Fund HoldingsGame Creek Capital, LP

Total Portfolio Value
$283.33M
Total Bought
$35.73M
Total Sold
$102.26M
Net Transaction
-$66.54M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
MICRON TECHNOLOGY INC(MU)020,176+20,176023,2898.22%+23,289
STATE STR SPDR S&P 500 ETF T(SPY)(Put)020,000+20,000014,935+14,935
INVESCO QQQ TR(Put)010,000+10,00007,364+7,364
ADVANCED MICRO DEVICES INC(AMD)23,12516,315-6,8104,7049,4783.35%+4,773
MINIMED GROUP INC(MMED)21,750192,250+170,5003252,8741.01%+2,550
AMAZON COM INC(AMZN)(Put)2,50012,500+10,0005212,979+2,459
GENERAC HLDGS INC(GNRC)31,75029,500-2,2506,2028,6383.05%+2,436
PINTEREST INC(PINS)095,000+95,00001,9980.71%+1,998
WALMART INC(WMT)(Put)7,00025,000+18,0008702,832+1,962
HOME DEPOT INC(HD)05,000+5,00001,7630.62%+1,763
POOL CORP(POOL)08,000+8,00001,7190.61%+1,719
BLOCK INC(XYZ)55,00065,000+10,0003,3104,9401.74%+1,630
ADVANCED MICRO DEVICES INC(AMD)(Put)12,0007,000-5,0002,4414,066+1,625
ALPHABET INC(GOOG)49,26542,575-6,69014,16715,2155.37%+1,048
BOSTON SCIENTIFIC CORP(BSX)023,375+23,37509980.35%+998
UBER TECHNOLOGIES INC(UBER)100,875113,975+13,1007,2568,2242.90%+968
TOLL BROTHERS INC(TOL)5,00010,000+5,0006821,6480.58%+965
MODINE MFG CO(MOD)16,00016,500+5003,4674,4061.56%+938
CACI INTL INC(CACI)4,7507,500+2,7502,5833,4741.23%+891
JAMES HARDIE INDS PLC
ORD SHS
135,000130,000-5,0002,5573,4031.20%+847
HEWLETT PACKARD ENTERPRISE C(HPE)191,750119,375-72,3754,5665,3851.90%+819
ALPHABET INC(GOOG)(Put)20,00018,000-2,0005,7516,433+681
MICRON TECHNOLOGY INC(MU)(Put)12,0004,000-8,0004,0544,617+563
CISCO SYS INC(CSCO)39,50029,075-10,4253,0653,4151.21%+350
MP MATERIALS CORP(MP)9,00014,000+5,0004347840.28%+350
VERTIV HOLDINGS CO(VRT)(Put)18,00014,500-3,5004,5104,855+344
XPO INC(XPO)29,60029,100-5005,7595,9742.11%+215
OPTION CARE HEALTH INC(OPCH)45,00065,000+20,0001,2111,3630.48%+152
SOUTHWEST AIRLS CO(LUV)061,925+61,92503,1841.12%+3,184
JPMORGAN CHASE & CO(JPM)7,7507,025-7252,2802,2990.81%+20
ELI LILLY & CO(LLY)6,6255,070-1,5556,0936,0812.15%-12
GALLAGHER ARTHUR J & CO(AJG)5,5005,000-5001,1911,1480.41%-43
BP PLC(BP)9,0009,00004233330.12%-90
SYNOPSYS INC(SNPS)2,0501,550-5008136910.24%-121
BANK OF AMER CORP96,75080,375-16,3754,7174,5801.62%-137
SCORPIO TANKERS INC(STNG)(Put)16,00015,000-1,0001,1951,039-156
MEDTRONIC PLC(MDT)93,875101,750+7,8758,1347,9602.81%-174
SOUTHERN COPPER CORP(SCCO)1,1860-1,1862040-204
DELTA AIR LINES INC(DAL)75,87551,625-24,2505,0444,8351.71%-209
T-MOBILE US INC(TMUS)5,0005,00001,0508390.30%-211
VERSANT MEDIA GROUP INC(VSNT)7,5000-7,5002780-278
APPLIED MATLS INC8500-8502910-291
BJS WHSL CLUB HLDGS INC(BJ)26,00026,00002,5592,2680.80%-291
WILLIS TOWERS WATSON PLC LTD(WTW)3,7503,000-7501,0907840.28%-306
WALMART INC(WMT)28,72528,72503,5703,2531.15%-317
UNITEDHEALTH GROUP INC(UNH)000000
AMAZON COM INC(AMZN)046,400+46,400011,0593.90%+11,059
CONOCOPHILLIPS(COP)2,7250-2,7253600-360
CAMECO CORP(CCJ)19,07516,700-2,3752,0721,7010.60%-371
SOUTHWEST AIRLS CO(LUV)(Put)10,0000-10,0003760-376
COMCAST CORP NEW(CCZ)13,1250-13,1253770-377
ACCENTURE PLC IRELAND
SHS CLASS A
21,62531,125+9,5004,2883,8731.37%-415
MERCK & CO INC(MRK)3,5000-3,5004210-421
HEWLETT PACKARD ENTERPRISE C(HPE)7,0000-7,0004520-452
REGENERON PHARMACEUTICALS(REGN)(Put)1,000500-500773312-461
INTERNATIONAL BUSINESS MACHS(IBM)13,55010,015-3,5353,2842,8160.99%-468
HESS MIDSTREAM LP(HESM)21,2509,400-11,8508263530.12%-473
AON PLC(AON)1,5000-1,5004840-484
MICROSOFT CORP(MSFT)9,3257,875-1,4503,4522,9381.04%-514
SCORPIO TANKERS INC(STNG)33,25028,275-4,9752,4821,9580.69%-524
BUNGE GLOBAL SA(BG)4,8750-4,8756200-620
SPDR GOLD TR(GLD)4,7503,850-9002,0441,4180.50%-626
KNIGHT-SWIFT TRANSN HLDGS IN(KNX)11,6250-11,6256690-669
BRINKER INTL INC(EAT)20,00013,000-7,0002,8552,1840.77%-671
FREEPORT MCMORAN INC(FCX)11,7500-11,7506910-691
MP MATERIALS CORP(MP)(Put)15,0000-15,0007240-724
NORTHROP GRUMMAN CORP(NOC)2,0901,335-7551,4266800.24%-746
EXXON MOBIL CORP7,3483,473-3,8751,2474750.17%-772
SHELL PLC(SHEL)22,50015,400-7,1002,0931,1940.42%-898
APPLE INC(AAPL)5,1001,335-3,7651,2943860.14%-908
VANECK ETF TRUST
GOLD MINERS ETF
10,6250-10,6259750-975
SERVICENOW INC(NOW)66,37560,000-6,3756,9405,9572.10%-983
GENERAL MTRS CO(GM)44,12528,475-15,6503,2872,1950.77%-1,092
SHIFT4 PMTS INC(FOUR)000000
CITIGROUP INC(C)21,8509,625-12,2252,4781,3470.48%-1,131
AGNICO EAGLE MINES LTD(AEM)11,0006,450-4,5502,2331,0010.35%-1,232
NEWMONT CORP(NEM)27,62518,125-9,5002,9901,6930.60%-1,298
ALPHABET INC(GOOG)8,7503,200-5,5502,5101,1310.40%-1,379
CAMECO CORP(CCJ)(Put)14,0000-14,0001,5210-1,521
KROGER CO(KR)42,12524,950-17,1753,0481,3850.49%-1,663
EQT CORP(EQT)48,87525,500-23,3753,1101,3560.48%-1,755
VERIZON COMMUNICATIONS INC(VZ)52,00019,875-32,1252,6108420.30%-1,769
PFIZER INC(PFE)134,37582,500-51,8753,7731,9870.70%-1,787
SMITHFIELD FOODS INC(SFD)198,250153,000-45,2505,5453,7121.31%-1,833
VERTIV HOLDINGS CO(VRT)41,87525,725-16,15010,4938,6133.04%-1,880
BARRICK MNG CORP(B)128,75091,000-37,7505,2523,3421.18%-1,909
TAKE-TWO INTERACTIVE SOFTWAR(TTWO)10,0000-10,0001,9750-1,975
DELTA AIR LINES INC(DAL)(Put)30,0000-30,0001,9940-1,994
WEYERHAEUSER CO(WY)110,00028,000-82,0002,6876700.24%-2,017
L3HARRIS TECHNOLOGIES INC(LHX)20,51517,040-3,4757,0814,9521.75%-2,129
NVIDIA CORPORATION(NVDA)18,0004,500-13,5003,1399000.32%-2,239
BRUNSWICK CORP(BC)32,0000-32,0002,3280-2,328
REGENERON PHARMACEUTICALS(REGN)02,725+2,72501,6990.60%+1,699
XPO INC(XPO)(Put)15,0000-15,0002,9180-2,918
GENERAL MTRS CO(GM)(Put)80,00030,000-50,0005,9602,312-3,648
CHEVRON CORPORATION(CVX)59,85849,143-10,71512,3858,1462.88%-4,239
BOOZ ALLEN HAMILTON HLDG COR77,37513,250-64,1256,0388040.28%-5,234
PROSHARES TR
SHORT QQQ
266,25062,750-203,5008,5711,5730.56%-6,998
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