Fund HoldingsOCCUDO QUANTITATIVE STRATEGIES LP

Total Portfolio Value
$1.84B
Total Bought
$1.10B
Total Sold
$770.35M
Net Transaction
+$329.21M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
ALCON AG(ALC)0221,830+221,830016,6080.90%+16,608
3M CO(MMM)0135,539+135,539019,8591.08%+19,859
HOME DEPOT INC(HD)043,805+43,805014,4030.78%+14,403
AMERICAN AIRLINES GROUP INC(AAL)01,241,933+1,241,933014,5430.79%+14,543
JOHNSON CONTROLS INTERNATION
SHS
0137,955+137,955020,1461.10%+20,146
WEBSTER FINL CORP(WBS)0185,498+185,498013,4230.73%+13,423
TESLA INC(TSLA)14,73952,307+37,5686,62819,9621.09%+13,333
PPL CORP(PPL)0399,818+399,818014,9690.81%+14,969
FEDEX CORP(FDX)035,766+35,766014,4250.78%+14,425
SOLSTICE ADVANCED MATLS INC(SOLS)190,108253,378+63,2709,23520,7641.13%+11,529
KEYSIGHT TECHNOLOGIES INC(KEYS)030,800+30,800010,7770.59%+10,777
RTX CORPORATION(RTX)058,390+58,390010,2810.56%+10,281
MONSTER BEVERAGE CORP NEW(MNST)0236,900+236,900018,2580.99%+18,258
LENNAR CORP(LEN)0111,970+111,970010,1110.55%+10,111
MARVELL TECHNOLOGY INC(MRVL)059,216+59,21609,7800.53%+9,780
MASTEC INC(MTZ)024,719+24,71909,7410.53%+9,741
FIVE BELOW INC(FIVE)044,332+44,332010,4470.57%+10,447
UBIQUITI INC(UI)010,372+10,372010,4970.57%+10,497
TEXAS INSTRS INC(TXN)032,882+32,88209,2420.50%+9,242
VERSANT MEDIA GROUP INC(VSNT)0220,592+220,59208,8660.48%+8,866
JAMES HARDIE INDS PLC
ORD SHS
0569,183+569,183011,9470.65%+11,947
ALPHABET INC(GOOG)033,717+33,717012,8780.70%+12,878
TEXAS ROADHOUSE INC(TXRH)054,302+54,30208,7420.48%+8,742
SS&C TECH HLDGS(SSNC)0124,427+124,42708,6230.47%+8,623
WALMART INC(WMT)064,681+64,68108,5330.46%+8,533
CLEVELAND-CLIFFS INC NEW(CLF)0929,858+929,85809,4850.52%+9,485
NEW YORK TIMES CO MTN BE(NYT)0104,304+104,30408,2430.45%+8,243
GEN DIGITAL INC(GEN)0411,801+411,80107,9440.43%+7,944
PG&E CORP(PCG)0670,523+670,523011,1440.61%+11,144
V F CORP(VFC)0403,548+403,54807,6390.42%+7,639
DUPONT DE NEMOURS INC(DD)0161,455+161,45507,3720.40%+7,372
FIRST HORIZON CORPORATION(FHN)0292,470+292,47007,3000.40%+7,300
GENERAL MILLS INC(GIS)0248,657+248,65708,7800.48%+8,780
AUTODESK INC034,795+34,79508,2460.45%+8,246
MIAMI INTL HLDGS INC(MIAX)0151,676+151,67607,0510.38%+7,051
ZOETIS INC(ZTS)076,747+76,74708,8240.48%+8,824
COPART INC(CPRT)144,424374,802+230,3785,65412,4100.68%+6,755
FERROVIAL SE
ORD SHS
125,434214,335+88,9018,10414,7700.80%+6,666
AMDOCS LTD(DOX)0115,375+115,37507,4610.41%+7,461
ATMOS ENERGY CORP(ATO)034,559+34,55906,5660.36%+6,566
HUNTSMAN CORP(HUN)0472,901+472,90106,7960.37%+6,796
TXNM ENERGY INC(TXNM)0136,282+136,28208,0490.44%+8,049
KIMBERLY-CLARK CORP(KMB)088,340+88,34008,6950.47%+8,695
NORDSON CORP(NDSN)026,153+26,15307,5440.41%+7,544
HOWMET AEROSPACE INC(HWM)025,954+25,95406,3080.34%+6,308
RESTAURANT BRANDS INTL INC(QSR)65,144131,949+66,8054,44510,6460.58%+6,201
CASEYS GEN STORES INC(CASY)07,462+7,46206,1350.33%+6,135
ROYALTY PHARMA PLC(RPRX)0121,800+121,80006,1010.33%+6,101
INSULET CORP(PODD)049,244+49,24408,4770.46%+8,477
TARGET CORP(TGT)046,010+46,01005,9700.32%+5,970
CORNING INC(GLW)035,744+35,74405,8710.32%+5,871
QNITY ELECTRONICS INC(Q)142,880124,519-18,36111,66617,5150.95%+5,849
ENCOMPASS HEALTH CORP(EHC)057,914+57,91405,7910.32%+5,791
CONSOLIDATED EDISON INC(ED)051,385+51,38505,7290.31%+5,729
GLOBALFOUNDRIES INC(GFS)0116,491+116,49107,5250.41%+7,525
ABBOTT LABORATORIES55,281135,523+80,2426,92612,3040.67%+5,378
BROOKDALE SR LIVING INC(BKD)0394,158+394,15805,6600.31%+5,660
LAM RESEARCH CORP(LRCX)020,559+20,55905,3010.29%+5,301
ROKU INC(ROKU)079,714+79,71409,2910.51%+9,291
ARISTA NETWORKS INC(ANET)80,84990,875+10,02610,59415,6950.85%+5,101
ATI INC(ATI)032,798+32,79805,0990.28%+5,099
EVERGY INC(EVRG)112,137159,320+47,1838,12913,1980.72%+5,069
COMMVAULT SYS INC(CVLT)050,350+50,35004,9790.27%+4,979
PTC INC(PTC)036,213+36,21304,9360.27%+4,936
SOUTHERN COPPER CORP(SCCO)042,878+42,87807,3620.40%+7,362
FLUTTER ENTMT PLC(FLUT)045,144+45,14404,8720.27%+4,872
ARROW ELECTRS INC027,354+27,35405,1380.28%+5,138
DARLING INGREDIENTS INC(DAR)073,263+73,26304,7060.26%+4,706
EXLSERVICE HLDGS INC(EXLS)0153,080+153,08004,8800.27%+4,880
RUSH STREET INTERACTIVE INC(RSI)0160,835+160,83504,5190.25%+4,519
AMER SPORTS INC(AS)156,890295,947+139,0575,86010,3790.56%+4,519
WEC ENERGY GROUP INC(WEC)056,206+56,20606,6290.36%+6,629
INGRAM MICRO HLDG CORP(INGM)0175,000+175,00005,3850.29%+5,385
LIBERTY GLOBAL LTD(LBTYA)0368,555+368,55504,2570.23%+4,257
HORMEL FOODS CORP(HRL)269,741492,826+223,0856,39310,5810.58%+4,188
DELTA AIR LINES INC(DAL)060,698+60,69804,1270.22%+4,127
ROSS STORES INC(ROST)017,718+17,71804,0360.22%+4,036
CHIPOTLE MEXICAN GRILL INC(CMG)0116,839+116,83903,9710.22%+3,971
COGNEX CORP(CGNX)071,209+71,20903,9530.22%+3,953
MAGNA INTL INC(MGA)0146,649+146,64909,3370.51%+9,337
OSCAR HEALTH INC(OSCR)0213,263+213,26303,9370.21%+3,937
AMERICAN EXPRESS CO(AXP)012,047+12,04703,8920.21%+3,892
TAPESTRY INC(TPR)043,467+43,46706,3040.34%+6,304
DRAFTKINGS INC NEW(DKNG)0183,533+183,53304,2800.23%+4,280
DELL TECHNOLOGIES INC(DELL)033,619+33,61907,0250.38%+7,025
PAN AMERN SILVER CORP(PAAS)0127,864+127,86406,6860.36%+6,686
SNAP INC(SNAP)0768,510+768,51004,6650.25%+4,665
XPO INC(XPO)017,161+17,16103,7780.21%+3,778
PENUMBRA INC(PEN)011,554+11,55403,7720.21%+3,772
CENTENE CORP DEL(CNC)083,602+83,60204,4890.24%+4,489
CHEMED CORP NEW(CHE)012,096+12,09605,1410.28%+5,141
CARNIVAL CORP0139,976+139,97603,7110.20%+3,711
ELI LILLY & CO(LLY)03,892+3,89203,6370.20%+3,637
ADVANCE AUTO PARTS INC(AAP)061,065+61,06503,6340.20%+3,634
MATCH GROUP INC NEW(MTCH)093,788+93,78803,5100.19%+3,510
LIBERTY MEDIA CORP DEL(FWONA)040,636+40,63603,4930.19%+3,493
H2O AMERICA(HTO)061,361+61,36103,4480.19%+3,448
KNIGHT-SWIFT TRANSN HLDGS IN(KNX)052,923+52,92303,4350.19%+3,435
SMITH A O CORP(AOS)053,763+53,76303,3250.18%+3,325
CIENA CORP(CIEN)06,295+6,29503,3210.18%+3,321
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