Fund HoldingsLeeward Investments, LLC - MA

Total Portfolio Value
$2.03B
Total Bought
$111.38M
Total Sold
$294.14M
Net Transaction
-$182.76M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
VIAVI SOLUTIONS INC(VIAV)1,605,0901,424,272-180,81828,60347,4002.34%+18,797
SIMMONS FIRST NATL CORP(SFNC)0809,473+809,473015,7440.78%+15,744
SM ENERGY COMPANY(SM)0426,525+426,525013,2990.66%+13,299
PERMIAN RESOURCES CORP(PR)1,997,0061,931,383-65,62328,01841,1772.03%+13,159
HELIOS TECHNOLOGIES INC(HLIO)0149,265+149,26509,6590.48%+9,659
SILICON LABORATORIES INC(SLAB)126,644122,592-4,05216,55225,5181.26%+8,965
TOPBUILD COR025,402+25,40208,9240.44%+8,924
REGAL REXNORD CORPORATION(RRX)232,566219,686-12,88032,63441,1382.03%+8,505
PERFORMANCE FOOD GROUP CO(PFGC)0275,068+275,068023,5621.16%+23,562
RALPH LAUREN CORP(RL)021,331+21,33107,3370.36%+7,337
MURPHY USA INC(MUSA)31,64539,805+8,16012,76919,6620.97%+6,893
CLEAN HARBORS INC(CLH)144,974140,651-4,32333,99340,3291.99%+6,335
KEYSIGHT TECHNOLOGIES INC(KEYS)98,64191,343-7,29820,04325,7931.27%+5,750
ROYAL CARIBBEAN GROUP
COM
020,039+20,03905,5140.27%+5,514
COHU INC(COHU)621,378646,133+24,75514,45919,7850.98%+5,325
KORN FERRY(KFY)0297,054+297,054018,7000.92%+18,700
DARLING INGREDIENTS INC(DAR)208,866201,850-7,0167,51912,4840.62%+4,965
CONSTELLATION BRANDS INC(STZ)30,72055,618+24,8984,2388,3430.41%+4,105
GROUP 1 AUTOMOTIVE INC(GPI)35,68354,244+18,56114,03417,9350.88%+3,901
VALVOLINE INC(VVV)0623,001+623,001020,9831.03%+20,983
SLB LIMITED(SLB)319,229308,543-10,68612,25215,8560.78%+3,604
EXPRO GROUP HOLDINGS NV1,000,687973,478-27,20913,35916,9480.84%+3,589
STANDEX INTL CORP(SXI)108,646106,543-2,10323,60727,1541.34%+3,547
AKAMAI TECHNOLOGIES INC(AKAM)148,104143,156-4,94812,92216,4410.81%+3,519
NATIONAL STORAGE AFFILIATES(NSA)0393,446+393,446014,8490.73%+14,849
ENPRO INC(NPO)0107,376+107,376026,9141.33%+26,914
SPIRE INC(SR)118,102141,025+22,9239,76712,7680.63%+3,001
COTERRA ENERGY INC328,336317,440-10,8968,64211,1550.55%+2,513
DIAMONDBACK ENERGY INC(FANG)57,55855,640-1,9188,65311,0050.54%+2,352
IDACORP INC(IDA)0162,960+162,960023,2981.15%+23,298
ENTERGY CORP NEW(ETR)0118,779+118,779013,3460.66%+13,346
ROGERS CORP(ROG)141,309137,559-3,75012,94014,7640.73%+1,825
INGEVITY CORP(NGVT)170,116165,550-4,56610,06711,7920.58%+1,725
HEXCEL CORP NEW(HXL)362,153351,421-10,73226,76328,4411.40%+1,677
CABOT CORP(CBT)230,092224,735-5,35715,25016,9250.83%+1,674
ITT INC(ITT)0106,550+106,550020,3011.00%+20,301
ENVISTA HOLDINGS CORPORATION(NVST)486,270472,142-14,12810,55711,9780.59%+1,421
WESCO INTL INC(WCC)71,45169,059-2,39217,48018,8960.93%+1,416
WABTEC(WAB)48,87447,240-1,63410,43211,8060.58%+1,374
L3HARRIS TECHNOLOGIES INC(LHX)030,597+30,597010,5600.52%+10,560
VOYA FINANCIAL INC(VOYA)248,484289,498+41,01418,51019,7790.98%+1,269
DORMAN PRODS INC(DORM)0149,648+149,648015,6170.77%+15,617
COPT DEFENSE PROPERTIES(CDP)592,336578,238-14,09816,46717,6940.87%+1,227
PACKAGING CORP AMER(PKG)051,684+51,684010,9680.54%+10,968
DTE ENERGY CO(DTB)088,550+88,550012,9480.64%+12,948
EVERGY INC(EVRG)0150,816+150,816012,3550.61%+12,355
BORGWARNER INC125,545121,339-4,2065,6576,5840.32%+927
ENVIRI CORP758,682738,532-20,15013,59614,4900.71%+894
WEBSTER FINL CORP(WBS)196,937190,342-6,59512,39513,2140.65%+818
PORTLAND GEN ELEC CO(POR)239,286232,868-6,41811,48312,2880.61%+805
CENTERPOINT ENERGY INC(CNP)233,739225,915-7,8248,9629,7500.48%+789
ARAMARK(ARMK)0278,390+278,390011,2860.56%+11,286
BALL CORP158,437153,138-5,2998,3929,0520.45%+660
GATES INDL CORP PLC
ORD SHS
01,087,544+1,087,544024,5891.21%+24,589
BELDEN INC130,453137,376+6,92315,20415,7750.78%+571
VALLEY NATL BANCORP(VLY)1,911,4651,860,458-51,00722,32622,8461.13%+521
WEC ENERGY GROUP INC(WEC)074,867+74,86708,6670.43%+8,667
AGREE RLTY CORP404,859393,073-11,78629,16229,6301.46%+468
WESTAMERICA BANCORPORATION(WABC)141,929138,180-3,7496,7887,2060.36%+418
DOVER CORP(DOV)57,15955,251-1,90811,16011,5170.57%+357
XCEL ENERGY INC(XEL)0104,036+104,03608,2650.41%+8,265
LABCORP HOLDINGS INC(LH)043,835+43,835011,6960.58%+11,696
CHEESECAKE FACTORY INC(CAKE)109,160106,249-2,9115,5105,8170.29%+307
HOST HOTELS & RESORTS INC(HST)319,624308,916-10,7085,6675,9190.29%+252
ISHARES TR056,530+56,530010,7180.53%+10,718
INTERNATIONAL FLAVORS&FRAGRA(IFF)83,66180,862-2,7995,6385,8670.29%+229
UNIVEST FINANCIAL CORPORATIO(UVSP)337,535328,464-9,07111,05111,2530.56%+202
SNAP ON INC(SNA)19,80619,150-6566,8256,9560.34%+131
CACTUS INC(WHD)268,918261,607-7,31112,28412,3920.61%+108
NATIONAL BK HLDGS CORP(NBHC)534,211519,920-14,29120,30520,3601.00%+55
INDEPENDENT BK CORP MASS(INDB)273,390266,073-7,31719,97920,0110.99%+32
CACI INTL INC(CACI)40,25639,479-77721,44921,4711.06%+23
PARKER-HANNIFIN CORP(PH)07,702+7,70206,8950.34%+6,895
INSTALLED BLDG PRODS INC(IBP)85,67983,374-2,30522,22422,1071.09%-118
INGREDION INC(INGR)0138,904+138,904015,6490.77%+15,649
LAMB WESTON HLDGS INC(LW)0130,614+130,61405,5200.27%+5,520
CTO RLTY GROWTH INC NEW367,124357,264-9,8606,7596,6060.33%-153
CITY HLDG CO(CHCO)74,04472,058-1,9868,8268,6120.42%-214
CHIMERA INVT CORP(CIM)01,099,532+1,099,532013,7990.68%+13,799
ZIMMER BIOMET HOLDINGS INC(ZBH)97,32994,088-3,2418,7528,5070.42%-244
ALLSTATE CORP(ALL)032,562+32,56206,7510.33%+6,751
BLACK HILLS CORP141,580137,775-3,8059,8289,5630.47%-266
MICROCHIP TECHNOLOGY INC.(MCHP)232,160224,409-7,75114,79314,4990.72%-294
LKQ CORP(LKQ)173,963168,172-5,7915,2544,9390.24%-314
INNOSPEC INC(IOSP)71,68769,810-1,8775,4875,0980.25%-389
SOUTHSTATE BK CORP083,005+83,00507,6800.38%+7,680
REINSURANCE GROUP AMER INC(RGA)70,71468,350-2,36414,38713,9540.69%-433
ASSOCIATED BANC-CORP744,531724,583-19,94819,17918,7380.92%-441
MGP INGREDIENTS INC NEW70,33968,497-1,8421,7091,2600.06%-450
FIRST AMERN FINL CORP(FAF)192,726187,547-5,17911,84111,3070.56%-534
ADDUS HOMECARE CORP110,443120,857+10,41411,86011,3180.56%-542
VALMONT INDS INC(VMI)58,42357,369-1,05423,50522,9231.13%-582
GLOBUS MED INC(GMED)172,641167,955-4,68615,07314,4710.71%-602
WINTRUST FINL CORP(WTFC)0168,932+168,932023,4711.16%+23,471
ENERPAC TOOL GROUP CORP(EPAC)0243,510+243,51008,8810.44%+8,881
AERCAP HOLDINGS NV(AER)61,33659,284-2,0528,8188,1330.40%-685
SILGAN HLDGS INC(SLGN)0271,586+271,586010,5380.52%+10,538
AGILENT TECHNOLOGIES INC(A)90,754101,927+11,17312,34911,6180.57%-731
OLD NATL BANCORP IND(ONB)929,926904,960-24,96620,74720,0000.99%-747
STAG INDUSTRIAL INC(STAG)450,424438,312-12,11216,55815,8060.78%-752
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