Fund HoldingsLANDSCAPE CAPITAL MANAGEMENT, L.L.C.

Total Portfolio Value
$1.54B
Total Bought
$876.56M
Total Sold
$907.80M
Net Transaction
-$31.24M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ISHARES TR01,182,793+1,182,7930102,2176.63%+102,217
VANECK ETF TRUST
SEMICONDUCTR ETF
030,000+30,000019,6771.28%+19,677
SELECT SECTOR SPDR TR
ST STR ENERG ETF
0316,068+316,068016,7861.09%+16,786
PRIMO BRANDS CORPORATION(PRMB)0657,154+657,154016,0611.04%+16,061
SMUCKER J M CO(SJM)0128,346+128,346014,4390.94%+14,439
MONSTER BEVERAGE CORP NEW(MNST)0116,767+116,767011,2240.73%+11,224
COLGATE PALMOLIVE CO(CL)0109,319+109,319010,0220.65%+10,022
SHARKNINJA INC(SN)056,091+56,09108,5410.55%+8,541
PROLOGIS INC.(PLD)059,103+59,10308,0070.52%+8,007
THE REALREAL INC(REAL)0673,173+673,17307,9370.51%+7,937
LAUDER ESTEE COS INC(EL)0126,364+126,36409,9760.65%+9,976
CONAGRA BRANDS INC(CAG)0557,243+557,24307,5000.49%+7,500
AMERICAN EAGLE OUTFITTERS IN0405,625+405,62506,9770.45%+6,977
BJS RESTAURANTS INC(BJRI)0108,768+108,76806,6060.43%+6,606
GENERAL MILLS INC(GIS)0187,877+187,87706,5380.42%+6,538
NEWELL BRANDS INC(NWL)01,065,028+1,065,02806,5390.42%+6,539
HEICO CORP NEW0120,673+120,673031,1232.02%+31,123
CVS HEALTH CORP(CVS)082,314+82,31408,5150.55%+8,515
HORMEL FOODS CORP(HRL)0246,017+246,01706,1060.40%+6,106
CUMMINS INC(CMI)08,560+8,56006,1050.40%+6,105
WP CAREY INC(WPC)077,339+77,33905,5300.36%+5,530
SHERWIN WILLIAMS CO(SHW)016,037+16,03705,5220.36%+5,522
RESMED INC(RMD)028,834+28,83405,6190.36%+5,619
SCHWAB CHARLES CORP(SCHW)072,127+72,12706,6550.43%+6,655
PELOTON INTERACTIVE INC(PTON)01,458,396+1,458,39608,6190.56%+8,619
PPL CORP(PPL)0140,610+140,61005,1110.33%+5,111
DRIVEN BRANDS HLDGS INC(DRVN)0364,178+364,17805,0770.33%+5,077
COMPASS PATHWAYS PLC(CMPS)0384,351+384,35105,4390.35%+5,439
CLOROX CO DEL(CLX)052,602+52,60205,0200.33%+5,020
CORSAIR GAMING INC(CRSR)0522,627+522,62705,0540.33%+5,054
APA CORPORATION(APA)0144,823+144,82304,7170.31%+4,717
PLUG PWR INC(PLUG)01,733,690+1,733,69004,6980.30%+4,698
UNITED PARCEL SVCS INC(UPS)058,379+58,37906,2760.41%+6,276
UBER TECHNOLOGIES INC(UBER)091,271+91,27106,5860.43%+6,586
FEDERAL RLTY INVT TR NEW(FRT)036,255+36,25504,4750.29%+4,475
DUOLINGO INC(DUOL)042,581+42,58104,8980.32%+4,898
RYANAIR HOLDINGS PLC(RYAAY)067,226+67,22604,3530.28%+4,353
TREX INC(TREX)0107,454+107,45405,3770.35%+5,377
HOVNANIAN ENTERPRISES INC029,447+29,44704,1940.27%+4,194
ISHARES TR0130,000+130,00004,1070.27%+4,107
VENTURE GLOBAL INC(VG)0365,594+365,59404,0690.26%+4,069
VICTORIAS SECRET AND CO(VSXY)048,682+48,68204,0640.26%+4,064
NOVO-NORDISK A S(NVO)084,495+84,49504,0510.26%+4,051
FRESHPET INC(FRPT)0101,094+101,09405,9770.39%+5,977
CLOUDFLARE INC(NET)022,187+22,18705,4420.35%+5,442
HIMS & HERS HEALTH INC(HIMS)0175,050+175,05006,0690.39%+6,069
AMERICAN AIRLINES GROUP INC(AAL)0269,273+269,27304,8660.32%+4,866
ULTA BEAUTY INC(ULTA)08,134+8,13403,6680.24%+3,668
ACUSHNET HLDGS CORP030,693+30,69303,6380.24%+3,638
ARHAUS INC(ARHS)0431,068+431,06803,6300.24%+3,630
RH(RH)021,973+21,97303,6200.23%+3,620
BLOCK INC(XYZ)057,483+57,48304,3690.28%+4,369
HEALTHPEAK PROPERTIES INC(DOC)0244,087+244,08705,2230.34%+5,223
ETSY INC(ETSY)085,835+85,83506,4660.42%+6,466
ALLEGIANT TRAVEL CO(ALGT)108,018103,799-4,2198,75412,2070.79%+3,453
TERAWULF INC(WULF)0158,718+158,71803,9200.25%+3,920
INSMED INC(INSM)031,345+31,34503,3420.22%+3,342
DRAFTKINGS INC NEW(DKNG)241,623336,395+94,7725,2248,4970.55%+3,273
THREDUP INC0493,883+493,88303,3830.22%+3,383
QUANTUM COMPUTING INC(QUBT)0381,046+381,04603,6960.24%+3,696
VAIL RESORTS INC(MTN)023,474+23,47403,1960.21%+3,196
DELTA AIR LINES INC(DAL)034,098+34,09803,1940.21%+3,194
ODDITY TECH LTD
SHS CL A
0209,927+209,92703,1760.21%+3,176
CRACKER BARREL OLD CTRY STOR(CBRL)059,480+59,48003,1700.21%+3,170
ENPHASE ENERGY INC(ENPH)072,451+72,45103,5670.23%+3,567
WELLTOWER INC(WELL)041,567+41,56709,4340.61%+9,434
SYSCO CORP(SYY)036,514+36,51403,0520.20%+3,052
AMPLITECH GROUP INC0449,510+449,51003,1290.20%+3,129
TOAST INC(TOST)0132,686+132,68603,6910.24%+3,691
FORWARD AIR CORP0221,124+221,12402,9870.19%+2,987
PEOPLE INC(PPLI)064,524+64,52402,9780.19%+2,978
EXELON CORP(EXC)063,414+63,41402,9560.19%+2,956
WINGSTOP INC(WING)017,039+17,03902,9550.19%+2,955
EQUITY RESIDENTIAL(EQR)042,505+42,50502,8870.19%+2,887
CREDIT SUISSE ASSET MGMT(CIK)01,163,091+1,163,09102,8840.19%+2,884
MCKESSON CORP(MCK)03,797+3,79702,8690.19%+2,869
WARBY PARKER INC(WRBY)093,901+93,90102,8490.18%+2,849
KIMBERLY-CLARK CORP(KMB)037,091+37,09104,0710.26%+4,071
SIMON PPTY GROUP INC NEW(SPG)012,676+12,67602,8350.18%+2,835
TESLA INC(TSLA)06,585+6,58502,7700.18%+2,770
DOLLAR TREE INC(DLTR)022,846+22,84602,7630.18%+2,763
F5 INC(FFIV)010,072+10,07204,1900.27%+4,190
WEIS MKTS INC(WMK)035,025+35,02502,7430.18%+2,743
REDDIT INC(RDDT)015,796+15,79602,7420.18%+2,742
ABERCROMBIE & FITCH CO030,405+30,40502,7370.18%+2,737
FIRST WATCH RESTAURANT GROUP0314,117+314,11704,0490.26%+4,049
HUT 8 CORP(HUT)023,216+23,21602,6800.17%+2,680
ABRDN HEALTHCARE OPPORTUNITI0143,003+143,00302,6780.17%+2,678
CREDO TECHNOLOGY GROUP HOLDI
ORDINARY SHARES
09,739+9,73902,6490.17%+2,649
AGCO CORP022,022+22,02202,6360.17%+2,636
COLUMBIA SPORTSWEAR CO(COLM)042,479+42,47902,6260.17%+2,626
LIGHTSPEED COMMERCE INC(LSPD)0249,182+249,18202,6140.17%+2,614
CISCO SYS INC(CSCO)022,193+22,19302,6070.17%+2,607
NUVEEN S&P 500 DYNAMIC OVERW
COM
0139,466+139,46602,6000.17%+2,600
GEN DIGITAL INC(GEN)0103,131+103,13102,5670.17%+2,567
TRUPANION INC(TRUP)0103,455+103,45502,5630.17%+2,563
SANDISK CORP(SNDK)01,120+1,12002,5470.17%+2,547
BANDWIDTH INC(BAND)040,033+40,03302,5340.16%+2,534
XYLEM INC(XYL)021,379+21,37902,5270.16%+2,527
MSC INDL DIRECT INC(MSM)021,127+21,12702,5130.16%+2,513
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