First seen by DFX
Sep 13, 2026
date not stated
Jackson Square Partners, LLC: CANDIDATE_FAMILY_OFFICE -> NOT_FAMILY_OFFICE (Jackson Square Partners files Schedule 13G as a registered investment adviser managing institutional equity portfolios, not a family office.)
First seen by DFX
Sep 12, 2026
date not stated
Jackson Square Partners, LLC files Form 13F (non_adviser_filer, $960,896,439 in 60 positions)
Jackson Square Partners, LLC reported $0 across 1 13(f) positions for the quarter ended 2025-12-31
Jackson Square Partners, LLC exited Alphabet Inc Class a (was $14,254,655, 58,637 shares)
Jackson Square Partners, LLC exited Cadence Design Systems Inc (was $7,779,355, 22,147 shares)
Jackson Square Partners, LLC exited Amazon.com Inc (was $11,949,219, 54,421 shares)
Jackson Square Partners, LLC exited Boeing Co/the (was $6,647,348, 30,799 shares)
Jackson Square Partners, LLC exited Bio-Techne Corp (was $2,484,770, 44,666 shares)
Jackson Square Partners, LLC exited Kinsale Capital Group Inc (was $2,708,481, 6,369 shares)
Jackson Square Partners, LLC exited CME Group Inc (was $4,329,525, 16,024 shares)
Jackson Square Partners, LLC exited Microsoft Corporation (was $18,045,378, 34,840 shares)
Jackson Square Partners, LLC exited Canadian Pacific Kansas City Limited (was $4,854,439, 65,169 shares)
Jackson Square Partners, LLC exited Clean Harbors Inc (was $3,954,474, 17,029 shares)
Jackson Square Partners, LLC exited Entegris Inc (was $3,724,011, 40,277 shares)
Jackson Square Partners, LLC exited Howmet Aerospace Inc (was $2,423,244, 12,349 shares)
Jackson Square Partners, LLC exited Starbucks Corp (was $2,769,043, 32,731 shares)
Jackson Square Partners, LLC exited Intuitive Surgical Inc (was $3,189,197, 7,131 shares)
Jackson Square Partners, LLC exited Iqvia Holdings Inc (was $3,074,179, 16,185 shares)
Jackson Square Partners, LLC exited Wyndham Hotels & Resorts Inc (was $3,427,550, 42,898 shares)
Jackson Square Partners, LLC exited ELI Lilly & Co (was $2,826,152, 3,704 shares)
Jackson Square Partners, LLC exited Mastercard Inc (was $5,887,752, 10,351 shares)
Jackson Square Partners, LLC exited Medpace Holdings Inc (was $9,174,157, 17,843 shares)
Jackson Square Partners, LLC exited Siteone Landscape Supply Inc (was $2,958,021, 22,966 shares)
Jackson Square Partners, LLC exited Nvidia Corp (was $19,218,486, 103,004 shares)
Jackson Square Partners, LLC exited Okta Inc (was $2,599,603, 28,349 shares)
Jackson Square Partners, LLC exited S&p Global Inc (was $5,263,769, 10,815 shares)
Jackson Square Partners, LLC exited SBA Communications Corp (was $6,931,598, 35,850 shares)
Jackson Square Partners, LLC exited Servicenow Inc (was $3,754,742, 4,080 shares)
Jackson Square Partners, LLC exited Shift4 Payments Inc (was $5,735,340, 74,100 shares)
Jackson Square Partners, LLC exited Simpson Manufacturing Co Inc (was $2,112,173, 12,613 shares)
Jackson Square Partners, LLC exited Hexcel Corp (was $3,672,088, 58,566 shares)
Jackson Square Partners, LLC exited Axcelis Technologies Inc (was $2,668,989, 27,335 shares)
Jackson Square Partners, LLC exited Topbuild Corp (was $2,644,168, 6,765 shares)
Jackson Square Partners, LLC exited Uber Technologies Inc (was $3,513,400, 35,862 shares)
Jackson Square Partners, LLC exited Vertiv Holdings Co (was $9,559,093, 63,364 shares)
Jackson Square Partners, LLC exited Visa Inc (was $5,177,710, 15,167 shares)
Jackson Square Partners, LLC exited Waste Management Inc (was $4,460,766, 20,200 shares)
Jackson Square Partners, LLC exited Workday Inc (was $3,937,139, 16,355 shares)
Jackson Square Partners, LLC exited Advanced Micro Devices Inc (was $3,713,242, 22,951 shares)
Jackson Square Partners, LLC exited Aaon Inc (was $12,496,105, 133,734 shares)