Fund HoldingsLEUTHOLD GROUP, LLC

Total Portfolio Value
$938.75M
Total Bought
$123.53M
Total Sold
$89.18M
Net Transaction
+$34.35M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Direxion Daily S&P500 Bear 1X2,349,0883,081,403+732,31522,79231,1643.32%+8,371
NVIDIA Corp.(NVDA)045,341+45,34107,9070.84%+7,907
Baker Hughes Company Class A(BKR)12,366106,518+94,1525636,5030.69%+5,940
Dell Technologies Inc. Class C(DELL)034,161+34,16105,6070.60%+5,607
Tenaris S.A.(TS)083,994+83,99404,8870.52%+4,887
Lam Research Corp.(LRCX)020,757+20,75704,4350.47%+4,435
Halliburton Co.(HAL)096,735+96,73503,7720.40%+3,772
Delta Air Lines Inc.(DAL)064,885+64,88504,3140.46%+4,314
Broadridge Financial Solutions(BR)022,615+22,61503,6740.39%+3,674
NOV Inc.(NOV)26,851208,123+181,2724203,9150.42%+3,495
Weatherford International plc(WFRD)5,44640,665+35,2194263,8460.41%+3,420
FedEx Corp.(FDX)37,71338,460+74710,89413,6991.46%+2,805
Kensington Credit Opportunitie
KENS CR OPPO ETF
081,551+81,55102,0130.21%+2,013
SLB Limited(SLB)131,906134,524+2,6185,0636,9130.74%+1,851
Oceaneering International, Inc(OII)147,639150,172+2,5333,5485,3270.57%+1,779
Advanced Micro Devices Inc.(AMD)07,836+7,83601,5940.17%+1,594
Plexus Corp.(PLXS)026,422+26,42205,3520.57%+5,352
Universal Technical Institute(UTI)0144,056+144,05605,2000.55%+5,200
International Business Machine(IBM)06,130+6,13001,4860.16%+1,486
Telefonaktiebolaget LM Ericsso(ERIC)794,958811,438+16,4807,6719,1450.97%+1,474
Jabil Inc.(JBL)62,31558,946-3,36914,20915,6581.67%+1,449
Broadcom Inc.(AVGO)04,616+4,61601,4290.15%+1,429
Johnson & Johnson(JNJ)31,96332,730+7676,6158,0010.85%+1,386
Emcor Group Inc(EME)8,8699,166+2975,4266,7670.72%+1,341
Leuthold Select Industries ET
LEUTHOLD SELECT
054,596+54,59602,2080.24%+2,208
United Therapeutics Corp.(UTHR)10,67210,736+645,2006,3660.68%+1,166
Perdoceo Education Corporation(PRDO)0117,983+117,98304,3900.47%+4,390
Primoris Services Corporation(PRIM)050,904+50,90407,2810.78%+7,281
Agnico-Eagle Mines Ltd.(AEM)030,707+30,70706,2330.66%+6,233
Shell PLC Sponsored ADR(SHEL)011,991+11,99101,1150.12%+1,115
VanEck Oil Services ETF
OIL SERVICES ETF
2,3104,294+1,9846581,7360.18%+1,078
Gilead Sciences Inc.(GILD)55,05856,091+1,0336,7587,8170.83%+1,060
Archrock Inc.(AROC)027,109+27,10909430.10%+943
NetScout Systems, Inc.(NTCT)179,984182,878+2,8944,8705,8140.62%+943
F5 Networks Inc.(FFIV)021,459+21,45906,2090.66%+6,209
StoneX Group Inc.(SNEX)30,48747,107+16,6202,9003,7990.40%+899
Merck & Co. Inc.(MRK)49,29650,410+1,1145,1896,0640.65%+875
McKesson Corp.(MCK)16,00816,156+14813,13113,9811.49%+850
Bristol-Myers Squibb Co.(BMY)101,025103,233+2,2085,4496,2610.67%+812
Iamgold Corporation(IAG)0580,474+580,474010,9251.16%+10,925
Rio Tinto PLC ADS(RIO)50,89952,263+1,3644,0734,8760.52%+802
Benchmark Electronics Inc.(BHE)47,62650,065+2,4392,0362,8070.30%+770
GSK plc Sponsored ADR(GSK)100,358102,505+2,1474,9225,6570.60%+736
Devon Energy Corp.(DVN)014,606+14,60607350.08%+735
ProShares Short Russell2000
SHRT RUSSELL2000
817,685868,675+50,99013,38614,0901.50%+704
Flex Ltd.(FLEX)205,534200,422-5,11212,41813,1201.40%+701
Covista Inc.(CVSA)047,562+47,56205,4820.58%+5,482
Amgen Inc.(AMGN)21,40221,598+1967,0057,5990.81%+594
Cardinal Health Inc.(CAH)63,40764,402+99513,03013,6091.45%+579
Kinross Gold Corporation(KGC)0457,878+457,878013,9741.49%+13,974
ProShares Short QQQ
SHORT QQQ
0121,245+121,24503,9030.42%+3,903
Magna International Inc.(MGA)147,172149,263+2,0917,8448,3300.89%+486
Canadian Imperial Bank of Comm(CM)86,43087,677+1,2477,8318,3070.88%+476
Lear Corp.(LEA)47,51348,222+7095,4455,8390.62%+394
Garrett Motion Inc(GTX)333,232341,259+8,0275,8086,2010.66%+392
Energy Select Sector SPDR Fund
ST STR ENERG ETF
06,047+6,04703700.04%+370
Fifth Third Bancorp(FITB)07,958+7,95803700.04%+370
Pearson Plc Sp Adr(PSO)060,124+60,12407890.08%+789
Laureate Education Inc(LAUR)0207,318+207,31807,2230.77%+7,223
Biogen Inc.(BIIB)32,58933,143+5545,7356,0760.65%+341
Marvell Technology Inc.(MRVL)03,435+3,43503400.04%+340
Alcoa Inc.(AA)49,24544,476-4,7692,6172,9500.31%+333
CTS Corp(CTS)045,072+45,07202,1530.23%+2,153
Viavi Solutions Inc.(VIAV)021,371+21,37107110.08%+711
Digi International Inc.(DGII)56,73857,257+5192,4562,7600.29%+304
Exxon Mobil Corp.6,7746,577-1978151,1160.12%+301
Graham Holdings Co.(GHC)0609+60906440.07%+644
Cisco Systems Inc.(CSCO)154,877157,564+2,68711,93012,2251.30%+295
Regeneron Pharmaceuticals Inc.(REGN)9,4399,780+3417,2867,5560.80%+271
C.H. Robinson Worldwide(CHRW)30,65631,285+6294,9285,1960.55%+267
Invesco Building & Constructio
BLDG CONSTR ETF
9,58011,781+2,2018871,1500.12%+262
TD SYNNEX Corporation(SNX)01,536+1,53602590.03%+259
Pan American Silver Corp.(PAAS)063,620+63,62003,4760.37%+3,476
Cirrus Logic Inc.(CRUS)01,760+1,76002550.03%+255
Micron Technology Inc.(MU)0740+74002500.03%+250
Granite Construction Inc.(GVA)45,22345,579+3565,2165,4640.58%+248
Belden Inc.01,945+1,94502230.02%+223
Equinox Gold Corp.(EQX)0282,460+282,46004,0840.44%+4,084
Dycom Industries Inc(DY)16,13916,742+6035,4535,6730.60%+219
Invesco Optimum Yield Diversified
OPTIMUM YIELD
012,123+12,12302100.02%+210
HudBay Minerals Inc.(HBM)138,738141,717+2,9792,7542,9620.32%+208
Skyworks Solutions Inc(SWKS)03,867+3,86702070.02%+207
Suncor Energy Inc.(SU)09,411+9,41106220.07%+622
Applied Materials Inc.02,367+2,36708090.09%+809
iShares MSCI Emerging Markets
MSCI EMRG CHN
029,743+29,74302,3400.25%+2,340
HCA Healthcare Inc(HCA)17,92718,055+1288,3698,5440.91%+175
Equinor ASA Sponsored ADR(EQNR)09,504+9,50404010.04%+401
MKS Instruments Inc.(MKSI)02,542+2,54205840.06%+584
Cenovus Energy Inc.(CVE)017,536+17,53604650.05%+465
Aberdeen Standard Bloomberg Al032,841+32,84107980.08%+798
TotalEnergies SE Sponsored ADR(TTE)05,832+5,83205310.06%+531
TIM S.A. Sponsored ADR(TIMB)020,317+20,31705380.06%+538
United Parcel Service Inc. Cl(UPS)106,348108,545+2,19710,54910,6791.14%+130
iShares 1-3 Year Treasury Bond0157,002+157,002012,9641.38%+12,964
Chevron Corp.(CVX)02,495+2,49505160.05%+516
Ecopetrol SA Sponsored ADR(EC)025,483+25,48303820.04%+382
ASML Holding N.V.
N Y REGISTRY SHS
0517+51706830.07%+683
Travelers Companies, Inc.(TRV)016,833+16,83304,9100.52%+4,910
America Movil S.A.B. de C.V. A(AMX)22,54521,891-6544665580.06%+92
PNC Financial Services Group I(PNC)24,16924,672+5035,0455,1340.55%+89
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