Fund HoldingsTOWERVIEW LLC

Total Portfolio Value
$154.82M
Total Bought
$1.81M
Total Sold
$3.71M
Net Transaction
-$1.90M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
TEJON RANCH CO3,845,5003,845,500060,64472,44946.80%+11,806
STEALTHGAS INC3,067,5002,690,958-376,54221,53424,70315.96%+3,169
ALBERTSONS COS INC COM630,000700,000+70,00010,81711,9287.70%+1,111
SIRIUS XM HOLDINGS INC COM(SIRI)335,300335,30006,7047,7395.00%+1,034
LANDS END INC COM431,000592,701+161,7016,2586,6624.30%+404
SERITAGE GROWTH PPTYS CL A800,0001,030,000+230,0002,6002,8941.87%+294
SAGA COMMUNICATIONS INC1,161,1441,161,144013,29513,5858.77%+291
IMPERIAL PETE INC COM NEW
COM NEW
200,000190,000-10,0007248130.53%+89
ALUMIS INC COM495,000222,294-272,7064,8314,8973.16%+66
WENDYS COMPANY COM(WEN)14,50014,50001211010.07%-20
ALBERTSONS COS INC COM(Call)250,000150,000-100,000185141-44
CASTOR MARITIME INC COM240,000240,00004974440.29%-53
CORVUS PHARMACEUTICALS INC COM(CRVS)140,00070,000-70,0001,0781,0240.66%-54
OMNIAB INC COM1,000,0001,000,00001,8501,5701.01%-280
ALICO INC104,25185,000-19,2513,7933,5072.27%-286
GYRODYNE LLC338,107338,10703,0462,5051.62%-541
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