Fund HoldingsCARRONADE CAPITAL MANAGEMENT, LP

Total Portfolio Value
$1.38B
Total Bought
$1.54B
Total Sold
$1.19B
Net Transaction
+$350.05M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
STATE STR SPDR S&P 500 ETF T(SPY)(Put)7,125,0009,075,000+1,950,0004,858,6805,901,836+1,043,156
VISTANCE NETWORKS INC(VISN)1,546,9237,646,722+6,099,79928,046139,17010.09%+111,124
ACADIA HEALTHCARE COMPANY IN(ACHC)02,337,236+2,337,236054,6683.96%+54,668
VIASAT INC(VSAT)2,974,8013,229,296+254,495102,512147,90210.72%+45,390
BROOKDALE SR LIVING INC(BKD)7,349,8748,586,874+1,237,00079,305117,4688.52%+38,163
ACADIA HEALTHCARE COMPANY IN(ACHC)(Put)01,500,000+1,500,000035,085+35,085
VIASAT INC(VSAT)(Call)1,736,7002,039,100+302,40059,84793,391+33,544
CENTURI HOLDINGS INC(CTRI)3,988,6644,563,312+574,648100,714133,2949.66%+32,580
COMCAST CORP NEW(CCZ)(Call)6,000,0006,985,200+985,200168,011200,545+32,534
TELEPHONE & DATA SYS INC(TDS)4,203,5944,623,934+420,340172,347194,66814.11%+22,321
VALARIS LTD(VAL)687,2601,006,319+319,0591,21016,0911.17%+14,881
SPHERE ENTERTAINMENT CO(SPHR)21,150,00021,384,000+234,00058,36171,9045.21%+13,543
DIVERSIFIED HEALTHCARE TR(DHC)4,763,5375,268,435+504,89823,10334,9822.54%+11,879
JETBLUE AIRWAYS CORP(JBLU)(Call)02,433,500+2,433,500010,756+10,756
ECHOSTAR CORP(ECHO)24,638,49625,538,496+900,00082,50591,9056.66%+9,400
CENTURI HOLDINGS INC(CTRI)(Call)0200,000+200,00005,842+5,842
SPHERE ENTERTAINMENT CO(SPHR)045,695+45,69505,3650.39%+5,365
COMMUNITY HEALTH SYS INC NEW325,0001,321,923+996,9231,0143,8860.28%+2,872
BROOKDALE SR LIVING INC(BKD)2,000,0002,000,00002,6293,4290.25%+800
CORE SCIENTIFIC INC NEW(CORZ)100,000101,103+1,1031,4561,5130.11%+57
OPTIMUM COMMUNICATIONS INC6,015,6826,573,682+558,0009,9268,5460.62%-1,380
ESSEX PPTY TR INC(ESS)22,49817,705-4,7935,8874,2850.31%-1,602
ECHOSTAR CORP(ECHO)643,915583,085-60,83069,99468,2624.95%-1,732
MID-AMER APT CMNTYS INC(MAA)44,26834,837-9,4316,1494,2540.31%-1,895
EQUITY RESIDENTIAL(EQR)156,378123,062-33,3169,8587,2790.53%-2,579
UDR INC(UDR)264,595208,225-56,3709,7057,0340.51%-2,671
AVALONBAY CMNTYS INC52,32841,180-11,1489,4886,7270.49%-2,761
CAMDEN PPTY TR(CPT)98,34477,393-20,95110,8267,5580.55%-3,268
CAESARS ENTERTAINMENT INC NE(CZR)257,1600-257,1606,0150-6,015
WW INTL INC457,835456,720-1,11513,3766,2750.45%-7,101
TALEN ENERGY CORP(TLN)577,239644,484+67,245216,372205,73914.92%-10,633
CANNAE HLDGS INC3,262,6483,262,648051,32137,0962.69%-14,225
KOHLS CORP(KSS)(Put)750,0000-750,00015,3080-15,308
GEO GROUP INC NEW(GEO)992,9310-992,93116,0060-16,006
ECHOSTAR CORP(ECHO)(Call)400,000214,700-185,30043,48025,135-18,345
ISHARES TR(Put)11,500,0000-11,500,0001,105,8400-1,105,840
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