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Accel Growth Fund V Associates L L C 13F Portfolio

Portfolio Manager
Accel Growth Fund V Associates L L C
Performance
+9.93% (2026 Q2)
AUM (13F)
$89.77M
# of Holdings
2
Performance Rank
Allocation (Top 20)
100%
Latest filing
Q2 2026

Accel Growth Fund V Associates L L C Holdings Map

Top 2 Accel Growth Fund V Associates L L C Holdings

Top 10 holdings

StockCompany% Port.SharesValueActivityOwnershipAvg. CostDate
SOFI
SoFi Technologies, Inc.
81.98%4.10M$73.6M
+0.00%(+0)
2025-Q2: 4.10M shares2025-Q3: 4.10M shares2025-Q4: 4.10M shares2026-Q1: 4.10M shares2026-Q2: 4.10M shares
$17.84(+1.93%)
2026-06-30
BMBL
Bumble Inc.
18.02%5.05M$16.2M
+0.00%(+0)
2025-Q2: 5.05M shares2025-Q3: 5.05M shares2025-Q4: 5.05M shares2026-Q1: 5.05M shares2026-Q2: 5.05M shares
$62.38(-95.58%)
2026-06-30

About Accel Growth Fund V Associates L L C’s portfolio

Accel Growth Fund V Associates L L C reports $89.77M in US-listed equity holdings across 2 positions in its most recent 13F filing. Its largest disclosed positions are SOFI (82.0%) and BMBL (18.0%). The top 20 holdings account for 100% of reported assets. Its disclosed equity book has returned -24.59% on a three-year cumulative basis. Figures reflect the Q2 2026 filing.

Portfolio concentration

Portfolio concentration
SOFI — 82.0% ($73.59M)BMBL — 18.0% ($16.17M)
100%in top 2
  • SOFI82.0%
  • BMBL18.0%

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Source filings

Holdings on this page are parsed from Accel Growth Fund V Associates L L C’s Form 13F filings with the U.S. Securities and Exchange Commission (CIK 1767987). View Accel Growth Fund V Associates L L C’s 13F filings on SEC

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