PCDPrivate Comps Data

Company record · updated August 5, 2026

Databricks, Inc: 131 valuation observations from SEC filings

Every row below names the filing it came from. Coverage for this company runs December 31, 2023 to May 31, 2026.

131observations
90source filings
131verified rows
2026-05-31most recent as-of date

Source rails for this company: N-PORT fund mark (131).

Reported by 25 filers: ALGER CAPITAL APPRECIATION FUND, ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND, ALGER FOCUS EQUITY FUND, ALGER MID CAP FOCUS FUND, ALGER RESPONSIBLE INVESTING FUND, ALGER SPECTRA FUND, Alger AI Enablers & Adopters ETF, Alger AI Enablers & Adopters Fund and 17 more.

As ofMeasureValueReported byTier What the filing saysAccession
2026-05-31 price per share 209.28 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 6672683.52 / balance 31884.0 [unspecified] 000094040026028181
2026-05-31 price per share 209.28 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 2254364.16 / balance 10772.0 [series j] 000094040026028181
2026-04-30 price per share 191.0354 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 43523408.93 / balance 227829.0 [series g] 000207169126014400
2026-04-30 price per share 171.93 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 9334939.35 / balance 54295.0 [series j] 000094040026025786
2026-04-30 price per share 171.93 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 2804178.3 / balance 16310.0 [series k] 000094040026025786
2026-04-30 price per share 171.93 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 873404.4 / balance 5080.0 [series l] 000094040026025786
2026-04-30 price per share 171.93 USD ALGER RESPONSIBLE INVESTING FUND VERIFIED valUSD 449081.16 / balance 2612.0 [series k] 000094040026025793
2026-04-30 price per share 171.93 USD ALGER RESPONSIBLE INVESTING FUND VERIFIED valUSD 192217.74 / balance 1118.0 [series l] 000094040026025793
2026-04-30 price per share 171.93 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 94921693.35 / balance 552095.0 [series j] 000094040026025780
2026-04-30 price per share 171.93 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 1720159.65 / balance 10005.0 [series k] 000094040026025780
2026-04-30 price per share 171.93 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 1686461.37 / balance 9809.0 [series l] 000094040026025780
2026-04-30 price per share 171.93 USD Alger AI Enablers & Adopters Fund VERIFIED valUSD 262880.97 / balance 1529.0 [series j] 000094040026025787
2026-04-30 price per share 171.93 USD Alger AI Enablers & Adopters Fund VERIFIED valUSD 282480.99 / balance 1643.0 [series k] 000094040026025787
2026-04-30 price per share 171.93 USD ALGER CAPITAL APPRECIATION FUND VERIFIED valUSD 37400448.69 / balance 217533.0 [series j] 000094040026025773
2026-04-30 price per share 171.93 USD ALGER CAPITAL APPRECIATION FUND VERIFIED valUSD 2621072.85 / balance 15245.0 [series l] 000094040026025773
2026-04-30 price per share 171.93 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 41188754.31 / balance 239567.0 [series j] 000094040026025778
2026-04-30 price per share 171.93 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 764572.71 / balance 4447.0 [series k] 000094040026025778
2026-04-30 price per share 171.93 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 7163463.45 / balance 41665.0 [series l] 000094040026025778
2026-04-30 price per share 171.76 USD NYLI Winslow Large Cap Growth Fund VERIFIED valUSD 37360719.92 / balance 217517.0 [series l] 000207169126014928
2026-04-30 price per share 191.0354 USD Franklin Growth Opportunities Fund VERIFIED valUSD 64623462.22 / balance 338280.0 [series g] 000207169126014424
2026-03-31 price per share 171.93 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 1363576.83 / balance 7931.0 [series l] 000094040026021785
2026-03-31 price per share 171.93 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 885783.36 / balance 5152.0 [series j] 000094040026021785
2026-03-31 price per share 171.93 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 5416826.58 / balance 31506.0 [series k] 000094040026021785
2026-03-31 price per share 190 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 4916820.0 / balance 25878.0 [series g] 000207169126012231
2026-03-31 price per share 140.69 USD Technology Growth Portfolio VERIFIED valUSD 1122987.58 / balance 7982.0 [series j] 000094040026021263
2026-03-31 price per share 140.69 USD Technology Growth Portfolio VERIFIED valUSD 1266632.07 / balance 9003.0 [unspecified] 000094040026021263
2026-03-31 price per share 171.93 USD Alger Capital Appreciation Portfolio VERIFIED valUSD 11691755.79 / balance 68003.0 [series j] 000094040026021811
2026-03-31 price per share 171.93 USD Alger Capital Appreciation Portfolio VERIFIED valUSD 353660.01 / balance 2057.0 [series l] 000094040026021811
2026-03-31 price per share 166.61 USD NYLIM VP Winslow Large Cap Growth Portfolio VERIFIED valUSD 5268374.81 / balance 31621.0 [series l] 000207169126011391
2026-03-31 price per share 171.03 USD BlackRock Science & Technology Term Trust VERIFIED valUSD 58775998.77 / balance 343659.0 [unspecified] 000141036826054509
2026-03-31 price per share 171.03 USD BlackRock Science & Technology Trust VERIFIED valUSD 10261286.91 / balance 59997.0 [unspecified] 000141036826054494
2026-03-31 price per share 190 USD LVIP T. Rowe Price Structured Mid-Cap Growth Fund VERIFIED valUSD 5535840.0 / balance 29136.0 [pp] 000141036826047001
2026-02-27 price per share 178.72 USD BlackRock Technology Opportunities Fund VERIFIED valUSD 57187361.76 / balance 319983.0 [unspecified] 000094040026014713
2026-02-27 price per share 178.72 USD BlackRock Technology Opportunities Fund VERIFIED valUSD 37785876.0 / balance 211425.0 [unspecified] 000094040026014713
2026-02-27 price per share 178.72 USD BlackRock Technology Opportunities Fund VERIFIED valUSD 46190184.0 / balance 258450.0 [unspecified] 000094040026014713
2026-01-31 price per share 190.1 USD NYLI Winslow Large Cap Growth Fund VERIFIED valUSD 41349981.7 / balance 217517.0 [series l] 000207169126006907
2026-01-31 price per share 190 USD Alger AI Enablers & Adopters Fund VERIFIED valUSD 290510.0 / balance 1529.0 [series j] 000094040026011717
2026-01-31 price per share 190 USD Alger AI Enablers & Adopters Fund VERIFIED valUSD 312170.0 / balance 1643.0 [series k] 000094040026011717
2026-01-31 price per share 190 USD Franklin Growth Opportunities Fund VERIFIED valUSD 64273200.0 / balance 338280.0 [series g] 000207169126007553
2026-01-31 price per share 190 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 43287510.0 / balance 227829.0 [series g] 000207169126007589
2026-01-30 price per share 190 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 104898050.0 / balance 552095.0 [series j] 000094040026011729
2026-01-30 price per share 190 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 1900950.0 / balance 10005.0 [series k] 000094040026011729
2026-01-30 price per share 190 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 1863710.0 / balance 9809.0 [series l] 000094040026011729
2026-01-30 price per share 190 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 10316050.0 / balance 54295.0 [series j] 000094040026011726
2026-01-30 price per share 190 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 3098900.0 / balance 16310.0 [series k] 000094040026011726
2026-01-30 price per share 190 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 965200.0 / balance 5080.0 [series l] 000094040026011726
2026-01-30 price per share 190 USD ALGER RESPONSIBLE INVESTING FUND VERIFIED valUSD 496280.0 / balance 2612.0 [series k] 000094040026011708
2026-01-30 price per share 190 USD ALGER RESPONSIBLE INVESTING FUND VERIFIED valUSD 212420.0 / balance 1118.0 [series l] 000094040026011708
2026-01-30 price per share 190 USD ALGER CAPITAL APPRECIATION FUND VERIFIED valUSD 41331270.0 / balance 217533.0 [series j] 000094040026011714
2026-01-30 price per share 190 USD ALGER CAPITAL APPRECIATION FUND VERIFIED valUSD 2896550.0 / balance 15245.0 [series l] 000094040026011714
2026-01-30 price per share 190 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 45517730.0 / balance 239567.0 [series j] 000094040026011722
2026-01-30 price per share 190 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 844930.0 / balance 4447.0 [series k] 000094040026011722
2026-01-30 price per share 190 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 7916350.0 / balance 41665.0 [series l] 000094040026011722
2026-01-30 price per share 190 USD ALGER SPECTRA FUND VERIFIED valUSD 61838540.0 / balance 325466.0 [series j] 000094040026011713
2025-12-31 price per share 190 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 4916820.0 / balance 25878.0 [series g] 000207169126003946
2025-12-31 price per share 190 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 978880.0 / balance 5152.0 [series j] 000094040026008556
2025-12-31 price per share 190 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 5986140.0 / balance 31506.0 [series k] 000094040026008556
2025-12-31 price per share 190 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 1506890.0 / balance 7931.0 [series l] 000094040026008556
2025-12-31 price per share 191.44 USD Technology Growth Portfolio VERIFIED valUSD 1723534.32 / balance 9003.0 [unspecified] 000094040026007313
2025-12-31 price per share 191.44 USD Technology Growth Portfolio VERIFIED valUSD 1528074.08 / balance 7982.0 [series j] 000094040026007313
2025-12-31 price per share 190 USD Alger Capital Appreciation Portfolio VERIFIED valUSD 12920570.0 / balance 68003.0 [series j] 000094040026008560
2025-12-31 price per share 190 USD Alger Capital Appreciation Portfolio VERIFIED valUSD 390830.0 / balance 2057.0 [series l] 000094040026008560
2025-12-31 price per share 190 USD BlackRock Science and Technology Term Trust VERIFIED valUSD 65295210.0 / balance 343659.0 [unspecified] 000141036826016998
2025-12-31 price per share 190 USD BlackRock Science & Technology Trust VERIFIED valUSD 11399430.0 / balance 59997.0 [unspecified] 000141036826016947
2025-11-30 price per share 187.5 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 5978250.0 / balance 31884.0 [unspecified] 000094040026002273
2025-11-30 price per share 187.5 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 2019750.0 / balance 10772.0 [series j] 000094040026002273
2025-11-28 price per share 178.3 USD BlackRock Technology Opportunities Fund VERIFIED valUSD 57052968.9 / balance 319983.0 [unspecified] 000094040026002211
2025-11-28 price per share 178.3 USD BlackRock Technology Opportunities Fund VERIFIED valUSD 37697077.5 / balance 211425.0 [unspecified] 000094040026002211
2025-11-28 price per share 178.3 USD BlackRock Technology Opportunities Fund VERIFIED valUSD 46081635.0 / balance 258450.0 [unspecified] 000094040026002211
2025-10-31 price per share 150 USD Franklin Growth Opportunities Fund VERIFIED valUSD 50742000.0 / balance 338280.0 [series g] 000207169125009354
2025-10-31 price per share 150 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 35935050.0 / balance 239567.0 [series j] 000094040025014925
2025-10-31 price per share 150 USD ALGER CAPITAL APPRECIATION INSTITUTIONAL FUND VERIFIED valUSD 667050.0 / balance 4447.0 [series k] 000094040025014925
2025-10-31 price per share 150 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 82814250.0 / balance 552095.0 [series j] 000094040025014922
2025-10-31 price per share 150 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 1500750.0 / balance 10005.0 [series k] 000094040025014922
2025-10-31 price per share 150 USD ALGER RESPONSIBLE INVESTING FUND VERIFIED valUSD 391800.0 / balance 2612.0 [series k] 000094040025014934
2025-10-31 price per share 150 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 8144250.0 / balance 54295.0 [series j] 000094040025014923
2025-10-31 price per share 150 USD ALGER MID CAP FOCUS FUND VERIFIED valUSD 2446500.0 / balance 16310.0 [series k] 000094040025014923
2025-10-31 price per share 150 USD Alger AI Enablers & Adopters Fund VERIFIED valUSD 229350.0 / balance 1529.0 [series j] 000094040025014932
2025-10-31 price per share 150 USD Alger AI Enablers & Adopters Fund VERIFIED valUSD 246450.0 / balance 1643.0 [series k] 000094040025014932
2025-10-31 price per share 150 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 34174350.0 / balance 227829.0 [series g] 000207169125009310
2025-09-30 price per share 155.2 USD Technology Growth Portfolio VERIFIED valUSD 1397265.6 / balance 9003.0 [unspecified] 000094040025011097
2025-09-30 price per share 155.2 USD Technology Growth Portfolio VERIFIED valUSD 1238806.4 / balance 7982.0 [series j] 000094040025011097
2025-09-30 price per share 150 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 3881700.0 / balance 25878.0 [series g] 000207169125006511
2025-09-30 price per share 150 USD LVIP T. Rowe Price Structured Mid-Cap Growth Fund VERIFIED valUSD 4370400.0 / balance 29136.0 [pp] 000141036825027755
2025-09-30 price per share 150 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 772800.0 / balance 5152.0 [series j] 000094040025010484
2025-09-30 price per share 150 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 4725900.0 / balance 31506.0 [series k] 000094040025010484
2025-09-30 price per share 150 USD BlackRock Science and Technology Term Trust VERIFIED valUSD 51548850.0 / balance 343659.0 [unspecified] 000141036825032199
2025-09-30 price per share 150 USD BlackRock Science & Technology Trust VERIFIED valUSD 8999550.0 / balance 59997.0 [unspecified] 000141036825032213
2025-08-31 price per share 150 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 4782600.0 / balance 31884.0 [unspecified] 000094040025004992
2025-08-31 price per share 150 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 1615800.0 / balance 10772.0 [series j] 000094040025004992
2025-07-31 price per share 92.5 USD T. Rowe Price Global Stock Fund VERIFIED valUSD 28482045.0 / balance 307914.0 [pp] 000109926325000465
2025-07-31 price per share 126.17 USD ALGER FOCUS EQUITY FUND VERIFIED valUSD 69657826.15 / balance 552095.0 [series j] 000094040025002799
2025-07-31 price per share 105.803 USD Franklin Growth Opportunities Fund VERIFIED valUSD 35791033.43 / balance 338280.0 [series g] 000207169125001617
2025-07-31 price per share 105.803 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 24104988.04 / balance 227829.0 [series g] 000207169125001634
2025-06-30 price per share 92.5 USD T. Rowe Price Global Technology Fund, Inc. VERIFIED valUSD 31682360.0 / balance 342512.0 [pp] 000111662625000032
2025-06-30 price per share 104.1002 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 2693904.92 / balance 25878.0 [series g] 000175272425203506
2025-06-30 price per share 88.4 USD Technology Growth Portfolio VERIFIED valUSD 795865.2 / balance 9003.0 [unspecified] 000175272425205922
2025-06-30 price per share 88.4 USD Technology Growth Portfolio VERIFIED valUSD 705608.8 / balance 7982.0 [series j] 000175272425205922
2025-06-30 price per share 119.19 USD Alger AI Enablers & Adopters ETF VERIFIED valUSD 614066.88 / balance 5152.0 [series j] 000175272425210706
2025-06-30 price per share 108.18 USD BlackRock Science & Technology Trust VERIFIED valUSD 6490475.46 / balance 59997.0 [unspecified] 000175272425204407
2025-05-31 price per share 83.54 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 2663589.36 / balance 31884.0 [unspecified] 000175272425182037
2025-05-31 price per share 83.54 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 899892.88 / balance 10772.0 [series j] 000175272425182037
2025-04-30 price per share 91.7526 USD Franklin Growth Opportunities Fund VERIFIED valUSD 31038069.19 / balance 338280.0 [series g] 000175272425153735
2025-04-30 price per share 91.7526 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 20903902.88 / balance 227829.0 [series g] 000175272425153728
2025-03-31 price per share 92.5 USD BlackRock Science & Technology Trust VERIFIED valUSD 5549722.5 / balance 59997.0 [unspecified] 000175272425125599
2025-03-31 price per share 92.5 USD LVIP T. Rowe Price Structured Mid-Cap Growth Fund VERIFIED valUSD 2695080.0 / balance 29136.0 [pp] 000175272425107093
2025-03-31 price per share 92.5 USD T. Rowe Price Global Technology Fund, Inc. VERIFIED valUSD 31682360.0 / balance 342512.0 [pp] 000111662625000019
2025-03-31 price per share 89.5167 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 2316514.35 / balance 25878.0 [series g] 000175272425124605
2025-03-31 price per share 92.5 USD LVIP Blended Mid Cap Managed Volatility Fund VERIFIED valUSD 945165.0 / balance 10218.0 [pp] 000175272425107131
2025-02-28 price per share 86.66 USD BNY Mellon Technology Growth Fund VERIFIED valUSD 2763067.44 / balance 31884.0 [unspecified] 000175272425087227
2025-01-31 price per share 92.5 USD T. Rowe Price Global Stock Fund VERIFIED valUSD 28482045.0 / balance 307914.0 [pp] 000031321225000283
2025-01-31 price per share 92.5 USD Franklin Growth Opportunities Fund VERIFIED valUSD 31290900.0 / balance 338280.0 [series g] 000175272425071077
2025-01-31 price per share 92.5 USD Alger AI Enablers & Adopters Fund VERIFIED valUSD 141432.5 / balance 1529.0 [series j] 000175272425069234
2025-01-31 price per share 92.5 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 21074182.5 / balance 227829.0 [series g] 000175272425071062
2024-12-31 price per share 88.34 USD Technology Growth Portfolio VERIFIED valUSD 6321257.04 / balance 71556.0 [unspecified] 000175272425039251
2024-12-31 price per share 92.5 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 2393715.0 / balance 25878.0 [series g] 000175272425035297
2024-10-31 price per share 73.5 USD Franklin Growth Opportunities Fund VERIFIED valUSD 24863580.0 / balance 338280.0 [series g] 000175272424289518
2024-10-31 price per share 73.5 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 16745431.5 / balance 227829.0 [series g] 000175272424289517
2024-09-30 price per share 87.37 USD LVIP T. Rowe Price Structured Mid-Cap Growth Fund VERIFIED valUSD 2545612.32 / balance 29136.0 [pp] 000175272424253984
2024-09-30 price per share 87.37 USD VY(R) T. ROWE PRICE DIVERSIFIED MID CAP GROWTH PORTFOLIO VERIFIED valUSD 2967085.2 / balance 33960.0 [pp] 000175272424261253
2024-07-31 price per share 62.3168 USD Franklin Growth Opportunities Fund VERIFIED valUSD 21080533.87 / balance 338280.0 [series g] 000175272424212639
2024-07-31 price per share 62.3168 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 14197578.78 / balance 227829.0 [series g] 000175272424212656
2024-04-30 price per share 75.1933 USD Franklin Growth Opportunities Fund VERIFIED valUSD 25436386.82 / balance 338280.0 [series g] 000175272424143312
2024-04-30 price per share 75.1933 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 17131212.52 / balance 227829.0 [series g] 000175272424143303
2024-03-31 price per share 81.31 USD LVIP T. Rowe Price Structured Mid-Cap Growth Fund VERIFIED valUSD 2369048.16 / balance 29136.0 [pp] 000175272424106063
2024-03-31 price per share 76.0425 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 1967826.88 / balance 25878.0 [series g] 000175272424114656
2024-03-31 price per share 73.5 USD VY(R) T. ROWE PRICE DIVERSIFIED MID CAP GROWTH PORTFOLIO VERIFIED valUSD 2496060.0 / balance 33960.0 [pp] 000175272424116080
2024-01-31 price per share 73.5 USD Franklin Growth Opportunities Fund VERIFIED valUSD 24863580.0 / balance 338280.0 [series g] 000175272424070140
2024-01-31 price per share 73.5 USD Franklin Small-Mid Cap Growth Fund VERIFIED valUSD 16745431.5 / balance 227829.0 [series g] 000175272424070120
2023-12-31 price per share 77.26 USD LVIP T. Rowe Price Structured Mid-Cap Growth Fund VERIFIED valUSD 2251047.36 / balance 29136.0 [pp] 000175272424020619
2023-12-31 price per share 73.5 USD Franklin Small-Mid Cap Growth VIP Fund VERIFIED valUSD 1902033.0 / balance 25878.0 [series g] 000175272424033122

Reading these figures

A fund mark is the filer's own fair-value estimate at a quarter end, not a transaction price, and two filers can reach different values for the same date. A charter round price is the issue price of that series at issuance. Neither is a current market price. The capabilities page states the full limits.