Connective Portfolio Management, LLC

Holdings as of 2026-06-30, filed 2026-07-07

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 7 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
39
Value reported by manager
$60.1M
Sum of our stored positions
$60.1M
should match the line above
Disclosure lag
7 d
quarter end to filing
Top 5 concentration
29.0%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

39 largest shown
IssuerClassValueSharesTypeCUSIP
ROCKET LAB CORPCOM$3.7M35,965773121108
CITIGROUP INCCOM NEW$3.6M26,000172967424
JPMORGAN CHASE & COCOM$3.6M10,98046625H100
ISHARES GOLD TRISHARES NEW$3.6M47,029464285204
PETROLEO BRASILEIRO S ASPONSORED ADR$3M185,20071654V408
SPROTT ASSET MANAGEMENT LPPHYSICAL GOLD TR$2.6M85,00085207H104
ISHARES TRMSCI INDIA ETF$2.5M50,00046429B598
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADS$2.4M5,100874039100
NVIDIA CORPORATIONCOM$2.3M11,47567066G104
SPDR GOLD TRGOLD SHS$2.2M5,91578463V107
SPACE EXPLORATION TECHN CORPCLASS A COM STK$1.9M11,00084615Q103
MICROSOFT CORPCOM$1.9M5,024594918104
NOKIA CORPSPONSORED ADR$1.8M133,700654902204
BROADCOM INCCOM$1.6M4,29511135F101
AMERICAN EXPRESS COCOM$1.4M4,000025816109
CHEVRON CORPORATIONCOM$1.3M7,699166764100
SILICON MOTION TECHNOLOGY COSPONSORED ADR$1.3M3,76682706C108
MARVELL TECHNOLOGY INCCOM$1.2M4,000573874104
HILTON WORLDWIDE HLDGS INCCOM$1.2M3,50043300A203
SELECT SECTOR SPDR TRST STR CARE ETF$1.1M7,00081369Y209
SOFI TECHNOLOGIES INCCOM$1.1M60,00083406F102
MICRON TECHNOLOGY INCCOM$1.1M910595112103
SHELL PLCSPON ADS$1M13,195780259305
APPLE INCCOM$1M3,520037833100
CADENCE DESIGN SYSTEM INCCOM$1M2,700127387108
GOLDMAN SACHS GROUP INCCOM$1M1,00038141G104
ARM HOLDINGS PLCSPONSORED ADS$992.8K2,800042068205
CANADIAN NAT RES LTD MED TERCOM$988.9K25,000136385101
KODIAK GAS SVCS INCCOM$976.7K13,00050012A108
QUANTA SVCS INCCOM$859.7K1,19474762E102
REVOLUTION MEDICINES INCCOM$842.8K4,50076155X100
BAKER HUGHES COMPANYCL A$832.1K15,00005722G100
OKTA INCCL A$818.7K6,000679295105
IONQ INCCOM$798.9K15,00046222L108
WORKDAY INCCL A$734.5K6,00098138H101
MASTERCARD INCORPORATEDCL A$634.3K1,23557636Q104
PAMPA ENERGIA SASPONS ADR LVL I$574.9K7,000697660207
PLANET LABS PBCCOM CL A$497K15,00072703X106
CHIPOTLE MEXICAN GRILL INCCOM$437.8K12,875169656105
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-07

Connective Portfolio Management, LLC — 39 positions reported for 2026Q2 — Tapewire