Hedge Fund - Kingdon Capital

Mark E. Kingdon Bio, Returns, AUM, Net Worth

Established by Mark Kingdon in April 1983, Kingdon Capital Management is a distinguished hedge fund manager headquartered in New York. Catering to high-net-worth individuals and institutional clients, the firm specializes in investing in growth and value stocks across all-cap companies. Additionally, Kingdon engages in currency futures and options, employing long/short equity strategies to optimize returns.

Mark E. Kingdon is a seasoned hedge fund manager and currently serves as the president of Kingdon Capital Management, a prominent US investment management firm overseeing approximately $623 million in assets under management. After graduating from Columbia College in 1971 and Harvard Business School in 1973, Kingdon began his professional journey at AT&T as a pension fund administrator from 1973 to 1975. He then joined Century Capital Associates in 1975, where he spent eight years honing his financial expertise. In 1983, recognizing a lucrative opportunity, Kingdon founded Kingdon Capital Management with an initial capital of $2 million. By 2007, under his leadership, the firm had grown exponentially to become a $5.9 billion hedge fund, earning acclaim on the Financial Times' "100 Hedge Funds to Watch" list. Throughout the period from 1983 to 2000, Kingdon's fund consistently delivered impressive results, boasting a compounded annual return of 22.99%.

Kingdon Capital Management is a hedge fund managing assets for 7 clients with discretionary assets under management (AUM) totaling $823,482,990 as of March 2024, according to their Form ADV. Their most recent 13F filing for Q1 2024 reported $915,769,296 in managed 13F securities, with a top 10 holdings concentration of 25.78%. The largest holding in Kingdon Capital Management's portfolio is The Financial Select Sector SPDR Fund, with 750,000 shares held.

Mark E. Kingdon
Fund Profile
Filing Period:
Fund Name: Kingdon Capital
Manager Mark E. Kingdon
Portfolio Value $901,810,532
Change This QTR +0.97%
Filing Period:
Last update:
No. Security Ticker Shares Value Activity % Port History
1. SPY 150,000 $86,064,000 NEW 9.54%
2. XLB 750,000 $33,990,000 -7% 3.76%
3. INSM 400,000 $29,200,000 -36% 3.23%
4. THC 166,222 $27,626,096 +21% 3.06%
5. VST 200,000 $23,708,000 NEW 2.62%
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