Fund HoldingsKanen Wealth Management LLC

Total Portfolio Value
$412.58M
Total Bought
$154.78M
Total Sold
$57.01M
Net Transaction
+$97.77M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
ENTRAVISION COMMUNICATIONS C03,106,345+3,106,345040,7459.88%+40,745
COMPASS INC(COMP)6,408,4996,447,324+38,82546,84679,71619.32%+32,869
ARHAUS INC(ARHS)02,198,887+2,198,887018,6534.52%+18,653
BARNES & NOBLE ED INC3,423,7823,379,123-44,65930,23242,92210.40%+12,690
ALLOT LTD4,653,6974,783,141+129,44430,99442,15110.22%+11,157
GEO GROUP INC(GEO)0370,593+370,593011,0842.69%+11,084
HAVERTY FURNITURE COS INC0291,400+291,40007,4141.80%+7,414
XPONENTIAL FITNESS INC845,9221,702,669+856,7475,09211,7952.86%+6,703
THE REALREAL INC(REAL)1,391,9071,589,448+197,54112,63918,9454.59%+6,306
ENTRAVISION COMMUNICATIONS C(Call)04,367+4,36703,494+3,494
IMMERSION CORP709,0001,013,700+304,7003,8717,0231.70%+3,152
ZEVIA PBC1,250,0002,693,236+1,443,2361,4634,5951.11%+3,132
OUTDOOR HOLDING CO11,691,88211,512,794-179,08823,50126,3676.39%+2,866
SIX FLAGS ENTERTAINMENT CORP(FUN)848,643832,335-16,30815,06317,4934.24%+2,430
NUVEEN REAL ESTATE INCOME FD(JRS)528,047736,168+208,1213,9396,2661.52%+2,327
INSPIRED ENTMT INC2,680,9682,552,288-128,68019,11520,7065.02%+1,591
NEUBERGER R/EST SECS INC FD
COM
241,000738,804+497,8046842,2470.54%+1,563
NUVEEN FLOATING RATE INCOME(JFR)813,234959,147+145,9136,1167,3701.79%+1,254
DATA I O CORP839,421839,42102,1243,2880.80%+1,164
THE ONE GROUP HOSPITALITY IN4,227,4564,227,45607,3218,2742.01%+953
EATON VANCE LIMITED DURATION
COM
379,816465,077+85,2613,5894,3551.06%+766
SKYX PLATFORMS CORP1,150,1211,843,338+693,2171,2882,0370.49%+749
APYX MEDICAL CORPORATION074,900+74,90003360.08%+336
APPLE INC(AAPL)7,1007,103+31,8022,0550.50%+253
COMFORT SYS USA INC(FIX)0121+12102400.06%+240
MARCHEX INC1,300,3881,300,38802,0162,1850.53%+169
DUFF & PHELPS UTLITY AND INF523,585519,540-4,0457,5617,6751.86%+114
GABELLI DIVID & INCOME TR
COM
26,80026,80007227880.19%+66
AMAZON COM INC(AMZN)2,1312,072-594444940.12%+50
TESLA INC(TSLA)75875802823190.08%+37
VISA INC(V)80080002422740.07%+33
MASTERCARD INCORPORATED(MA)1,0001,00005005140.12%+14
WESTERN ASSET HIGH INCOME OP(HIO)490,454490,45401,7801,7850.43%+5
BLACKROCK CORPOR HI YLD FD I(HYT)117,800117,80001,0041,0080.24%+5
WESTERN ASSET HIGH YIELD OPP10,00010,00001071060.03%-0
DOUGLAS ELLIMAN INC15,5000-15,500250-25
STAGWELL INC(STGW)78,9880-78,9884970-497
FOSSIL GROUP INC1,132,802872,797-260,0054,8823,6650.89%-1,218
NATUZZI S P A2,222,2762,232,703+10,4276,7784,1981.02%-2,580
PELOTON INTERACTIVE INC(PTON)1,762,1970-1,762,1977,5600-7,560
LOVESAC COMPANY545,9630-545,9638,0640-8,064
THE ONCOLOGY INSTITUTE INC2,777,8580-2,777,8588,5280-8,528
1STDIBS COM INC2,068,7230-2,068,72311,3780-11,378
Page 1 of 1