Josh Tarasoff - Greenlea Lane Capital Management,
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    9
Portfolio value:    $344,294,052
Holdings Activity Buys Sells    History
Holding/activity history for  Spotify Technology S.A. (SPOT)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2023   Q3 0 0.00 Sell 100.00% 7.15 SEC
2023   Q2 122,045 7.15 Reduce 20.22% 1.65 $160.55 $19,594,325 SEC
2023   Q1 152,985 8.16 $133.62 $20,441,856 SEC
2022   Q4 152,985 5.75 Reduce 30.95% 2.15 $78.95 $12,078,166 SEC
2022   Q3 221,545 6.95 Add 49.93% 2.31 $86.30 $19,119,000 SEC
2022   Q2 147,770 5.52 Reduce 7.58% 0.51 $93.83 $13,865,000 SEC
2022   Q1 159,885 6.73 Add 5.50% 0.35 $151.02 $24,146,000 SEC
2021   Q4 151,553 11.51 Add 5.48% 0.60 $234.03 $35,468,000 SEC
2021   Q3 143,673 10.58 $225.34 $32,375,000 SEC
2021   Q2 143,673 11.90 Add 161.80% 7.35 $275.59 $39,595,000 SEC
2021   Q1 54,878 6.16 Reduce 35.67% 3.59 $267.96 $14,705,000 SEC
2020   Q4 85,313 10.05 Reduce 1.56% 0.14 $314.66 $26,845,000 SEC
2020   Q3 86,663 8.95 Add 8.73% 0.72 $242.57 $21,022,000 SEC
2020   Q2 79,705 11.01 $258.19 $20,579,000 SEC
2020   Q1 79,705 6.36 Add 55.80% 2.28 $121.45 $9,680,000 SEC
2019   Q4 51,160 4.30 Reduce 0.67% 0.03 $149.55 $7,651,000 SEC
2019   Q3 51,505 3.85 Reduce 28.29% 1.63 $114.01 $5,872,000 SEC
2019   Q2 71,820 5.78 Reduce 26.18% 2.10 $146.21 $10,501,000 SEC
2019   Q1 97,290 8.03 Add 126.31% 4.48 $138.80 $13,504,000 SEC
2018   Q4 42,990 4.75 $113.51 $4,880,000 SEC