Fund HoldingsROBOTTI ROBERT

Total Portfolio Value
$619.51M
Total Bought
$41.72M
Total Sold
$71.64M
Net Transaction
-$29.92M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ASBURY AUTOMOTIVE GROUP36,50887,215+50,7077,13417,5372.83%+10,403
RYERSON HLDG CORP(RYZ)192,300369,849+177,5494,3239,1021.47%+4,779
INSTEEL INDUSTRIES INC297,810477,530+179,72010,00914,4212.33%+4,412
CAVCO INDS INC DEL(CVCO)32,38832,396+815,68519,9033.21%+4,218
FIVE POINT HOLDINGS LLC6,964,3206,964,320033,70736,7025.92%+2,995
JEFFERIES FINL GROUP INC(JEF)327,969328,279+31013,53516,4072.65%+2,872
BUILDERS FIRSTSOURCE INC(BLDR)523,597510,158-13,43943,10845,6497.37%+2,541
ARCELORMITTAL SA LUXEMBOURG(MT)236,570236,658+8812,29714,2522.30%+1,955
ACADEMY SPORTS & OUTDOORS IN(ASO)53,430103,860+50,4303,0164,8950.79%+1,879
WESTERN DIGITAL CORP(WDC)46,54421,771-24,77312,59013,9062.24%+1,316
CHAMPION HOMES INC(SKY)90,34690,596+2506,7197,9831.29%+1,264
CIVEO CORP CDA030,000+30,00001,0500.17%+1,050
SANDISK CORP(SNDK)9,2563,039-6,2175,8816,9101.12%+1,029
AERCAP HOLDINGS NV(AER)106,494106,516+2214,60915,5282.51%+919
TRAVEL PLUS LEISURE CO(TNL)121,689122,039+3508,4209,3271.51%+908
CANADIAN SOLAR INC(CSIQ)398,070400,100+2,0305,5136,4101.03%+896
GEOSPACE TECHNOLOGIES CORP0128,436+128,43608700.14%+870
PREFORMED LINE PRODS CO(PLPC)5,9355,93501,6072,4370.39%+830
TECK RESOURCES INC(TECK)100,000100,00005,1755,9460.96%+771
RADNET INC(RDNT)120,492120,972+4806,7347,4601.20%+726
WEST FRASER TIMBER CO LTD(WFG)295,880296,043+16319,31920,0213.23%+703
LINCOLN ELEC HLDGS INC(LECO)33,40833,514+1068,3218,8981.44%+577
MILLROSE PPTYS INC(MRP)249,435250,325+8906,9847,5221.21%+538
LOUISIANA PAC CORP(LPX)79,16179,351+1905,7596,2421.01%+483
U HAUL HOLDING COMPANY47,00043,000-4,0002,0992,4810.40%+382
SEA LTD(SE)25,00025,00002,0702,3960.39%+326
MORGAN STANLEY(MS)6,5006,50001,0701,3590.22%+289
WESTLAKE CHEM CORP(WLK)145,004235,379+90,37516,93917,1832.77%+243
CATERPILLAR INC(CAT)0200+20002130.03%+213
MADISON SQUARE GARDEN SPORT CORP(MSGS)0500+50002010.03%+201
AMRIZE LTD(AMRZ)15,00019,500+4,5008401,0390.17%+199
HILTON GRAND VACATIONS INC(HGV)15,01015,01005877860.13%+199
HUDBAY MINERALS INC(HBM)55,00055,00001,1501,2990.21%+149
ADVANCED ENERGY INDS2,7252,72508781,0160.16%+138
CUMMINS INC(CMI)55055002963920.06%+96
LIFEZONE METALS LIMITED
ORD SHS
100,000100,00003363880.06%+52
ORLA MNG LTD NEW(ORLA)15,00030,000+15,0002422940.05%+52
SENECA FOODS CORP(SENEA)1,9821,98203003450.06%+45
INTERNATIONAL SEAWAYS INC(INSW)10,00010,00007297660.12%+37
CENTRAL SECURITIES CORP(CET)4,3764,37602172300.04%+12
MILLROSE PPTYS INC1,5001,500042450.01%+3
STRATUS PPTYS INC8,1008,10002472330.04%-14
SCHLUMBERGER LIMITED(SLB)8,0008,00004113720.06%-39
SEACOR MARINE HOLDINGS INC767,946713,219-54,7275,4985,4560.88%-42
AGNICO EAGLE MINES LTD(AEM)3,8134,500+6877746980.11%-76
ALAMOS GOLD INCORPORATED21,50028,500+7,0009558650.14%-91
VALARIS LIMITED(VAL)4,2444,24404163080.05%-108
RANGER ENERGY SVCS INC100,000100,00001,7141,6010.26%-113
SPOTIFY TECHNOLOGY S A(SPOT)7,5007,50003,6373,4430.56%-193
DORCHESTER MINERALS(DMLP)7,5250-7,5252040-204
PETROLEO BRASILEIRO SA PETRO(PBR)50,00050,00001,0388080.13%-229
ALLISON TRANSMISSION HLDGS INC(ALSN)58,38458,544+1606,8346,6001.07%-234
CACI INTL INC(CACI)3,6003,60001,9581,6680.27%-290
NAVIGATOR HOLDINGS PLC(NVGS)535,531535,531010,3529,9771.61%-375
CGI INC(GIB)13,0000-13,0009500-950
SEADRILL 2021 LTD(SDRL)131,860133,210+1,3506,0005,0380.81%-962
DANA HOLDING CORP(DAN)151,158151,15805,0864,1130.66%-973
AMREP CORP NEW521,765521,765014,67713,1592.12%-1,518
NOBLE CORP NEW(NE)145,268145,26807,1285,4180.87%-1,710
LEGACY HOUSING CORP181,36732,779-148,5883,7058610.14%-2,844
CANADIAN NAT RES LTD(CNQ)324,066316,591-7,47515,80012,5152.02%-3,285
LSB INDS INC2,120,0992,119,699-40031,58922,9143.70%-8,676
TIDEWATER INC(TDW)2,920,6892,906,380-14,309244,024193,65231.26%-50,371
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