Fund Holdings — MOORE CAPITAL MANAGEMENT, LP

Total Portfolio Value
$4.39B
Total Bought
$2.48B
Total Sold
$909.61M
Net Transaction
+$1.57B
Filing Period:
Securities
▲▼
SharesValue ($K)
Q1 2026
▲▼
Q2 2026
▲▼
Change
▲▼
Q1 2026
▲▼
Q2 2026
▲▼
Weight (%)
▲▼
Change
▲▼
ISHARES TR0770,000+770,000072,8191.66%+72,819
REGAL REXNORD CORPORATION(RRX)0302,723+302,723072,1061.64%+72,106
DEVON ENERGY CORP NEW(DVN)01,674,311+1,674,311069,1831.57%+69,183
LAM RESEARCH CORP(LRCX)30,827155,520+124,6936,58667,3911.53%+60,805
BRIDGEBIO PHARMA INC(BBIO)000056,8811.29%+56,881
BLOOM ENERGY CORP83,500218,175+134,67511,31366,0421.50%+54,728
APPLIED MATLS INC98,793122,220+23,42733,76688,3652.01%+54,599
RALLIANT CORP(RAL)0687,038+687,038050,5871.15%+50,587
NVIDIA CORPORATION(NVDA)293,362506,088+212,72651,162101,2632.30%+50,101
HUT 8 CORP(HUT)723,000706,455-16,54533,91681,5571.86%+47,641
CSX CORP(CSX)271,6091,220,553+948,94411,15058,0131.32%+46,863
DUCOMMUN INC DEL(DCO)0238,844+238,844044,2361.01%+44,236
ISHARES TR75,000555,000+480,0006,50247,9631.09%+41,461
VERSIGENT PLC(VGNT)0940,849+940,849039,5250.90%+39,525
CIPHER DIGITAL INC(CIFR)01,431,698+1,431,698035,0770.80%+35,077
SENSIENT TECHNOLOGIES CORP(SXT)0278,771+278,771034,3700.78%+34,370
GOLAR LNG LTD000033,5930.76%+33,593
GALAXY DIGITAL INC.(GLXY)1,362,2502,082,250+720,00025,13456,9291.30%+31,795
QNITY ELECTRONICS INC(Q)12,794196,333+183,5391,47632,0630.73%+30,587
HUB GROUP INC(HUBG)420,9911,010,540+589,54915,17344,2521.01%+29,079
INVESCO EXCHANGE TRADED FD T
S&P500 EQL WGT
17,516151,185+133,6693,36232,1680.73%+28,806
FREEPORT MCMORAN INC(FCX)0444,275+444,275027,9400.64%+27,940
TEREX CORP NEW(TEX)0383,307+383,307027,7480.63%+27,748
STATE STR SPDR S&P 500 ETF T(SPY)1,50936,812+35,30398127,4900.63%+26,509
ADVANCED MICRO DEVICES INC(AMD)044,252+44,252025,7060.59%+25,706
SNOWFLAKE INC(SNOW)094,577+94,577024,0700.55%+24,070
ISHARES TR0256,956+256,956023,2800.53%+23,280
RBC BEARINGS INC(RBC)74436,236+35,49240423,3380.53%+22,934
VIATRIS INC(VTRS)01,430,654+1,430,654022,7190.52%+22,719
CAPITAL ONE FINL CORP(COF)167,100264,160+97,06030,48452,9961.21%+22,512
FLEX LTD(FLEX)41,227155,031+113,8042,69925,1260.57%+22,427
TENET HEALTHCARE CORP(THC)0117,693+117,693022,0180.50%+22,018
QXO INC(QXO)25,0001,289,310+1,264,31048622,2790.51%+21,794
FEDEX FGHT HLDG CO INC0139,384+139,384021,0470.48%+21,047
WELLTOWER INC(WELL)090,277+90,277020,4900.47%+20,490
FLUOR CORP(FLR)162,479520,000+357,5217,58027,2430.62%+19,663
GENERAL CATALYST GBL RESIL M01,750,000+1,750,000017,6580.40%+17,658
ZIMMER BIOMET HOLDINGS INC(ZBH)0198,642+198,642017,1010.39%+17,101
SPX TECHNOLOGIES INC069,692+69,692017,0860.39%+17,086
LPL FINL HLDGS INC(LPLA)055,840+55,840015,7290.36%+15,729
EQUITABLE HLDGS INC0345,408+345,408015,1570.34%+15,157
CADENCE DESIGN SYSTEM INC(CDNS)13,03449,968+36,9343,62218,7540.43%+15,132
SERVICENOW INC(NOW)0152,268+152,268015,1170.34%+15,117
ALPHABET INC0300,000+300,000015,0900.34%+15,090
RIOT PLATFORMS INC(RIOT)2,006,3431,441,695-564,64824,79839,4740.90%+14,675
ZOETIS INC(ZTS)0202,749+202,749014,5700.33%+14,570
INTUIT(INTU)66255,840+55,17828614,5740.33%+14,288
UBS GROUP AG(UBS)2,039,5991,858,635-180,96478,32292,1332.10%+13,811
ISHARES TR021,275+21,275013,6320.31%+13,632
COGNIZANT TECHNOLOGY SOLUTIO(CTSH)7,062357,324+350,26243313,8390.31%+13,406
SAIA INC(SAIA)031,362+31,362013,2080.30%+13,208
VALERO ENERGY CORP(VLO)050,657+50,657013,1930.30%+13,193
COCA COLA CO(KO)0158,788+158,788012,9050.29%+12,905
WELLS FARGO & CO(WFC)0154,200+154,200012,7430.29%+12,743
FORTINET INC(FTNT)079,752+79,752012,2520.28%+12,252
GORES HOLDINGS XI INC01,200,000+1,200,000012,1800.28%+12,180
JPMORGAN CHASE & CO(JPM)037,008+37,008012,1140.28%+12,114
SELECT SECTOR SPDR TR
ST STR STAPL ETF
125,149268,923+143,77410,26022,3390.51%+12,080
ITT INC(ITT)117,263173,567+56,30422,34234,3250.78%+11,982
WILLIS LEASE FIN CORP000011,4220.26%+11,422
UNIVERSAL HLTH SVCS INC(UHS)121,300222,422+101,12221,70933,0720.75%+11,363
WOODWARD INC(WWD)46,19565,438+19,24316,53427,8400.63%+11,306
AMPHENOL CORP5,56566,641+61,07670311,7500.27%+11,047
FTAI AVIATION LTD(FTAI)040,000+40,000010,8210.25%+10,821
CHURCHILL CAP CORP XII01,000,000+1,000,000010,6500.24%+10,650
KEURIG DR PEPPER INC(KDP)0323,376+323,376010,5840.24%+10,584
PROPETRO HLDG CORP(PUMP)0733,512+733,512010,5190.24%+10,519
METALS ACQUISITION CORP II01,000,000+1,000,000010,1500.23%+10,150
BERTO ACQUISITION CORP II01,000,000+1,000,000010,1200.23%+10,120
KRAKACQUISITION CORPORATION(KRAQ)01,000,000+1,000,000010,0000.23%+10,000
COGNEX CORP(CGNX)0137,748+137,74809,9760.23%+9,976
CREDO TECHNOLOGY GROUP HOLDI
ORDINARY SHARES
036,626+36,62609,9600.23%+9,960
AVERIN CAP ACQUISITION CORP01,000,000+1,000,00009,9600.23%+9,960
APOLLO GLOBAL MGMT INC(APO)530,000583,000+53,00059,05368,9751.57%+9,922
REVOLUTION MEDICINES INC(RVMD)55,60081,700+26,1005,40715,3010.35%+9,894
COMFORT SYS USA INC(FIX)5,9389,050+3,1128,18817,9370.41%+9,748
IQVIA HLDGS INC(IQV)8,09755,756+47,6591,38110,7730.25%+9,392
UNUSUAL MACHS INC(UMAC)220,683537,748+317,0652,73611,9920.27%+9,255
INGERSOLL RAND INC(IR)0112,494+112,49409,2230.21%+9,223
LINDE PLC(LIN)017,402+17,40209,0310.21%+9,031
CONOCOPHILLIPS(COP)086,000+86,00008,9410.20%+8,941
BIO-TECHNE CORP(TECH)0125,626+125,62608,8750.20%+8,875
SLB LIMITED(SLB)0190,521+190,52108,8570.20%+8,857
HAPPEN INC(HAPN)0418,800+418,80008,6860.20%+8,686
MONOLITHIC PWR SYS INC(MPWR)06,250+6,25008,6400.20%+8,640
CITIGROUP INC(C)061,680+61,68008,6330.20%+8,633
NUTRIEN LTD(NTR)0136,106+136,10608,5680.19%+8,568
ROKU INC(ROKU)17,06673,300+56,2341,61510,1260.23%+8,511
BIOCRYST PHARMACEUTICALS INC(BCRX)0848,336+848,33608,4830.19%+8,483
LATTICE SEMICONDUCTOR CORP(LSCC)054,000+54,00008,2600.19%+8,260
CACI INTL INC(CACI)017,786+17,78608,2400.19%+8,240
BOSTON SCIENTIFIC CORP(BSX)0189,256+189,25608,0770.18%+8,077
ALBEMARLE CORP(ALB)059,533+59,53308,0390.18%+8,039
ALPHABET INC(GOOG)15,20435,022+19,8184,36112,3740.28%+8,013
KPET ULTRA PACELINE CORP0800,000+800,00007,9840.18%+7,984
3M CO(MMM)049,089+49,08907,9480.18%+7,948
AMAZON COM INC(AMZN)217,905223,435+5,53045,38353,2531.21%+7,870
RELAY THERAPEUTICS INC(RLAY)0414,005+414,00507,7460.18%+7,746
JABIL INC(JBL)019,991+19,99107,7060.18%+7,706
ALPHABET INC0150,000+150,00007,6340.17%+7,634
Page 1 of 9
MOORE CAPITAL MANAGEMENT, LP — 13F Holdings — Q2 2026 | TickerTrail