Fund HoldingsParalel Advisors LLC

Total Portfolio Value
$2.41B
Total Bought
$31.78M
Total Sold
$130.00M
Net Transaction
-$98.22M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
QXO INC(QXO)01,500,000+1,500,000029,1301.21%+29,130
ENTERPRISE PRODS PARTNERS L(EPD)3,650,0003,650,0000117,019138,1165.74%+21,097
CATERPILLAR INC(CAT)100,000100,000057,28770,8462.94%+13,559
CIENA CORP(CIEN)44,26844,268010,35317,1860.71%+6,833
COHEN & STEERS INFRASTRUCTUR(UTF)02,750,000+2,750,000071,1702.96%+71,170
WALMART INC(WMT)270,000270,000030,08133,5561.39%+3,475
EBAY INC.(EBAY)0650,000+650,000059,1632.46%+59,163
SMARTSTOP SELF STORAG REIT I(SMA)065,000+65,00001,9680.08%+1,968
YUM BRANDS INC(YUM)0425,000+425,000066,0792.75%+66,079
KEYSIGHT TECHNOLOGIES INC(KEYS)17,86117,86103,6295,0430.21%+1,414
PLEXUS CORP(PLXS)20,87820,87803,0694,2290.18%+1,160
IRIDIUM COMMUNICATIONS INC(IRDM)97,91997,91901,7022,7160.11%+1,014
INSTALLED BLDG PRODS INC(IBP)165,000165,000042,79943,7501.82%+950
AKAMAI TECHNOLOGIES INC(AKAM)33,23133,23102,8993,8170.16%+917
EMCOR GROUP INC(EME)7,2377,23704,4285,3430.22%+916
ENERSYS(ENS)29,21129,21104,2875,0750.21%+788
NEW YORK TIMES CO(NYT)53,93453,93403,7444,5160.19%+772
COCA COLA CONS INC(COKE)19,81619,81603,0383,8000.16%+762
JABIL INC(JBL)19,66019,66004,4835,2220.22%+739
CISCO SYS INC(CSCO)1,240,0001,240,000095,51796,2124.00%+694
HEALTHPEAK PROPERTIES INC(DOC)74,763114,763+40,0001,2021,8860.08%+683
TARGET CORP(TGT)25,63325,63302,5063,1070.13%+601
TORO CO36,77136,77102,8953,4360.14%+541
SIRIUSXM HOLDINGS INC(SIRI)118,658118,65802,3732,7390.11%+366
TRAVELERS COMPANIES INC(TRV)220,000220,000063,81364,1702.67%+356
CBOE GLOBAL MKTS INC(CBOE)11,82111,82102,9673,3230.14%+355
GLOBAL NET LEASE INC(GNL)295,500295,50002,5412,7660.11%+225
VENTAS INC(VTR)48,50048,50003,7533,9660.16%+213
AMGEN INC(AMGN)8,5858,58502,8103,0210.13%+211
WATTS WATER TECHNOLOGIES INC(WTS)13,11813,11803,6213,8080.16%+187
MCKESSON CORP(MCK)3,9753,97503,2613,4400.14%+179
BRIXMOR PPTY GROUP INC(BRX)64,20064,20001,6831,8490.08%+166
CURBLINE PPTYS CORP(CURB)60,00060,00001,3931,5470.06%+155
HOST HOTELS & RESORTS INC(HST)103,525103,52501,8351,9840.08%+148
CARDINAL HEALTH INC(CAH)19,41719,41703,9904,1030.17%+113
APPLIED INDL TECHNOLOGIES IN(AIT)11,87111,87103,0483,1500.13%+101
FTI CONSULTING INC(FCN)16,30416,30402,7852,8820.12%+97
EASTGROUP PPTYS INC(EGP)7,3957,39501,3171,3690.06%+51
SUN CMNTYS INC(SUI)16,09416,09401,9942,0270.08%+33
LAMAR ADVERTISING CO NEW(LAMR)37,16837,16804,7054,7080.20%+3
FORTIVE CORP(FTV)36,55536,55502,0182,0210.08%+3
EXTRA SPACE STORAGE INC(EXR)12,35012,270-801,6081,6090.07%+1
ARCOSA INC34,68834,68803,6883,6820.15%-6
SAFEHOLD INC(SAFE)82,80082,80001,1341,1200.05%-13
APPLE HOSPITALITY REIT INC(APLE)75,00075,00008898630.04%-25
VICI PPTYS INC(VICI)51,76351,76301,4561,4140.06%-41
LINEAGE INC(LINE)25,00025,00008758190.03%-56
INVITATION HOMES INC(INVH)20,62820,62805735130.02%-61
OWENS CORNING NEW(OC)18,73018,73002,0962,0270.08%-69
CORPAY INC(CPAY)7,6717,67102,3082,2320.09%-76
ALEXANDRIA REAL ESTATE EQ IN35,00035,00001,7131,6250.07%-88
CREDIT ACCEP CORP MICH(CACC)5,1805,18002,2972,1940.09%-104
HOME DEPOT INC(HD)7,2987,29802,5112,4000.10%-111
RALLIANT CORP(RAL)12,18412,18406205070.02%-114
MID-AMER APT CMNTYS INC(MAA)8,0008,00001,1119770.04%-134
SCIENCE APPLICATIONS INTL CO(SAIC)23,82723,82702,3982,2620.09%-137
CONAGRA BRANDS INC(CAG)100,305100,30501,7361,5770.07%-159
BOOZ ALLEN HAMILTON HLDG COR25,58025,58002,1581,9960.08%-162
EAGLE MATLS INC(EXP)12,05412,05402,4912,2840.09%-208
FIRST INDL RLTY TR INC(FR)41,26037,000-4,2602,3632,1400.09%-223
CROWN CASTLE INC(CCI)30,00030,00002,6662,4390.10%-227
CENCORA INC9,6199,61903,2493,0220.13%-227
COUSINS PPTYS INC(CUZ)72,50072,50001,8691,6360.07%-233
REXFORD INDL RLTY INC(REXR)40,00040,00001,5491,3090.05%-240
EURONET WORLDWIDE INC(EEFT)25,03625,03601,9051,6620.07%-244
VISTRA CORP(VST)22,77822,77803,6753,4240.14%-251
NVR INC(NVR)36936902,6912,4320.10%-259
CVS HEALTH CORP(CVS)39,48539,48503,1342,8360.12%-298
UNITEDHEALTH GROUP INC(UNH)5,1055,10501,6851,3810.06%-304
ESSENT GROUP LTD(ESNT)46,34746,34703,0132,7090.11%-304
ACI WORLDWIDE INC48,89748,89702,3382,0050.08%-332
FRONTDOOR INC(FTDR)69,62969,62904,0173,6810.15%-336
INSPERITY INC(NSP)29,96329,96301,1608100.03%-350
HIGHWOODS PPTYS INC(HIW)80,00080,00002,0661,7130.07%-353
ELEVANCE HEALTH INC FORMERLY(ELV)6,1506,15002,1561,8000.07%-355
NEXPOINT RESIDENTIAL TR INC(NXRT)72,08272,08202,1701,8020.07%-368
NASDAQ INC(NDAQ)35,26435,26403,4252,9940.12%-432
NIKE INC(NKE)42,14142,14102,6852,2260.09%-459
LEIDOS HOLDINGS INC(LDOS)19,82419,82403,5763,0830.13%-493
GENPACT LIMITED
SHS
53,09953,09902,4841,9780.08%-506
DROPBOX INC(DBX)100,155100,15502,7842,2760.09%-509
NUTANIX INC(NTNX)38,31738,31701,9811,4560.06%-524
BOX INC(BOX)86,68786,68702,5932,0490.09%-544
POLARIS INC(PII)65,34365,34304,1333,5610.15%-572
AUTODESK INC10,21810,21803,0252,4460.10%-578
GODADDY INC(GDDY)14,85014,85001,8431,2280.05%-615
FOX CORP(FOX)47,26447,26403,4542,7600.11%-693
TRINET GROUP INC(TNET)33,76033,76001,9961,2300.05%-766
HUMANA INC(HUM)10,11010,11002,5891,7530.07%-837
GEN DIGITAL INC(GEN)100,797100,79702,7411,8980.08%-843
QUALYS INC(QLYS)21,24321,24302,8231,8660.08%-957
PUBLIC STORAGE OPER CO(PSA)3,7000-3,7009600-960
DIGITAL RLTY TR INC(DLR)27,00017,000-10,0004,1773,0640.13%-1,114
PEGASYSTEMS INC(PEGA)76,96076,96004,5963,2750.14%-1,321
FIRST WATCH RESTAURANT GROUP900,000900,000013,5729,4320.39%-4,140
SCHWAB CHARLES CORP(SCHW)750,000750,000074,93370,4852.93%-4,447
MAPLEBEAR INC(CART)700,000700,000031,48626,2221.09%-5,264
BERKSHIRE HATHAWAY INC DEL251,000251,0000126,165120,2795.00%-5,886
PAYPAL HLDGS INC(PYPL)0540,995+540,995024,4691.02%+24,469
DRAFTKINGS INC NEW(DKNG)0600,000+600,000012,9720.54%+12,972
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