Fund HoldingsPertento Partners LLP

Total Portfolio Value
$942.42M
Total Bought
$530.46M
Total Sold
$130.20M
Net Transaction
+$400.26M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
BERKSHIRE HATHAWAY INC(Put)307,400633,900+326,500154,515303,765+149,250
AIRBNB INC(Put)0438,900+438,900055,424+55,424
ASTRONICS CORP0815,333+815,333054,4075.77%+54,407
US FOODS HLDG CORP(USFD)1,677,4201,853,508+176,088126,343170,91218.14%+44,569
INVESCO EXCH TRADED FD TR II(Put)
SR LN ETF
02,005,700+2,005,700040,936+40,936
IES HLDGS INC(IESC)209,351231,239+21,88881,442110,17811.69%+28,737
KYIVSTAR GROUP LTD(KYIV)1,807,1105,098,224+3,291,11423,45651,5945.47%+28,138
PRIMO BRANDS CORPORATION(PRMB)4,532,0365,300,018+767,98274,09999,79910.59%+25,701
STATE STR SPDR S&P 500 ETF T(SPY)(Put)037,900+37,900024,648+24,648
PRICESMART INC(PSMT)488,387524,656+36,26959,91078,9618.38%+19,050
ON HLDG AG(ONON)0312,046+312,046010,6161.13%+10,616
NB BANCORP INC(NBBK)2,343,7762,206,666-137,11046,45446,4944.93%+41
ISHARES TR
MSCI INDIA ETF
58,41967,405+8,9863,1583,1450.33%-13
MASTERBRAND INC(MBC)3,879,9774,964,821+1,084,84442,83541,2584.38%-1,577
PATRIA INVESTMENTS LIMITED
COM CL A
4,483,2995,206,247+722,94871,24065,5996.96%-5,641
COMPASS INC(COMP)4,166,2934,894,860+728,56744,03835,7813.80%-8,256
IDAHO STRATEGIC RESOURCES212,7910-212,7918,5750-8,575
SABLE OFFSHORE CORP1,107,9010-1,107,9019,9930-9,993
CELLEBRITE DI LTD(CLBT)5,959,3246,662,654+703,330107,44791,8119.74%-15,635
NUTEX HEALTH INC(NUTX)324,422373,970+49,54853,40635,5423.77%-17,864
NETGEAR INC970,2770-970,27723,8010-23,801
ENVIRI CORP1,527,8450-1,527,84527,3790-27,379
SILICON MOTION TECHNOLOGY CO(SIMO)1,151,411412,536-738,875106,73646,3244.92%-60,412
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