← Hedge fund tracker

What Eric Bannasch last reported owning

Cadian Capital Management

Latest 13F filed Aug 14, 2026 for the quarter ending Jun 30, 2026 · $1.32B across 28 positions · view on SEC EDGAR

Recent SEC filings · past 3 months

FiledFormSubject / period
Aug 14, 202613F-HRQuarter ending Jun 30, 2026SEC
Aug 14, 2026SCHEDULE 13G/ATactile Systems Technology, Inc.SEC
Aug 14, 2026SCHEDULE 13G/ACryoport, Inc.SEC
Aug 14, 2026SCHEDULE 13GSI-BONE, Inc.SEC
Aug 14, 2026SCHEDULE 13G/AFlywire CorporationSEC

Top holdings

#HoldingValue% of bookShares
1IQVIA HLDGS INC$157.6M11.9%815,752
2GUARDANT HEALTH INC$113.6M8.6%757,393
3FLYWIRE CORPORATION$100.9M7.6%5,744,166
4PLANET FITNESS MASTER ISSUER$83.5M6.3%1,600,340
5SPOTIFY TECHNOLOGY S A$79.9M6.0%174,000
6MONDAY COM LTD$68.3M5.2%944,029
7VARONIS SYS INC$66.5M5.0%1,585,693
8DANAHER CORP DEL$62.1M4.7%326,063
9EVOLENT HEALTH INC$58.6M4.4%10,814,473
10HEALTHEQUITY INC$56.6M4.3%626,700
11INTAPP INC$55.0M4.2%2,180,252
12SI BONE INC$54.6M4.1%3,347,574
13BOSTON SCIENTIFIC CORP$47.2M3.6%1,105,132
14TACTILE SYS TECHNOLOGY INC$47.0M3.6%1,576,940
15CRYOPORT INC$45.9M3.5%2,920,681
16AMAZON COM INC$42.8M3.2%179,700
17PROCORE TECHNOLOGIES INC$34.3M2.6%845,000
18NUTANIX INC$30.6M2.3%599,504
19ALKAMI TECHNOLOGY INC$26.8M2.0%1,476,832
20VERISIGN INC$19.9M1.5%79,000
21TAIWAN SEMICONDUCTOR MANUFAC$17.1M1.3%35,900
22EQUINIX INC$14.2M1.1%13,600
23OMNIAB INC$10.4M0.8%4,211,821
24META PLATFORMS INC$8.2M0.6%14,500
25WORKIVA INC$7.0M0.5%144,200

Showing top 25 of 28 reported positions. Put/Call tags mark options positions.

Latest-quarter moves · from the most recent 13F vs. the prior quarter

New buys (9)
  • SPOTIFY TECHNOLOGY S A$79.9M
  • VARONIS SYS INC$66.5M
  • DANAHER CORP DEL$62.1M
  • AMAZON COM INC$42.8M
  • EQUINIX INC$14.2M
  • META PLATFORMS INC$8.2M
  • WORKIVA INC$7.0M
  • SOTERA HEALTH CO$6.2M
  • MEDLINE INC$3.9M
Added to (12)
  • IQVIA HLDGS INC$157.6M
  • PLANET FITNESS MASTER ISSUER$83.5M
  • MONDAY COM LTD$68.3M
  • INTAPP INC$55.0M
  • SI BONE INC$54.6M
  • BOSTON SCIENTIFIC CORP$47.2M
  • TACTILE SYS TECHNOLOGY INC$47.0M
  • PROCORE TECHNOLOGIES INC$34.3M
  • ALKAMI TECHNOLOGY INC$26.8M
  • VERISIGN INC$19.9M
  • OMNIAB INC$10.4M
  • MAXCYTE INC$2.7M
Trimmed (6)
  • GUARDANT HEALTH INC$113.6M
  • FLYWIRE CORPORATION$100.9M
  • HEALTHEQUITY INC$56.6M
  • CRYOPORT INC$45.9M
  • NUTANIX INC$30.6M
  • TAIWAN SEMICONDUCTOR MANUFAC$17.1M
Exited (4)
  • DRAFTKINGS INC NEW$79.2M
  • PALO ALTO NETWORKS INC$44.0M
  • GLOBAL E ONLINE LTD$6.8M
  • PEGASYSTEMS INC$5.1M

Data from SEC EDGAR filings. 13Fs are quarterly and lag by up to 45 days, cover only US-listed long positions and certain options, and exclude shorts and non-US holdings. Not investment advice.