Fund Holdings — Carlson Capital, L.P.

Total Portfolio Value
$485.23M
Total Bought
$413.62M
Total Sold
$181.62M
Net Transaction
+$232.00M
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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HUNTINGTON BANCSHARES INC(HBAN)284,4822,054,001+1,769,5194,45236,4177.51%+31,965
CAPITAL ONE FINL CORP(COF)0122,855+122,855024,6475.08%+24,647
WELLS FARGO & CO(WFC)45,528330,615+285,0873,62427,3225.63%+23,698
PINNACLE FINL PARTNERS INC(PNFP)60,134259,538+199,4045,18026,1825.40%+21,002
JPMORGAN CHASE & CO(JPM)6,51568,285+61,7701,91622,3524.61%+20,435
PROCTER & GAMBLE CO(PG)12,400144,934+132,5341,79121,2534.38%+19,462
BANK OF AMER CORP48,160316,147+267,9872,34818,0143.71%+15,666
MCDONALDS CORP(MCD)055,976+55,976015,1313.12%+15,131
TRUIST FINL CORP(TFC)44,600330,162+285,5622,05016,4493.39%+14,398
DEVON ENERGY CORP NEW(DVN)0331,738+331,738013,7072.82%+13,707
PHILIP MORRIS INTL INC(PM)069,538+69,538012,5802.59%+12,580
FIRST HORIZON CORPORATION(FHN)57,702516,678+458,9761,31313,2482.73%+11,934
MASTERCARD INCORPORATED(MA)022,575+22,575011,5952.39%+11,595
ANTERO RESOURCES CORP(AR)0311,065+311,065010,9312.25%+10,931
HALLIBURTON CO(HAL)44,229370,090+325,8611,72412,5652.59%+10,840
SOUTHSTATE BK CORP18,098119,913+101,8151,67411,9792.47%+10,305
OLD NATL BANCORP IND(ONB)78,443464,159+385,7161,73412,0222.48%+10,288
EXPAND ENERGY CORPORATION(EXE)23,734138,214+114,4802,60612,6042.60%+9,998
COLUMBIA BKG SYS INC(COLB)66,509347,529+281,0201,82411,1382.30%+9,314
CBRE GROUP INC(CBRE)11,88271,147+59,2651,6109,5831.97%+7,973
MATADOR RES CO(MTDR)33,757190,138+156,3812,1339,4651.95%+7,332
PHILLIPS 66(PSX)11,75755,375+43,6182,1429,3611.93%+7,219
CHEVRON CORPORATION(CVX)12,71358,775+46,0622,6309,7432.01%+7,112
WALMART INC(WMT)059,324+59,32406,7191.38%+6,719
META PLATFORMS INC(META)011,926+11,92606,7181.38%+6,718
FISERV INC(FISV)0134,686+134,68606,6061.36%+6,606
UNITED PARCEL SVCS INC(UPS)20,70679,432+58,7262,0378,5391.76%+6,502
CLOROX CO DEL(CLX)18,05086,855+68,8051,8718,2891.71%+6,419
SYNOPSYS INC(SNPS)014,205+14,20506,3361.31%+6,336
CALIFORNIA RES CORP(CRC)0112,748+112,74805,9611.23%+5,961
BURLINGTON STORES INC(BURL)017,199+17,19905,4491.12%+5,449
NORFOLK SOUTHN CORP(NSC)8,70023,958+15,2582,4977,5371.55%+5,040
MONDELEZ INTL INC(MDLZ)27,600100,948+73,3481,5915,8391.20%+4,248
AUTOZONE INC(AZO)6001,950+1,3502,0276,2321.28%+4,205
SAIA INC(SAIA)07,772+7,77203,2730.67%+3,273
NVIDIA CORPORATION(NVDA)013,198+13,19802,6410.54%+2,641
INTERCONTINENTAL EXCHANGE IN(ICE)12,90036,568+23,6682,0294,5020.93%+2,473
ALBERTSONS COMPANIES INC119,200304,938+185,7382,0314,1260.85%+2,095
APOGEE THERAPEUTICS INC(APGE)014,000+14,00001,8580.38%+1,858
TAYLOR MORRISON HOME CORP019,000+19,00001,3630.28%+1,363
NUVALENT INC010,500+10,50001,2970.27%+1,297
SOMNIGROUP INTERNATIONAL INC(SGI)011,640+11,64009130.19%+913
TXNM ENERGY INC(TXNM)015,000+15,00008520.18%+852
BRIGHTSTAR LOTTERY PLC(BRSL)074,600+74,60008000.16%+800
JANUS HENDERSON GROUP PLC23,00038,000+15,0001,1821,9740.41%+793
NORWEGIAN CRUISE LINE HLDGS
SHS
030,000+30,00006330.13%+633
INTERNATIONAL MONEY EXPRESS(IMXI)65,000111,000+46,0001,0271,6040.33%+577
WILLIS LEASE FIN CORP(WLFC)3,1004,100+1,0005289380.19%+410
ELME COMMUNITIES(ELME)0250,000+250,00003700.08%+370
WARNER BROS DISCOVERY INC(WBD)96,000112,000+16,0002,6362,9860.62%+350
KBR INC(KBR)15,80026,000+10,2005828980.19%+315
BRIGHTHOUSE FINL INC(BHF)22,00025,000+3,0001,3171,5830.33%+265
ECHOSTAR CORP(ECHO)02,500+2,50002540.05%+254
CYTOKINETICS INC(CYTK)9,0009,00005937670.16%+174
PENUMBRA INC(PEN)2,6003,100+5008549790.20%+125
LENSAR INC(LNSR)020,000+20,00001140.02%+114
ALEANNA INC(ANNA)030,000+30,0000870.02%+87
VERDE CLEAN FUELS INC(VGAS)020,000+20,0000200.00%+20
GALLAGHER ARTHUR J & CO(AJG)1,6001,500-1003473440.07%-2
WILLIS TOWERS WATSON PLC LTD(WTW)1,1001,200+1003203140.06%-6
MARSH & MCLENNAN COS INC(MRSH)1,9001,90003303170.07%-13
ROCKET COS INC(RKT)37,50032,000-5,5005345040.10%-30
WEBSTER FINL CORP(WBS)39,00034,756-4,2442,7072,6560.55%-51
AON PLC(AON)1,100900-2003552990.06%-57
ELECTRONIC ARTS INC13,50012,500-1,0002,7522,5630.53%-189
ALLIED GOLD CORP(AAUC)20,00018,000-2,0006194270.09%-191
LIFEWAY FOODS INC(LWAY)10,0000-10,0001930—-193
BELLRING BRANDS INC(BRBR)41,00035,600-5,4006604610.09%-199
LEGGETT & PLATT INC(LEG)53,0000-53,0005240—-524
TIC SOLUTIONS INC(TIC)87,0000-87,0005720—-572
AMICUS THERAPEUTIC
COM
42,0000-42,0006070—-607
TERNS PHARMACEUTICALS INC12,0000-12,0006330—-633
SILICON LABORATORIES INC(SLAB)3,7000-3,7007700—-770
DICKS SPORTING GOODS INC(DKS)5,3330-5,3331,0570—-1,057
OCEANEERING INTL INC(OII)32,8000-32,8001,1630—-1,163
APELLIS PHARMACEUTICALS INC
COM
30,0000-30,0001,2070—-1,207
HOLOGIC INC16,0000-16,0001,2090—-1,209
TRI POINTE HOMES INC
COM
26,0000-26,0001,2150—-1,215
GOLDEN ENTMT INC50,0000-50,0001,3350—-1,334
COSTCO WHOLESALE CORPORATION(COST)1,4050-1,4051,4000—-1,400
MORGAN STANLEY(MS)8,6820-8,6821,4290—-1,429
SIMMONS FIRST NATL CORP(SFNC)78,6240-78,6241,5290—-1,529
CACTUS INC(WHD)34,0180-34,0181,6110—-1,611
NASDAQ INC(NDAQ)19,7000-19,7001,6720—-1,672
FLOOR & DECOR HLDGS INC(FND)36,4780-36,4781,8530—-1,853
STATE STR CORP(STT)15,4130-15,4131,9510—-1,951
OVINTIV INC(OVV)34,3060-34,3062,0360—-2,036
SLB LIMITED(SLB)42,8220-42,8222,2010—-2,201
HOME DEPOT INC(HD)9,4770-9,4773,1170—-3,117
SEALED AIR CORP NEW(SDA)76,0000-76,0003,1960—-3,196
CULLEN FROST BANKERS INC(CFR)28,8180-28,8183,9500—-3,950
SWK HLDGS CORP(SWKHL)8,493,0880-8,493,088144,4670—-144,467
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Carlson Capital, L.P. — 13F Holdings — Q2 2026 | TickerTrail