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Index Venture Life Associates VI 13F Portfolio

Portfolio Manager
Index Venture Life Associates VI LTD
Performance
+58.82% (2026 Q1)
AUM (13F)
$395.68M
# of Holdings
1
Performance Rank
Allocation (Top 20)
100%
Latest filing
Q1 2026

Index Venture Life Associates Vi Ltd Holdings Map

Top 1 Index Venture Life Associates Vi Ltd Holdings

Top 10 holdings

StockCompany% Port.SharesValueActivityOwnershipAvg. CostDate
CNTA
CENTESSA PHARMACEUTICALS PLC
100%9.96M$395.7M
+0.00%(+0)
2025-Q1: 9.96M shares2025-Q2: 9.96M shares2025-Q3: 9.96M shares2025-Q4: 9.96M shares2026-Q1: 9.96M shares
$16.37(+141.84%)
2026-03-31

About Index Venture Life Associates Vi Ltd’s portfolio

Index Venture Life Associates Vi Ltd reports $395.68M in US-listed equity holdings across 1 position in its most recent 13F filing. Its largest disclosed position is CNTA (100.0%). The top 20 holdings account for 100% of reported assets. Its disclosed equity book has returned -15.38% cumulatively over 9 quarters. Figures reflect the Q1 2026 filing.

Portfolio concentration

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Source filings

Holdings on this page are parsed from Index Venture Life Associates Vi Ltd’s Form 13F filings with the U.S. Securities and Exchange Commission (CIK 1865139). View Index Venture Life Associates Vi Ltd’s 13F filings on SEC

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