DOSSIER · 13F-HR · Q2 2026

Galileo (PTC) Ltd

$1.1B in tracked AUM across 3 positions as of Q2 2026.

G(
CIK 0001740858 · last filed Jun 30, 2026
Total AUM
$1.1B
as of Q2 2026
Holdings
3
positions
Whale Score
79
79
strong
Activity
no data
changes this Q
AI Analysis · Q2 2026

Portfolio Overview

Galileo (PTC) Ltd presents a highly concentrated and passive investment profile as of the reporting period ended September 30, 2025. The firm manages a total portfolio value of approximately $1.10 billion, distributed across a mere three holdings. This represents a significant reduction in assets under management (AUM), with the portfolio value decreasing by 40.8% from $1.86 billion in the previous quarter (June 30, 2025). The decline in value is attributed entirely to ma...

Key Holdings

The portfolio is dominated by Chime Financial, Inc. (CHYM), which accounts for $1.05 billion, or 95.74%, of the total value. Galileo holds 52.27 million shares, a stake that likely represents a significant strategic or legacy investment, possibly related to pre-IPO ownership or a foundational partnership.

Analysis generated by 13F Insight from SEC Form 13F filing data · Q2 2026. Methodology

Quarter at a glance — Q2 2026

Position-change comparison pending.

No quarter-over-quarter changes available.

Top 10 holdings

By portfolio weight as of Q2 2026.

#HoldingValueSharesWeight
01
CHYM
CHIME FINL INC
$1.1B52.3M96.7%
02
DDL
DINGDONG CAYMAN LTD
$23M11.7M2.0%
03
ROOT
ROOT INC
$14M253K1.3%

Filing history

2026Q2Jun 30
$1.1B 19.3%
3 positionsView →
2025Q4Dec 31
$1.4B 24.7%
4 positionsView →
2025Q3Sep 30
$1.1B 40.8%
3 positionsView →
2025Q2Jun 30
$1.9B 2745.9%
3 positionsLocked
2025Q1Mar 31
$65M 15.1%
2 positionsLocked
2024Q4Dec 31
$57M 93.3%
2 positionsLocked
2024Q3Sep 30
$848M 36.3%
6 positionsLocked
2024Q2Jun 30
$1.3B 21.4%
7 positionsLocked
2024Q1Mar 31
$1.7B 27.2%
7 positionsLocked
2023Q4Dec 31
$2.3B 29.3%
8 positionsLocked
2023Q3Sep 30
$3.3B 22.7%
8 positionsLocked
2023Q2Jun 30
$4.3B 25.9%
7 positionsLocked
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