Fund HoldingsCAXTON ASSOCIATES LLP

Total Portfolio Value
$5.33B
Total Bought
$2.48B
Total Sold
$1.66B
Net Transaction
+$823.04M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
APPLE INC(AAPL)517,5981,343,920+826,322131,361388,8777.29%+257,515
SELECT SECTOR SPDR TR
ST STR ENERG ETF
04,432,763+4,432,7630235,4244.42%+235,424
NORFOLK SOUTHN CORP(NSC)338,1261,043,375+705,24997,042328,2356.16%+231,193
BP PLC(BP)05,840,899+5,840,8990215,8214.05%+215,821
ALPHABET INC(GOOG)0375,359+375,3590134,1422.52%+134,142
AMAZON COM INC(AMZN)01,348,189+1,348,1890321,3276.03%+321,327
BANK OF AMER CORP02,020,979+2,020,9790115,1552.16%+115,155
MP MATERIALS CORP(MP)01,991,899+1,991,8990111,5662.09%+111,566
LAM RESEARCH CORP(LRCX)0236,500+236,5000102,4831.92%+102,483
SANDISK CORP(SNDK)038,288+38,288087,0571.63%+87,057
WARNER BROS DISCOVERY INC(WBD)16,390,76219,423,068+3,032,306450,090517,8199.71%+67,729
CIENA CORP(CIEN)0117,924+117,924057,8491.08%+57,849
TOPBUILD COR0137,737+137,737048,8320.92%+48,832
TEXAS INSTRS INC(TXN)0121,345+121,345036,1690.68%+36,169
ON SEMICONDUCTOR CORP(ON)0325,000+325,000030,7260.58%+30,726
ADVANCED MICRO DEVICES INC(AMD)0458,936+458,9360266,6015.00%+266,601
MARATHON PETE CORP(MPC)050,141+50,141012,8200.24%+12,820
MICRON TECHNOLOGY INC(MU)014,481+14,481016,7150.31%+16,715
GLOBALSTAR INC(GSAT)0132,783+132,783010,7940.20%+10,794
TAKE-TWO INTERACTIVE SOFTWAR(TTWO)047,641+47,641011,9090.22%+11,909
HF SINCLAIR CORP(DINO)0215,815+215,815015,0320.28%+15,032
TARGA RES CORP(TRGP)036,626+36,62609,8210.18%+9,821
KINETIK HOLDINGS INC(KNTK)0193,197+193,19709,3390.18%+9,339
ANTERO MIDSTREAM CORP(AM)0394,955+394,95508,9850.17%+8,985
PROGYNY INC0293,287+293,28708,4550.16%+8,455
APPLIED MATLS INC012,959+12,95909,3690.18%+9,369
NEWELL BRANDS INC(NWL)01,226,340+1,226,34007,5300.14%+7,530
TRACTOR SUPPLY CO(TSCO)0226,780+226,78007,1690.13%+7,169
CENTENE CORP DEL(CNC)0111,446+111,44607,1540.13%+7,154
CLOVER HEALTH INVESTMENTS CO(CLOV)01,216,631+1,216,63106,3750.12%+6,375
KODIAK GAS SVCS INC(KGS)095,288+95,28807,1590.13%+7,159
LULULEMON ATHLETICA INC(LULU)057,287+57,28706,5410.12%+6,541
DAVE INC(DAVE)014,145+14,14505,2700.10%+5,270
WEBSTER FINL CORP(WBS)680,675687,006+6,33147,25252,5010.98%+5,249
MCDONALDS CORP(MCD)019,653+19,65305,3120.10%+5,312
UNITEDHEALTH GROUP INC(UNH)014,512+14,51206,0320.11%+6,032
FORTINET INC(FTNT)049,858+49,85807,6590.14%+7,659
WERNER ENTERPRISES INC(WERN)76,427165,928+89,5012,2487,2360.14%+4,988
AMERICAN AIRLINES GROUP INC(AAL)0274,049+274,04904,9520.09%+4,952
UNITED AIRLS HLDGS INC(UAL)036,072+36,07204,9050.09%+4,905
ALIGNMENT HEALTHCARE INC(ALHC)0199,957+199,95704,7610.09%+4,761
VANECK ETF TRUST(Put)
GOLD MINERS ETF
062,500+62,50004,716+4,716
LEIDOS HOLDINGS INC(LDOS)045,412+45,41204,6760.09%+4,676
ZILLOW GROUP INC(Z)0199,310+199,31006,2520.12%+6,252
SALESFORCE INC(CRM)030,011+30,01104,7020.09%+4,702
BOISE CASCADE CO DEL(BCC)071,169+71,16905,5250.10%+5,525
ELEVANCE HEALTH INC FORMERLY(ELV)011,047+11,04704,2720.08%+4,272
KNIGHT-SWIFT TRANSN HLDGS IN(KNX)059,208+59,20804,6110.09%+4,611
PRUDENTIAL FINL INC(PFH)057,739+57,73906,2320.12%+6,232
VERTIV HOLDINGS CO(VRT)013,257+13,25704,4390.08%+4,439
F5 INC(FFIV)016,006+16,00606,6580.12%+6,658
BIO RAD LABS INC013,875+13,87504,0740.08%+4,074
KINDER MORGAN INC DEL(KMI)0126,324+126,32404,0390.08%+4,039
CROCS INC(CROX)032,841+32,84103,9620.07%+3,962
HILTON GRAND VACATIONS INC(HGV)079,576+79,57604,1670.08%+4,167
MANPOWERGROUP INC WIS(MAN)0116,337+116,33703,9290.07%+3,929
HARLEY DAVIDSON INC(HOG)0197,826+197,82604,8390.09%+4,839
PBF ENERGY INC(PBF)0104,918+104,91804,7760.09%+4,776
SNOWFLAKE INC(SNOW)016,320+16,32004,1530.08%+4,153
WORLD KINECT CORPORATION(WKC)0138,902+138,90204,5750.09%+4,575
BREAD FINANCIAL HOLDINGS INC032,797+32,79703,5540.07%+3,554
ARCHROCK INC(AROC)0147,931+147,93106,0220.11%+6,022
OLD DOMINION FREIGHT LINE IN(ODFL)016,372+16,37203,5460.07%+3,546
DANAHER CORP DEL(DHR)024,074+24,07404,5860.09%+4,586
ISHARES INC(Call)0100,000+100,00003,450+3,450
VERISK ANALYTICS INC(VRSK)025,233+25,23304,5300.08%+4,530
HEWLETT PACKARD ENTERPRISE C(HPE)070,680+70,68003,1880.06%+3,188
GENERAC HLDGS INC(GNRC)010,620+10,62003,1100.06%+3,110
BRIGHTSPRING HEALTH SVCS INC(BTSG)049,390+49,39003,4440.06%+3,444
GLOBE LIFE INC016,820+16,82003,0050.06%+3,005
PINTEREST INC(PINS)0141,872+141,87202,9840.06%+2,984
LIQUIDIA CORPORATION(LQDA)092,656+92,65607,3870.14%+7,387
COMFORT SYS USA INC(FIX)01,580+1,58003,1310.06%+3,131
LOCKHEED MARTIN CORP(LMT)05,725+5,72502,9170.05%+2,917
WESTERN DIGITAL CORP(WDC)04,826+4,82603,0820.06%+3,082
MOLINA HEALTHCARE INC(MOH)012,497+12,49702,8580.05%+2,858
L3HARRIS TECHNOLOGIES INC(LHX)09,776+9,77602,8410.05%+2,841
LITHIA MTRS INC(LAD)012,560+12,56003,6490.07%+3,649
MATTEL INC(MAT)0200,681+200,68102,7850.05%+2,785
COREBRIDGE FINL INC(CRBD)0143,899+143,89904,1200.08%+4,120
ARBOR REALTY TRUST INC0872,985+872,98504,7320.09%+4,732
EPAM SYS INC(EPAM)034,183+34,18302,7120.05%+2,712
REGENCY CTRS CORP(REG)055,771+55,77104,4470.08%+4,447
ARGAN INC03,310+3,31002,6430.05%+2,643
PARK HOTELS & RESORTS INC(PK)0416,250+416,25005,9320.11%+5,932
NOV INC(NOV)0158,388+158,38802,9380.06%+2,938
SIRIUSXM HOLDINGS INC(SIRI)085,903+85,90302,5380.05%+2,538
HUMANA INC(HUM)08,720+8,72003,4640.06%+3,464
BLOOM ENERGY CORP014,817+14,81704,4850.08%+4,485
XPO INC(XPO)011,848+11,84802,4320.05%+2,432
KENVUE INC(KVUE)3,343,1013,143,101-200,00057,63560,0651.13%+2,430
LANTHEUS HLDGS INC(LNTH)021,854+21,85402,4240.05%+2,424
THE TRADE DESK INC(TTD)0380,269+380,26906,8750.13%+6,875
LENNAR CORP(LEN)45,58969,598+24,0093,9596,2980.12%+2,339
ZOETIS INC(ZTS)48,904112,856+63,9525,7818,1100.15%+2,329
RYDER SYS INC(R)014,173+14,17303,7380.07%+3,738
NIKE INC(NKE)062,160+62,16002,5520.05%+2,552
PENGUIN SOLUTIONS INC(PENG)030,310+30,31002,3040.04%+2,304
BOSTON BEER INC(SAM)012,900+12,90002,2840.04%+2,284
AMPHENOL CORP43,43543,974+5395,4887,7530.15%+2,265
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