Fund HoldingsSciencast Management LP

Total Portfolio Value
$785.12M
Total Bought
$517.93M
Total Sold
$462.51M
Net Transaction
+$55.42M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
TPG INC(TPG)0159,323+159,32306,4540.82%+6,454
WELLS FARGO & CO(WFC)080,036+80,03606,3720.81%+6,372
TRACTOR SUPPLY COMPANY(TSCO)0140,377+140,37706,3590.81%+6,359
SEMPRA(SRE)065,224+65,22406,3380.81%+6,338
DANAHER CORP(DHR)033,407+33,40706,3340.81%+6,334
ALTRIA GROUP INC(MO)095,982+95,98206,3340.81%+6,334
PARKER HANNIFIN CORP(PH)07,073+7,07306,3320.81%+6,332
METLIFE INC(MET)089,515+89,51506,3310.81%+6,331
COLGATE-PALMOLIVE CO(CL)074,265+74,26506,3300.81%+6,330
BROWN & BROWN INC(BRO)097,049+97,04906,3290.81%+6,329
MCKESSON CORP(MCK)07,311+7,31106,3270.81%+6,327
HOWMET AEROSPACE INC(HWM)027,448+27,44806,3260.81%+6,326
SNOWFLAKE INC(SNOW)041,937+41,93706,3250.81%+6,325
WR BERKLEY CORP095,406+95,40606,3240.81%+6,324
DELL TECHNOLOGIES -C(DELL)038,479+38,47906,3160.80%+6,316
BROOKFIELD CORP(BN)0156,035+156,03506,3150.80%+6,315
ABBOTT LABORATORIES061,349+61,34906,2990.80%+6,299
CITIZENS FINANCIAL GROUP(CFG)0104,942+104,94206,2930.80%+6,293
HALLIBURTON CO(HAL)0160,835+160,83506,2710.80%+6,271
S&P GLOBAL INC(SPGI)014,733+14,73306,2670.80%+6,267
AMPHENOL CORP-CL A049,502+49,50206,2550.80%+6,255
CANADIAN NATURAL RESOURCES(CNQ)0126,852+126,85206,1810.79%+6,181
LAM RESEARCH CORP(LRCX)029,931+29,93106,3950.81%+6,395
TRUIST FINANCIAL CORP(TFC)0134,184+134,18406,1680.79%+6,168
P G & E CORP(PCG)0361,475+361,47506,3510.81%+6,351
TARGET CORP(TGT)049,898+49,89806,0480.77%+6,048
VERALTO CORP(VLTO)068,011+68,01106,0140.77%+6,014
CHUBB LTD
COM
017,355+17,35505,6570.72%+5,657
DATADOG INC - CLASS A(DDOG)046,929+46,92905,5400.71%+5,540
GOLDMAN SACHS GROUP INC(GS)06,411+6,41105,4240.69%+5,424
GENERAL DYNAMICS CORP(GD)015,770+15,77005,4130.69%+5,413
TOAST INC-CLASS A(TOST)0204,091+204,09105,4100.69%+5,410
PFIZER INC(PFE)0203,259+203,25905,7080.73%+5,708
DECKERS OUTDOOR CORP(DECK)060,503+60,50306,0560.77%+6,056
RTX CORP(RTX)027,093+27,09305,2260.67%+5,226
CONSOLIDATED EDISON INC(ED)056,110+56,11006,3510.81%+6,351
TOLL BROTHERS INC(TOL)037,994+37,99405,1850.66%+5,185
SOFI TECHNOLOGIES INC(SOFI)0323,375+323,37505,1350.65%+5,135
CASEY'S GENERAL STORES INC(CASY)08,693+8,69306,3270.81%+6,327
SERVICENOW INC(NOW)060,242+60,24206,2980.80%+6,298
CLOUDFLARE INC - CLASS A(NET)031,044+31,04406,4060.82%+6,406
WASTE MANAGEMENT INC(WM)021,034+21,03404,8330.62%+4,833
BAXTER INTERNATIONAL INC0320,608+320,60805,3860.69%+5,386
INTERNATIONAL PAPER CO(IP)0178,366+178,36606,3680.81%+6,368
LOWE'S COS INC(LOW)020,159+20,15904,7630.61%+4,763
CHIPOTLE MEXICAN GRILL INC(CMG)0195,692+195,69206,2640.80%+6,264
LULULEMON ATHLETICA INC(LULU)041,681+41,68106,3810.81%+6,381
CHEVRON CORP(CVX)030,671+30,67106,3460.81%+6,346
ON HOLDING AG-CLASS A(ONON)0125,508+125,50804,2700.54%+4,270
DOCUSIGN INC(DOCU)089,354+89,35404,2360.54%+4,236
OTIS WORLDWIDE CORP(OTIS)075,916+75,91605,8520.75%+5,852
ROCKET COS INC-CLASS A(RKT)0317,568+317,56804,5250.58%+4,525
FISERV INC(FISV)072,336+72,33604,0360.51%+4,036
GLOBALFOUNDRIES INC(GFS)0130,087+130,08705,7860.74%+5,786
ROBLOX CORP -CLASS A(RBLX)066,530+66,53003,7630.48%+3,763
FOX CORP - CLASS A(FOX)064,394+64,39403,7610.48%+3,761
DIAMONDBACK ENERGY INC(FANG)16,91331,685+14,7722,5436,2670.80%+3,724
ALCON INC(ALC)048,258+48,25803,6360.46%+3,636
IDACORP INC(IDA)025,164+25,16403,5980.46%+3,598
AMRIZE LTD(AMRZ)062,964+62,96403,5270.45%+3,527
ONEOK INC(OKE)038,117+38,11703,4450.44%+3,445
M & T BANK CORP(MTB)030,538+30,53806,3130.80%+6,313
NORWEGIAN CRUISE LINE HOLDIN
SHS
0177,307+177,30703,3160.42%+3,316
GE VERNOVA INC(GEV)03,747+3,74703,2710.42%+3,271
XP INC - CLASS A(XP)0168,830+168,83003,2150.41%+3,215
BROADCOM INC(AVGO)020,310+20,31006,2860.80%+6,286
ARAMARK(ARMK)077,515+77,51503,1420.40%+3,142
LOCKHEED MARTIN CORP(LMT)05,145+5,14503,1100.40%+3,110
THE CAMPBELL'S COMPANY(CPB)0134,976+134,97603,0060.38%+3,006
ILLINOIS TOOL WORKS(ITW)13,48424,287+10,8033,3216,3220.81%+3,001
SOUTHSTATE BANK CORP040,767+40,76703,7720.48%+3,772
INGERSOLL-RAND INC(IR)042,199+42,19903,3810.43%+3,381
ARISTA NETWORKS INC(ANET)023,898+23,89802,9340.37%+2,934
SYSCO CORP(SYY)046,771+46,77103,3360.42%+3,336
XYLEM INC(XYL)026,237+26,23703,1350.40%+3,135
JPMORGAN CHASE & CO(JPM)09,624+9,62402,8310.36%+2,831
SOUTHERN COPPER CORP(SCCO)016,433+16,43302,8270.36%+2,827
SS&C TECHNOLOGIES HOLDINGS(SSNC)041,761+41,76102,8220.36%+2,822
SOUTHWEST AIRLINES CO(LUV)073,425+73,42502,7590.35%+2,759
WOODWARD INC(WWD)07,702+7,70202,7570.35%+2,757
REINSURANCE GROUP OF AMERICA(RGA)013,445+13,44502,7450.35%+2,745
LAS VEGAS SANDS CORP(LVS)0111,237+111,23705,9930.76%+5,993
BATH & BODY WORKS INC0213,895+213,89503,9930.51%+3,993
CAPITAL ONE FINANCIAL CORP(COF)15,59035,057+19,4673,7786,3950.81%+2,617
AMETEK INC012,067+12,06702,5870.33%+2,587
ROCKWELL AUTOMATION INC(ROK)07,086+7,08602,5430.32%+2,543
COCA-COLA EUROPACIFIC PARTNE
SHS
044,351+44,35104,0210.51%+4,021
ANTERO RESOURCES CORP(AR)056,856+56,85602,4130.31%+2,413
JOHNSON CONTROLS INTERNATION
SHS
026,343+26,34303,4500.44%+3,450
VIAVI SOLUTIONS INC(VIAV)070,791+70,79102,3560.30%+2,356
BANK OF AMERICA CORP047,832+47,83202,3320.30%+2,332
DARDEN RESTAURANTS INC(DRI)011,892+11,89202,3310.30%+2,331
MDU RESOURCES GROUP INC(MDU)0112,350+112,35002,3280.30%+2,328
BROOKFIELD ASSET MGMT-A(BAM)051,850+51,85002,3050.29%+2,305
GRAPHIC PACKAGING HOLDING CO(GPK)0334,289+334,28903,3230.42%+3,323
MARATHON PETROLEUM CORP(MPC)09,423+9,42302,3010.29%+2,301
CF INDUSTRIES HOLDINGS INC(CF)017,334+17,33402,2510.29%+2,251
NOV INC(NOV)0117,275+117,27502,2060.28%+2,206
TESLA INC(TSLA)017,026+17,02606,3290.81%+6,329
NUTRIEN LTD(NTR)026,975+26,97502,0360.26%+2,036
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