Fund HoldingsBlackBarn Capital Partners LP

Total Portfolio Value
$332.36M
Total Bought
$356.65M
Total Sold
$620.33M
Net Transaction
-$263.68M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
ISHARES INC(Put)05,250,000+5,250,0000201,548+201,548
AMERICAN AIRLINES GROUP INC(AAL)(Put)04,000,000+4,000,000042,960+42,960
VEECO INSTRS INC DEL(VECO)01,000,000+1,000,000033,86010.19%+33,860
PALANTIR TECHNOLOGIES INC(PLTR)(Put)0175,000+175,000025,599+25,599
NXP SEMICONDUCTORS N V
COM
060,000+60,000011,8123.55%+11,812
GLOBAL BUSINESS TRAVEL GROUP(GBTG)02,000,000+2,000,000011,1603.36%+11,160
COGENT COMM HOLDINGS INC(Put)0500,000+500,00009,420+9,420
MCGRAW HILL INC(MH)1,400,0002,088,492+688,49223,10028,6128.61%+5,512
NEXTERA ENERGY INC(NEE)335,000335,000026,89431,1159.36%+4,221
VIVID SEATS INC0500,000+500,00002,9550.89%+2,955
ARBUTUS BIOPHARMA CORP(ABUS)1,850,0002,500,000+650,0008,89911,2503.38%+2,352
PRIVIA HEALTH GROUP INC(PRVA)1,300,0001,585,000+285,00030,82332,6039.81%+1,780
VIKING THERAPEUTICS INC(VKTX)550,000621,450+71,45019,34920,2226.08%+873
AMNEAL PHARMACEUTICALS INC(AMRX)1,570,0001,650,000+80,00019,78220,5106.17%+728
DIVERSIFIED HEALTHCARE TR(DHC)6,530,1404,812,413-1,717,72731,67131,9549.61%+283
ROIVANT SCIENCES LTD(ROIV)3,084,3002,285,117-799,18366,92963,29819.04%-3,632
COGENT COMMUNICATIONS HLDGS650,000500,000-150,00014,0149,4202.83%-4,594
NIQ GLOBAL INTELLIGENCE PLC(NIQ)1,800,0002,074,761+274,76129,68223,5907.10%-6,092
RESMED INC(RMD)(Put)400,000400,000096,34889,792-6,556
AXCELIS TECHNOLOGIES INC96,5730-96,5737,7590-7,759
OSCAR HEALTH INC(OSCR)(Put)1,300,0000-1,300,00018,6810-18,681
ELANCO ANIMAL HEALTH INC(ELAN)(Put)1,700,0000-1,700,00038,4710-38,471
WARBY PARKER INC(WRBY)(Put)3,000,0001,000,000-2,000,00065,37021,070-44,300
SPDR S&P 500 ETF TR(SPY)(Put)1,500,000800,000-700,0001,022,880520,272-502,608
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