Fund Holdings — BlackBarn Capital Partners LP

Total Portfolio Value
$402.18M
Total Bought
$105.48M
Total Sold
$69.57M
Net Transaction
+$35.91M
Filing Period:
Securities
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SharesValue ($K)
Q1 2026
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Q2 2026
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Change
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Q1 2026
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Q2 2026
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Weight (%)
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Change
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UNITEDHEALTH GROUP INC(UNH)065,000+65,000027,0166.72%+27,016
VENTURE GLOBAL INC(VG)01,750,000+1,750,000019,4784.84%+19,478
AZUL S A01,684,188+1,684,188015,1413.76%+15,141
NXP SEMICONDUCTORS N V
COM
60,00090,000+30,00011,81225,2936.29%+13,481
OCCIDENTAL PETE CORP(OXY)0250,000+250,000012,1433.02%+12,143
CALIFORNIA RES CORP(CRC)0175,000+175,00009,2522.30%+9,252
PRIVIA HEALTH GROUP INC(PRVA)1,585,0001,585,000032,60340,78210.14%+8,179
ROIVANT SCIENCES LTD(ROIV)2,285,1172,000,000-285,11763,29870,78017.60%+7,482
DIVERSIFIED HEALTHCARE TR(DHC)4,812,4134,075,000-737,41331,95437,8989.42%+5,943
NIQ GLOBAL INTELLIGENCE PLC(NIQ)2,074,7612,903,862+829,10123,59027,1516.75%+3,561
VIKING THERAPEUTICS INC(VKTX)621,450600,000-21,45020,22223,4065.82%+3,184
AMNEAL PHARMACEUTICALS INC(AMRX)1,650,0001,300,000-350,00020,51022,5035.60%+1,994
ARBUTUS BIOPHARMA CORP(ABUS)2,500,0002,500,000011,25012,0002.98%+750
VIVID SEATS INC(SEAT)500,000500,00002,9553,2600.81%+305
NEXTERA ENERGY INC(NEE)335,000335,000031,11529,4037.31%-1,712
MCGRAW HILL INC(MH)2,088,4922,450,000+361,50828,61223,2025.77%-5,411
COGENT COMMUNICATIONS HLDGS(CCOI)500,000250,000-250,0009,4203,4700.86%-5,950
GLOBAL BUSINESS TRAVEL GROUP(GBTG)2,000,0000-2,000,00011,1600—-11,160
VEECO INSTRS INC DEL(VECO)1,000,0000-1,000,00033,8600—-33,860
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BlackBarn Capital Partners LP — 13F Holdings — Q2 2026 | TickerTrail