Fund HoldingsINGALLS & SNYDER LLC

Total Portfolio Value
$3.66M
Total Bought
$867.3K
Total Sold
$310.6K
Net Transaction
+$556.7K
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
CORCEPT THERAPEUTICS INC(CORT)7,608,7167,934,507+325,79130769018.83%+383
OCEANAGOLD CORP(OGC)010,044,277+10,044,27702526.87%+252
FTAI AVIATION LTD(FTAI)0170,003+170,0030461.25%+46
ALPHABET INC(GOOG)0297,979+297,97901062.91%+106
APPLE INC(AAPL)0339,187+339,1870982.68%+98
MARVELL TECHNOLOGY INC(MRVL)65,87158,793-7,0787180.48%+11
APPLIED MATLS INC27,32927,274-559200.54%+10
ALPHABET INC(GOOG)0148,401+148,4010521.43%+52
VANECK ETF TRUST
JUNIOR GOLD MINE
0102,000+102,0000100.27%+10
NETFLIX INC.(NFLX)102,786272,678+169,89210190.53%+10
CAMECO CORP(CCJ)093,030+93,030090.26%+9
APOLLO GLOBAL MGMT INC(APO)061,701+61,701070.20%+7
AMAZON COM INC(AMZN)0218,020+218,0200521.42%+52
GLOBE LIFE INC0157,151+157,1510280.77%+28
HEXCEL CORP NEW(HXL)339,025334,606-4,41927330.91%+6
NVIDIA CORPORATION(NVDA)0228,390+228,3900461.25%+46
JPMORGAN CHASE & CO(JPM)0191,298+191,2980631.71%+63
PALO ALTO NETWORKS INC(PANW)030,468+30,4680100.28%+10
CITIGROUP INC(C)0235,269+235,2690330.90%+33
TAIWAN SEMICONDUCTOR MANUFAC(TSM)37,76337,551-21213180.49%+5
CREDIT ACCEP CORP MICH(CACC)024,614+24,6140160.43%+16
RAYONIER INC(RYN)0220,571+220,571050.13%+5
WORLD ACCEP CORPORATION(WRLD)053,231+53,2310120.33%+12
DEERE & CO(DE)63,59063,296-29436401.10%+4
DUPONT DE NEMOURS INC030,291+30,291040.11%+4
ABBVIE INC(ABBV)0135,858+135,8580340.93%+34
WILLIAMS SONOMA INC(WSM)71,52571,709+18413170.46%+4
SELECT SECTOR SPDR TR
ST STR TECHN ETF
017,674+17,674030.09%+3
NEXTNAV INC(NN)757,284868,674+111,39012150.42%+3
DEVON ENERGY CORP NEW(DVN)40,548130,061+89,513250.15%+3
EXPEDIA GROUP INC(EXPE)0140,462+140,4620360.98%+36
BROADCOM INC(AVGO)046,605+46,6050180.48%+18
PITNEY BOWES INC(PBI)433,626461,897+28,271580.22%+3
ELI LILLY & CO(LLY)011,055+11,0550130.36%+13
CARPENTER TECHNOLOGY CORP(CRS)05,200+5,200030.09%+3
COMCAST CORP NEW(CCZ)0170,855+170,855040.11%+4
UNILEVER PLC(UL)0290,596+290,5960170.48%+17
BERKSHIRE HATHAWAY INC DEL0172,476+172,4760862.36%+86
TECK RESOURCES LTD(TECK)422,461416,059-6,40222250.68%+3
UBS GROUP AG(UBS)0209,623+209,6230100.28%+10
FORTUNE BRANDS INNOVATIONS I(FBIN)0227,039+227,0390120.34%+12
VANGUARD INDEX FDS030,008+30,0080210.56%+21
DELTA AIR LINES INC(DAL)093,166+93,166090.24%+9
CAPRI HOLDINGS LIMITED
SHS
0259,183+259,183050.13%+5
CROWDSTRIKE HLDGS INC(CRWD)06,840+6,840050.14%+5
QNITY ELECTRONICS INC(Q)52,16452,022-142680.23%+2
CIMPRESS PLC(CMPR)84,11983,574-545680.23%+2
HONEYWELL AEROSPACE INC010,516+10,516020.06%+2
ISHARES TR024,055+24,0550180.49%+18
KRAFT HEINZ CO(KHC)0371,519+371,519090.24%+9
CISCO SYS INC(CSCO)068,705+68,705080.22%+8
MICRON TECHNOLOGY INC(MU)03,212+3,212040.10%+4
GE VERNOVA INC(GEV)7,4397,202-237680.23%+2
HEWLETT PACKARD ENTERPRISE C(HPE)099,216+99,216040.12%+4
MONGODB INC(MDB)022,771+22,771080.21%+8
ENERGY TRANSFER L P(ET)0116,873+116,873020.06%+2
MICROSOFT CORP(MSFT)0198,602+198,6020742.02%+74
OCCIDENTAL PETE CORP(OXY)139,363224,553+85,1909110.30%+2
SELECT SECTOR SPDR TR
ST STR FINL ETF
034,461+34,461020.05%+2
CORNING INC(GLW)16,09215,772-320240.11%+2
CANADIAN PACIFIC KANSAS CITY(CP)184,072188,125+4,05314160.44%+2
KENVUE INC(KVUE)755,032772,266+17,23413150.40%+2
WAYFAIR INC(W)098,653+98,653090.25%+9
SPDR INDEX SHS FDS
ST STR NAT ETF
025,385+25,385020.05%+2
AMPHENOL CORP033,662+33,662060.16%+6
DUCOMMUN INC DEL(DCO)26,03426,0340350.13%+2
UBER TECHNOLOGIES INC(UBER)271,336292,545+21,20920210.58%+2
SELECT SECTOR SPDR TR
ST STR CARE ETF
09,879+9,879020.04%+2
HOME DEPOT INC(HD)074,904+74,9040260.72%+26
QUANTA SVCS INC8,9968,964-32560.18%+2
MINDWALK HOLDINGS CORP03,035,479+3,035,479050.13%+5
SELECT SECTOR SPDR TR
ST STR SVC ETF
013,093+13,093010.04%+1
CATERPILLAR INC(CAT)4,1804,069-111340.12%+1
MERCK & CO INC(MRK)206,731203,973-2,75825260.72%+1
WISDOMTREE TR(WT)2,73214,302+11,570020.04%+1
PAYPAL HLDGS INC(PYPL)241,995281,219+39,22411120.33%+1
JFROG LTD(FROG)030,978+30,978030.08%+3
NAVAN INC(NAVN)050,581+50,581010.03%+1
BERKSHIRE HATHAWAY INC DEL013+130100.27%+10
CTO RLTY GROWTH INC NEW(CTO)0454,354+454,3540100.27%+10
LUMENTUM HLDGS INC(LITE)01,247+1,247010.03%+1
SELECT SECTOR SPDR TR
ST STR DISCR ETF
08,996+8,996010.03%+1
QUALCOMM INC(QCOM)019,768+19,768040.10%+4
BANK OF AMER CORP0152,612+152,612090.24%+9
GE AEROSPACE(GE)10,17910,417+238340.11%+1
UNION PAC CORP(UNP)41,24440,484-76010110.30%+1
NORFOLK SOUTHN CORP(NSC)041,839+41,8390130.36%+13
CORCEPT THERAPEUTICS INC(CORT)(Call)012,500+12,50001+1
SHIFT4 PMTS INC(FOUR)121,340128,104+6,764560.17%+1
PARKER-HANNIFIN CORP(PH)10,54010,589+499100.28%+1
TEXAS INSTRS INC(TXN)08,293+8,293020.07%+2
CHUBB LIMITED
COM
70,94170,231-71023240.65%+1
SEAGATE TECHNOLOGY HLDNGS PL
ORD SHS
01,405+1,405010.04%+1
HP INC(HPQ)304,373301,860-2,513670.18%+1
JOHNSON CONTROLS INTERNATION
SHS
057,233+57,233080.23%+8
SELECT SECTOR SPDR TR
ST STR INDL ETF
03,946+3,946010.02%+1
LISTED FDS TR
HORI KI INFL ETF
014,469+14,469010.02%+1
HOWARD HUGHES HOLDINGS INC(HHH)086,806+86,806060.17%+6
VIATRIS INC(VTRS)291,809291,164-645450.13%+1
VISA INC(V)017,545+17,545060.16%+6
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