Fund HoldingsUnion Square Park Capital Management, LLC

Total Portfolio Value
$277.95M
Total Bought
$160.58M
Total Sold
$65.47M
Net Transaction
+$95.11M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
STATE STR SPDR S&P 500 ETF T(SPY)(Put)35,00087,500+52,50022,76265,342+42,580
ADVANCED MICRO DEVICES INC(AMD)(Call)027,500+27,500015,975+15,975
ASML HLDG NV(Call)
N Y REGISTRY SHS
06,500+6,500012,931+12,931
LAM RESEARCH CORP(LRCX)(Call)020,000+20,00008,667+8,667
BROADCOM INC(AVGO)(Call)020,000+20,00007,555+7,555
ISHARES TR(Put)45,00060,000+15,00011,16018,027+6,867
TELADOC HEALTH INC(TDOC)0800,000+800,00006,7842.44%+6,784
MOHAWK INDS INC(MHK)(Call)050,000+50,00006,067+6,067
MONRO INC100,000425,000+325,0001,6047,2722.62%+5,668
ROBINHOOD MKTS INC(HOOD)(Call)050,000+50,00005,014+5,014
GROUPON INC(GRPN)0205,000+205,00004,9321.77%+4,932
COMPASS INC(COMP)575,000650,000+75,0004,2038,0152.88%+3,811
PELOTON INTERACTIVE INC(PTON)1,500,0001,650,000+150,0006,4359,7523.51%+3,317
SERVICE PPTYS TR(SVC)01,900,000+1,900,00003,2111.16%+3,211
ESTABLISHMENT LABS HLDGS INC(ESTA)105,000105,00005,9629,0103.24%+3,048
GENERAC HLDGS INC(GNRC)5,00013,500+8,5009773,9531.42%+2,976
HONEYWELL AEROSPACE INC012,500+12,50002,7640.99%+2,764
ROBINHOOD MKTS INC(HOOD)025,000+25,00002,5070.90%+2,507
RH(RH)65,00070,000+5,0009,08811,5314.15%+2,443
ASML HLDG NV
N Y REGISTRY SHS
01,000+1,00001,9890.72%+1,989
CHEWY INC(CHWY)060,000+60,00001,1790.42%+1,179
LIONSGATE STUDIOS CORP(LION)200,000200,00001,9183,0621.10%+1,144
TRIPADVISOR INC(TRIP)080,000+80,00001,0970.39%+1,097
REAL ASSET ACQUISITION CORP0100,000+100,00001,0800.39%+1,080
ARHAUS INC(ARHS)0125,000+125,00001,0530.38%+1,053
CREATIVE REALITIES INC0253,363+253,36301,0460.38%+1,046
INSEEGO CORP0100,000+100,00001,0330.37%+1,033
GAP INC(GAP)050,000+50,00009340.34%+934
GROUPON INC(GRPN)(Call)037,500+37,5000902+902
DATADOG INC(DDOG)15,00010,000-5,0001,7712,6040.94%+833
PETCO HEALTH & WELLNESS CO I0275,000+275,00007480.27%+748
LIGHTPATH TECHNOLOGIES INC50,00075,000+25,0005021,2260.44%+725
ARISTA NETWORKS INC(ANET)15,00015,00001,8422,5480.92%+707
OPORTUN FINL CORP100,000200,000+100,0004611,1420.41%+681
MOOG INC(MOG-A)1,5002,500+1,0004391,0600.38%+621
REAL ASSET ACQUISITION CORP0170,250+170,25006160.22%+616
SHUTTERSTOCK INC040,000+40,00005580.20%+558
SABLE OFFSHORE CORP0175,000+175,00005390.19%+539
BROADCOM INC(AVGO)7,5007,50002,3212,8331.02%+512
AIRBNB INC30,00030,00003,7884,2931.54%+505
KRATOS DEFENSE & SEC SOLUTIO(KTOS)010,000+10,00004990.18%+499
NLIGHT INC(LASR)10,00015,000+5,0005701,0440.38%+474
SPORTSMANS WHSE HLDGS INC2,600,8023,036,695+435,8933,6674,0391.45%+372
AEROVIRONMENT INC2,5005,000+2,5004588250.30%+368
TALEN ENERGY CORP(TLN)5,0005,00001,5961,9210.69%+325
ISHARES TR10,00010,00002,1882,4240.87%+237
MOHAWK INDS INC(MHK)10,00010,00009851,2130.44%+229
CENTURI HOLDINGS INC(CTRI)100,000100,00002,9213,0241.09%+103
VISTRA CORP(VST)10,00010,00001,5031,5860.57%+83
NRG ENERGY INC(NRG)10,00010,00001,4611,4610.53%-1
LEONARDO DRS INC(DRS)30,00030,00001,3361,2800.46%-55
FOLD HLDGS INC89,13089,1300118400.01%-77
ONDAS INC(ONDS)100,000100,00009048240.30%-80
FATHOM HOLDINGS INC362,87998,453-264,426192990.04%-93
CONSTELLATION ENERGY CORP(CEG)5,0005,00001,3961,2420.45%-154
L3HARRIS TECHNOLOGIES INC(LHX)3,5003,50001,2081,0170.37%-191
JETBLUE AIRWAYS CORP(JBLU)(Call)100,0000-100,0004420-442
HOVNANIAN ENTERPRISES INC5,0000-5,0005550-555
GREEN BRICK PARTNERS INC(GRBK)10,0000-10,0006450-644
BUILDERS FIRSTSOURCE INC(BLDR)10,0000-10,0008230-823
JAMES HARDIE INDS PLC
ORD SHS
45,0000-45,0008520-852
LENNAR CORP(LEN)10,0000-10,0008680-868
JETBLUE AIRWAYS CORP(JBLU)200,0000-200,0008840-884
AMAZON COM INC(AMZN)10,0005,000-5,0002,0831,1920.43%-891
AMERICAN AIRLINES GROUP INC(AAL)100,0000-100,0001,0740-1,074
CHAMPION HOMES INC(SKY)15,0000-15,0001,1160-1,116
UNITED AIRLS HLDGS INC(UAL)12,5000-12,5001,1510-1,151
APARTMENT INVT & MGMT CO1,125,0001,125,00004,5793,3411.20%-1,237
APPLE INC(AAPL)5,0000-5,0001,2690-1,269
ALPHABET INC(GOOG)5,0000-5,0001,4340-1,434
CORE SCIENTIFIC INC NEW(CORZ)100,0000-100,0001,4960-1,496
MICRON TECHNOLOGY INC(MU)5,0000-5,0001,6890-1,689
FREEPORT MCMORAN INC(FCX)30,0000-30,0001,7630-1,763
RIDENOW GROUP INC1,432,8211,239,277-193,54410,1168,2542.97%-1,862
ENVIRI CORP100,0000-100,0001,9620-1,962
ADVANCED MICRO DEVICES INC(AMD)10,0000-10,0002,0340-2,034
CAESARS ENTERTAINMENT INC NE(CZR)80,0000-80,0002,1140-2,114
VERTIV HOLDINGS CO(VRT)10,0000-10,0002,5060-2,506
INDUSTRIAL LOGISTICS PPTYS T762,838200,000-562,8384,3331,7740.64%-2,559
NEBIUS GROUP N.V.(NBIS)30,0000-30,0003,1130-3,113
LYFT INC(LYFT)300,0000-300,0003,9900-3,990
INVESCO QQQ TR(Put)20,0000-20,00011,5440-11,544
ISHARES TR(Put)200,0000-200,00015,9120-15,912
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