Fund HoldingsTRIAN FUND MANAGEMENT, L.P.

Total Portfolio Value
$4.23B
Total Bought
$238.19M
Total Sold
$332.29M
Net Transaction
-$94.10M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
GE Aerospace(GE)4,030,7654,030,76501,143,8101,506,41835.61%+362,608
GE HealthCare Technologies Inc.(GEHC)4,0443,085,344+3,081,300288197,4934.67%+197,205
Solventum Corporation(SOLV)8,236,7538,236,7530537,860635,46515.02%+97,606
Wendys Co.(WEN)30,446,02230,468,434+22,412211,600252,5835.97%+40,983
Ferguson Plc New1,086,3571,086,3570253,404257,8256.09%+4,421
Magnum Ice Cream Co NV(MICC)241,042241,04203,6044,1970.10%+593
Invesco Ltd.(IVZ)2,970,9441,625,472-1,345,47272,16442,8961.01%-29,268
Janus Henderson Group plc31,867,80025,654,382-6,213,4181,637,0491,334,02831.53%-303,021
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