David Rolfe: Stock Portfolio, Performance and Latest Trades

Wedgewood Partners

Holdings history from Q2 2013Latest report: Q2 2026, filed August 14, 2026SEC filings (CIK 859804)
13F portfolio value
$484.4M
18 holdings at Q2 2026

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David Rolfe's portfolio

As of Q2 2026, filed August 14, 2026 · prices as of October 8, 2026

CompanyShare of portfolioAverage buy priceReturnCurrent priceValue nowSharesHeld sinceLast quarterLast change
10.4%$113.45+304%$457.99$48.3M105,499Q2 2021Reduced −18%Q2 2026
9.39%$51.34+578%$348.29$44.3M127,237Q3 2015Reduced −18%Q2 2026
8.89%$275.51+162%$720.89$55.1M76,471Q1 2018Added +16%Q2 2026
7.81%$28.41+1098%$340.42$44.5M130,682Q3 2013Reduced −3.3%Q2 2026
6.89%$267.47+95.4%$522.61$46.8M89,518Q1 2020Added +21%Q2 2026
6.66%$231.97+9.5%$254.06$34.4M135,440Q4 2025Added +36%Q2 2026
6.32%$146.98+155%$375.10$33.5M89,188Q2 2013Added +7.4%Q2 2026
5.63%$213.17+110%$447.12$29.4M65,643Q2 2019Reduced −3.4%Q2 2026
4.93%$138.22+31.4%$181.65$20M110,288Q1 2021Reduced −3.2%Q2 2026
4.91%$273.23——$23.8M133,351Q1 2021Added +2317%Q2 2026
4.79%$205.35+6.5%$218.73$23.2M106,261Q1 2026Added +27%Q2 2026
4.79%$299.43+14.8%$343.78$23.4M68,039Q4 2025Added +26%Q2 2026
3.91%$693.11+51.5%$1,050.15$17.6M16,732Q1 2025Reduced −34%Q2 2026
3.28%$155.16−44.6%$86.01$14.8M172,645Q3 2023Reduced −3.2%Q2 2026
3.08%$81.92+2.8%$84.24$13.9M165,208Q1 2017Reduced −3.4%Q2 2026
3.08%$146.72−8.1%$134.83$12.2M90,562Q1 2026Added +2.6%Q2 2026
2.63%$345.93+16.4%$402.73$12.6M31,339Q4 2019Reduced −3.2%Q2 2026
2.61%$23.23+18.3%$27.48$12.3M447,748Q4 2019Reduced −3.2%Q2 2026
CompanyActionShares changeShares nowValue now
Sold out−456,0940—
Sold out−144,8700—
Sold out−113,5410—
Added +36%+35,533135,440$32.3M
Added +27%+22,909106,261$23.2M
Reduced −18%−23,854105,499$50.4M
Added +21%+15,59989,518$33.4M
Added +26%+14,15368,039$23.2M
Added +7.4%+6,17889,188$30.6M
Added +16%+10,66676,471$43.1M
Reduced −3.3%−4,446130,682$37.8M
Added +2.6%+2,28790,562$14.9M
Reduced −3.2%−15,001447,748$12.6M
Reduced −3.4%−2,29865,643$27.3M
Reduced −3.2%−3,653110,288$23.9M
Reduced −3.4%−5,761165,208$14.9M
Reduced −3.2%−1,03231,339$12.8M
Reduced −18%−28,464127,237$45.5M
Reduced −34%−8,46016,732$19M
Reduced −3.2%−5,752172,645$15.9M
Added +2317%+127,834133,351$23.8M
Sold out−5240—

David Rolfe's portfolio by sector

Share of the stock portfolio at Q2 2026.

31%Technology
SectorShareValueHoldings
Technology31%$148.9M4
Consumer Discretionary21%$99.5M5
Communication Services18%$88.5M2
Financials16%$77M3
Industrials11%$55.6M3
Health Care3.1%$14.9M1

Portfolio performance: David Rolfe vs. benchmarks

Your result if you had bought each reported portfolio on the day it was made public and held it until the next report, against the S&P 500 and Nasdaq-100.

  • You, copying after each 13F filing – estimated value
  • S&P 500
  • Nasdaq-100
−40%−20%0%+20%+40%+60%+80%+100%+120%OctJulApr2024OctJulApr+113%Nasdaq-100+89%S&P 500+56%You, copying
Oct 8, 2021 to Oct 8, 2026, buying on 13F filing dates; prices adjusted for dividends and splits.
Total returnPer year
You, copying after each 13F filing – estimated value+56.3%+9.3%
S&P 500+89.0%+13.6%
Nasdaq-100+113.3%+16.4%

Prices were available for 85% of the portfolio value on average; the rest is left out of the return.

David Rolfe's most traded stocks

Quarters with a buy or a sell, all reports since Q2 2013.

CompanyQuarters boughtQuarters soldLast change
1265Q2 2026
1240Q2 2026
1240Q2 2026
1132Q1 2026
732Q2 2026
1028Q2 2026
828Q3 2023
727Q2 2026
1220Q2 2026
922Q1 2022
821Q2 2026
920Q4 2021
919Q2 2026
423Q2 2026
522Q2 2026