// SECTOR INVESTOR DOSSIER
Investors in Fitness
28 investors with active positions in Fitness unicorns — combined exposure across this sector $67B in paper valuation.
Note: combined paper valuation reflects overlapping investor positions — individual investors hold stakes in the same companies.
Goldman Sachs
INVESTMENT BANK2 companies in sector · $3.8B
↑ 31% PORTFOLIO STRENGTH↓ 44% PORTFOLIO RISKSoftBank Vision Fund 2
VC FUND1 company in sector · $3.6B
↑ 3% PORTFOLIO STRENGTH↓ 14% PORTFOLIO RISKIVP
VC FUND1 company in sector · $3.6B
↑ 8% PORTFOLIO STRENGTH↓ 21% PORTFOLIO RISKCrosslink Capital
VC FUND1 company in sector · $3.6B
↑ 0% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKFoundry Group
VC FUND1 company in sector · $3.6B
↑ 0% PORTFOLIO STRENGTH↓ 40% PORTFOLIO RISKCollaborative Fund
VC FUND1 company in sector · $3.6B
↑ 0% PORTFOLIO STRENGTH↓ 0% PORTFOLIO RISKAccomplice
VC FUND1 company in sector · $3.6B
↑ 14.3% PORTFOLIO STRENGTH↓ 14.3% PORTFOLIO RISKPromus Ventures
VC FUND1 company in sector · $3.6B
Two Sigma Ventures
VC FUND1 company in sector · $3.6B
↑ 0% PORTFOLIO STRENGTH↓ 0% PORTFOLIO RISKTencent
CORPORATE1 company in sector · $2B
↑ 19% PORTFOLIO STRENGTH↓ 43% PORTFOLIO RISKSoftBank Vision Fund
VC FUND1 company in sector · $2B
↑ 5% PORTFOLIO STRENGTH↓ 53% PORTFOLIO RISKCoatue Management
VC FUND1 company in sector · $2B
↑ 8% PORTFOLIO STRENGTH↓ 22% PORTFOLIO RISKMorningside Venture Capital
VC FUND1 company in sector · $2B
↑ 12.5% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKGGV Capital
VC FUND1 company in sector · $2B
↑ 9% PORTFOLIO STRENGTH↓ 35% PORTFOLIO RISKBAI Capital
VC FUND1 company in sector · $2B
CITIC Private Equity
VC FUND1 company in sector · $2B
Tiger Global Management
VC FUND1 company in sector · $1.8B
↑ 16% PORTFOLIO STRENGTH↓ 26% PORTFOLIO RISKJPMorgan Chase
INVESTMENT BANK1 company in sector · $1.8B
↑ 23% PORTFOLIO STRENGTH↓ 49% PORTFOLIO RISKBarclays
INVESTMENT BANK1 company in sector · $1.8B
↑ 18.8% PORTFOLIO STRENGTH↓ 68.8% PORTFOLIO RISKAllen & Company
VC FUND1 company in sector · $1.8B
↑ 68% PORTFOLIO STRENGTH↓ 27% PORTFOLIO RISKFidelity Investments
VC FUND1 company in sector · $1.8B
↑ 37% PORTFOLIO STRENGTH↓ 59% PORTFOLIO RISKWellington Management
VC FUND1 company in sector · $1.8B
↑ 29.4% PORTFOLIO STRENGTH↓ 47.1% PORTFOLIO RISKKleiner Perkins
VC FUND1 company in sector · $1.8B
↑ 14% PORTFOLIO STRENGTH↓ 40% PORTFOLIO RISKTCV
VC FUND1 company in sector · $1.8B
↑ 29% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKTrue Ventures
VC FUND1 company in sector · $1.8B
↑ 33.3% PORTFOLIO STRENGTH↓ 66.7% PORTFOLIO RISKFelix Capital
VC FUND1 company in sector · $1.8B
↑ 0% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKNBCUniversal
VC FUND1 company in sector · $1.8B
↑ 0% PORTFOLIO STRENGTH↓ 66.7% PORTFOLIO RISKGeneral Atlantic
VC FUND1 company in sector · $1B
↑ 22% PORTFOLIO STRENGTH↓ 22% PORTFOLIO RISK