Fund HoldingsGates Capital Management, Inc.

Total Portfolio Value
$4.16B
Total Bought
$1.31B
Total Sold
$1.01B
Net Transaction
+$297.68M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
SELECT SECTOR SPDR TR(Put)
ST STR INDL ETF
02,000,000+2,000,0000370,460+370,460
SELECT SECTOR SPDR TR(Put)
ST STR MATER ETF
04,500,000+4,500,0000228,735+228,735
ISHARES TR(Put)02,500,000+2,500,0000216,050+216,050
ISHARES TR(Put)2,125,0003,750,000+1,625,000169,065299,888+130,823
COOPER COS INC(COO)01,688,589+1,688,5890121,0892.91%+121,089
SIRIUSXM HOLDINGS INC(SIRI)2,742,3594,539,927+1,797,56863,294134,1093.22%+70,816
PENTAIR PLC(PNR)902,6061,675,515+772,90978,626128,4453.09%+49,819
MASTERBRAND INC(MBC)10,346,86413,186,754+2,839,89085,982135,6923.26%+49,709
DAVITA INC(DVA)723,008688,136-34,872111,119153,0963.68%+41,977
RALLIANT CORP(RAL)1,390,1561,111,015-279,14157,81781,8041.97%+23,987
NEOGEN CORP(NEOG)6,258,6498,742,274+2,483,62558,14378,5931.89%+20,450
CONSENSUS CLOUD SOLUTIONS IN1,838,3791,644,274-194,10543,64362,7291.51%+19,086
TIC SOLUTIONS INC(TIC)21,850,00019,501,621-2,348,379143,773157,7683.79%+13,995
DARLING INGREDIENTS INC(DAR)2,361,1192,902,582+541,463146,035158,5393.81%+12,504
RENTOKIL INITIAL PLC(RTO)4,351,9565,173,407+821,451137,000148,0113.56%+11,012
ENVISTA HOLDINGS CORPORATION(NVST)5,362,7115,552,383+189,672136,052146,3053.52%+10,253
S&P GLOBAL INC(SPGI)327,955361,186+33,231139,492147,0973.54%+7,604
VICI PPTYS INC(VICI)3,234,1603,546,895+312,73588,35794,1702.26%+5,813
CARRIER GLOBAL CORPORATION(CARR)2,494,7911,991,308-503,483140,482146,0623.51%+5,581
OTIS WORLDWIDE CORP(OTIS)737,558867,273+129,71556,85162,0971.49%+5,246
MOBILITY GLOBAL INC061,358+61,35801,3530.03%+1,353
ARMSTRONG WORLD INDS INC NEW(AWI)498,268513,283+15,01582,11582,3411.98%+226
GAMING & LEISURE P(GLPI)2,058,1302,054,803-3,32791,31991,5002.20%+181
TKO GROUP HOLDINGS INC(TKO)427,869411,584-16,28586,28082,8561.99%-3,424
FORTIVE CORP(FTV)2,089,4721,821,430-268,042115,506111,2712.67%-4,235
API GROUP CORP(APG)1,599,9461,424,946-175,00064,83060,3461.45%-4,483
XBP GLOBAL HOLDINGS INC3,193,1493,193,149014,0507,4080.18%-6,642
SMITH A O CORP(AOS)1,087,5801,030,321-57,25971,71564,6221.55%-7,093
VERALTO CORP(VLTO)1,079,924889,770-190,15495,48778,9051.90%-16,582
GARRETT MOTION INC(GTX)5,935,6382,479,851-3,455,787107,85189,8452.16%-18,006
ELEMENT SOLUTIONS INC(ESI)3,059,0661,611,499-1,447,567104,43776,9491.85%-27,487
KBR INC(KBR)2,091,5651,422,729-668,83677,09549,1271.18%-27,968
ATKORE INC2,685,7181,710,192-975,526158,216130,0433.13%-28,173
CRH PLC
ORD
1,089,281739,562-349,719114,50579,1331.90%-35,372
QNITY ELECTRONICS INC(Q)325,4630-325,46337,5520-37,552
AMRIZE LTD(AMRZ)2,412,5331,580,748-831,785135,15084,2542.02%-50,896
VERSANT MEDIA GROUP INC(VSNT)1,507,5610-1,507,56155,8100-55,810
SELECT SECTOR SPDR TR(Put)
ST STR MATER ETF
4,050,0000-4,050,000202,3790-202,378
SELECT SECTOR SPDR TR(Put)
ST STR INDL ETF
2,411,5000-2,411,500390,0120-390,012
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