1.56%
0
-35.58%
-55.24%
10450.864
Vehicles & Parts
100/Page
Total 18

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