Fund HoldingsFlat Footed LLC

Total Portfolio Value
$300.33M
Total Bought
$357.06M
Total Sold
$366.78M
Net Transaction
-$9.72M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
ISHARES TR(Put)1,444,8002,610,700+1,165,900116,494207,707+91,213
ROYAL BK CDA(RY)(Put)0300,000+300,000048,534+48,534
PEPSICO INC(PEP)(Put)0295,000+295,000045,811+45,811
CANADIAN IMPERIAL BANK OF CO(CM)(Put)0452,500+452,500042,874+42,874
DIVERSIFIED HEALTHCARE TR(DHC)23,487,00223,487,0020113,912155,95451.93%+42,042
TORONTO DOMINION BK ONT(TD)(Put)0302,500+302,500028,226+28,226
BANK MONTREAL MEDIUM(Put)0169,500+169,500022,940+22,940
SPDR SERIES TRUST(Put)
ST STR SP INS
0297,600+297,600016,368+16,368
HOWARD HUGHES HOLDINGS INC(HHH)0215,288+215,288013,6194.53%+13,619
ISHARES TR(Put)0110,000+110,000010,402+10,402
CORE NATURAL RESOURCES INC(CNR)(Call)095,000+95,00009,949+9,949
PERFORMANCE FOOD GROUP CO(PFGC)(Put)0100,000+100,00008,566+8,566
GRAND CANYON ED INC(LOPE)(Put)040,000+40,00006,801+6,801
VENTAS INC(VTR)(Put)066,500+66,50005,438+5,438
TEEKAY CORPORATION LTD
SHS
1,762,8661,622,766-140,10015,91919,8146.60%+3,895
PERDOCEO ED CORP(PRDO)(Put)074,800+74,80002,783+2,783
ARDMORE SHIPPING CORP1,249,4201,004,696-244,72413,23115,3225.10%+2,090
MARRIOTT INTL INC NEW(MAR)(Put)121,900121,900037,81839,870+2,052
HILTON WORLDWIDE HLDGS INC(HLT)(Put)115,500115,500033,17735,121+1,944
STRATEGIC ED INC(STRA)(Put)020,000+20,00001,659+1,659
GRIFOLS S A(GRFS)1,084,5271,372,394+287,86710,14011,0073.66%+866
RMR GROUP INC783,963802,739+18,77611,68112,4184.13%+737
I-80 GOLD CORP(IAUX)5,551,6235,542,640-8,9838,1058,4252.81%+319
CARETRUST REIT INC(CTRE)(Put)07,500+7,5000275+275
BROOKDALE SR LIVING INC(BKD)0004295360.18%+107
RYMAN HOSPITALITY PPTYS INC(RHP)(Put)32,50032,50003,0752,999-76
PANGAEA LOGISTICS SOLUTION L
SHS
12,1390-12,139840-84
SERVICE PPTYS TR(SVC)852,490852,49001,5691,1550.38%-413
RED ROCK RESORTS INC(RRR)(Put)60,00055,000-5,0003,7172,935-782
ROYAL CARIBBEAN GROUP(Put)
COM
92,10089,500-2,60025,68924,629-1,060
INDUSTRIAL LOGISTICS PPTYS T1,700,5921,435,087-265,5059,4218,1512.71%-1,270
MGM RESORTS INTERNATIONAL(MGM)(Put)400,000360,000-40,00014,59613,324-1,272
CIVEO CORP CDA462,758347,240-115,51810,5839,1883.06%-1,395
SEVEN HILLS REALTY TRUST664,432433,192-231,2405,9133,5611.19%-2,353
SUMMIT MIDSTREAM CORPORATION356,567124,278-232,2899,5133,7581.25%-5,755
PENNYMAC FINL SVCS INC NEW(PFSI)(Put)130,0000-130,00017,1390-17,139
AFFIRM HLDGS INC(AFRM)(Put)254,0000-254,00018,9050-18,905
CARVANA CO(CVNA)(Put)106,50072,600-33,90044,94522,824-22,121
WELLTOWER INC(WELL)(Put)165,00041,300-123,70030,6268,165-22,460
BROOKDALE SR LIVING INC(BKD)00042,9220-42,922
BROOKDALE SR LIVING INC(BKD)8,497,5612,391,526-6,106,03591,68932,71610.89%-58,973
TESLA INC(TSLA)(Put)224,00032,000-192,000100,73711,896-88,841
CORE NATURAL RESOURCES INC(CNR)1,387,11144,965-1,342,146122,7734,7091.57%-118,064
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