Fund HoldingsMANGROVE PARTNERS IM, LLC

Total Portfolio Value
$1.52B
Total Bought
$452.77M
Total Sold
$289.27M
Net Transaction
+$163.50M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
VISTANCE NETWORKS INC(VISN)07,158,439+7,158,439091,4856.01%+91,485
ACADIA HEALTHCARE COMPANY IN(ACHC)01,396,059+1,396,059041,2262.71%+41,226
APTIV PLC(APTV)0613,392+613,392037,6502.47%+37,650
BEL FUSE INC0104,706+104,706030,4942.00%+30,494
ISHARES TR092,192+92,192027,6991.82%+27,699
INDIVIOR PHARMACEUTICALS INC(INDV)2,742,4342,676,730-65,70483,589109,8267.22%+26,237
FLYWIRE CORPORATION(FLYW)02,984,076+2,984,076052,4303.44%+52,430
OPEN TEXT CORP(OTEX)01,637,946+1,637,946036,2712.38%+36,271
APARTMENT INVT & MGMT CO04,459,396+4,459,396013,2440.87%+13,244
COMPASS DIVERSIFIED(CODI)3,684,8003,684,800028,96339,2802.58%+10,317
MILLICOM INTL CELLULAR S A
COM STK
556,485556,485041,70350,5073.32%+8,804
KEURIG DR PEPPER INC(KDP)1,364,6821,364,682035,93244,6662.93%+8,734
DISCIPLINED GROWTH0749,995+749,99507,5300.49%+7,530
QUANTUM LEAP ACQUISITION COR0750,000+750,00007,4480.49%+7,448
GREIF INC(GEF)097,567+97,56707,2680.48%+7,268
ARC GROUP ACQUISITION I CORP0575,000+575,00005,8710.39%+5,871
BREEZE ACQUISITION CORP II0575,000+575,00005,6980.37%+5,698
VERNAL CAP ACQUISITION CORP0490,000+490,00005,2480.34%+5,248
STARLINK AI ACQUISITION CORP0499,990+499,99005,0550.33%+5,055
PLUTONIAN ACQUISITION CORP I0450,000+450,00004,5630.30%+4,563
MAYWOOD ACQUISITION CORP 20450,000+450,00004,5320.30%+4,532
JAB ACQUISITION CORP I0450,000+450,00004,5140.30%+4,514
XFLH CAP CORP
ORD SHS
0450,000+450,00004,4870.29%+4,487
PONO CAP FOUR INC0450,000+450,00004,4820.29%+4,482
GIGCAPITAL9 CORP0450,000+450,00004,4690.29%+4,469
CLEARTHINK 1 ACQUISITION COR0450,000+450,00004,4600.29%+4,460
IDEA ACQUISITION CORP0450,000+450,00004,4600.29%+4,460
SUMA ACQUISITION CORP0450,000+450,00004,4510.29%+4,451
UNION PAC CORP(UNP)148,098148,098035,93240,2832.65%+4,351
APERTURE AC0425,000+425,00004,2080.28%+4,208
SHREYA ACQUISITION GROUP0400,000+400,00004,0840.27%+4,084
GENUINE PARTS CO(GPC)316,771316,771033,49937,3732.46%+3,874
WEST ENCLAVE MERGER CORP0375,000+375,00003,7840.25%+3,784
ALLIED GOLD CORP(AAUC)0138,757+138,75703,2970.22%+3,297
FULTON FINL CORP PA(FULT)0129,128+129,12803,1240.21%+3,124
CAESARS ENTERTAINMENT INC NE(CZR)0101,729+101,72903,0700.20%+3,070
JANUS HENDERSON GROUP PLC058,016+58,01603,0140.20%+3,014
MOUNTAIN CREST ACQUISITION 60294,882+294,88202,9960.20%+2,996
INTERNATIONAL MONEY EXPRESS0196,206+196,20602,8350.19%+2,835
MILLROSE PPTYS INC(MRP)01,380,992+1,380,992041,4992.73%+41,499
OCEAN CAP ACQUISITION CORP0250,000+250,00002,5580.17%+2,558
ARCHIMEDES TECH SPAC PTNRS I
ORD SHS
0200,000+200,00002,0020.13%+2,002
BIO RAD LABS INC0127,191+127,191037,3452.45%+37,345
RE/MAX HLDGS INC0182,525+182,52501,8000.12%+1,800
STELLAR BANCORP INC045,302+45,30201,7810.12%+1,781
AMN HEALTHCARE SVCS INC053,449+53,44901,7300.11%+1,730
NORFOLK SOUTHN CORP(NSC)05,285+5,28501,6630.11%+1,663
OMNICELL COM(OMCL)033,895+33,89501,4070.09%+1,407
UNIVERSAL HLTH SVCS INC(UHS)07,115+7,11501,0580.07%+1,058
WISDOMTREE INC(WT)055,585+55,58509420.06%+942
CAVA GROUP INC(CAVA)011,884+11,88409330.06%+933
PITNEY BOWES INC(PBI)051,265+51,26508980.06%+898
LENDINGTREE INC020,141+20,14108920.06%+892
REPUBLIC SVCS INC(RSG)04,176+4,17608900.06%+890
AGCO CORP07,240+7,24008670.06%+867
PULSE BIOSCIENCES INC(PLSE)030,612+30,61208490.06%+849
PAYCOM SOFTWARE INC(PAYC)06,496+6,49608160.05%+816
LINCOLN EDL SVCS CORP(LINC)016,195+16,19508080.05%+808
LEAR CORP(LEA)06,003+6,00308050.05%+805
UPSTART HLDGS INC(UPST)022,153+22,15307850.05%+785
INTEGRA LIFESCIENCES HLDGS C(IART)042,830+42,83007690.05%+769
PROGYNY INC026,258+26,25807570.05%+757
MARKEL GROUP INC(MKL)0387+38707560.05%+756
HERCULES CAPITAL INC(HCXY)047,148+47,14807440.05%+744
U S GOLD CORP047,480+47,48007280.05%+728
TAL ED GROUP(TAL)075,640+75,64007240.05%+724
ZOETIS INC(ZTS)09,652+9,65206940.05%+694
INSPERITY INC(NSP)016,630+16,63006870.05%+687
TAMBORAN RES CORP(TBN)020,688+20,68806730.04%+673
S&P GLOBAL INC(SPGI)01,643+1,64306690.04%+669
PAYSIGN INC080,327+80,32706580.04%+658
SKYWATER TECHNOLOGY INC(SKYT)87,18787,18702,3903,0360.20%+646
DANA INC(DAN)023,463+23,46306380.04%+638
INSULET CORP(PODD)04,167+4,16706340.04%+634
PONCE FINANCIAL GROUP INC0191,343+191,34303,8150.25%+3,815
VITAL FARMS INC052,987+52,98706160.04%+616
FUTURE MONEY ACQUISITION COR
UNIT 03/16/2031
350,000405,259+55,2593,4954,1010.27%+606
IMPINJ INC(PI)04,134+4,13405920.04%+592
BURKE HERBERT FINL SVCS CORP(BHRB)011,034+11,03407930.05%+793
IDACORP INC(IDA)03,717+3,71705620.04%+562
ARDENT HEALTH INC(ARDT)081,911+81,91108060.05%+806
LENZ THERAPEUTICS INC096,749+96,74905500.04%+550
TIPTREE INC030,199+30,19905410.04%+541
HA SUSTAINABLE INFRA CAP INC(HASI)013,747+13,74705370.04%+537
VAREX IMAGING CORP050,235+50,23505240.03%+524
WORLD KINECT CORPORATION(WKC)015,623+15,62305150.03%+515
LAZARD INC(LAZ)012,088+12,08805070.03%+507
REALTY INCOME CORP(O)08,163+8,16305060.03%+506
SELLAS LIFE SCIENCES GROUP I(SLS)034,140+34,14005040.03%+504
AVALONBAY CMNTYS INC02,651+2,65105000.03%+500
BOSTON OMAHA CORP036,470+36,47004970.03%+497
EURONET WORLDWIDE INC(EEFT)06,783+6,78304960.03%+496
ARTISAN PARTNERS ASSET MGMT(APAM)014,371+14,37104960.03%+496
SR BANCORP INC0170,402+170,40203,3540.22%+3,354
TFS FINL CORP(TFSL)129,642129,64201,8212,2970.15%+476
TARGET HOSPITALITY CORP(TH)023,334+23,33404750.03%+475
AGILON HEALTH INC(AGL)04,379+4,37904690.03%+469
BLACKBAUD INC(BLKB)015,654+15,65404640.03%+464
ADT INC DEL(ADT)0102,764+102,76406680.04%+668
KBR INC(KBR)013,151+13,15104540.03%+454
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