Fund HoldingsINFINITUM ASSET MANAGEMENT, LLC

Total Portfolio Value
$799.11M
Total Bought
$220.33M
Total Sold
$62.46M
Net Transaction
+$157.87M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
VERADERMICS INC(MANE)0731,149+731,149046,1725.78%+46,172
APPLOVIN CORP(APP)0100,000+100,000039,8004.98%+39,800
SEA LTD(SE)1,006,5002,006,500+1,000,000128,399166,15820.79%+37,759
UNITY BANCORP INC(U)1,400,0004,250,000+2,850,00061,83893,24511.67%+31,407
REDDIT INC(RDDT)0125,000+125,000016,8312.11%+16,831
ARRIVENT BIOPHARMA INC(AVBP)4,123,9234,148,923+25,00082,97395,71611.98%+12,742
COREWEAVE INC(CRWV)0150,000+150,000011,6211.45%+11,621
WIX COM LTD
SHS
0100,000+100,00009,0071.13%+9,007
TAIWAN SEMICONDUCTOR MANUFAC(TSM)175,000175,000053,18159,1417.40%+5,961
TRIP COM GROUP LTD(TRIP)0380,500+380,50004,0560.51%+4,056
MANCHESTER UTD PLC NEW
ORD CL A
192,000370,000+178,0003,0576,2230.78%+3,167
GTLB 09/18/2026 CALL 22.5(Call)
CALL
04,300+4,30001,634+1,634
META PLATFORMS INC(META)4,0004,00002,6402,2890.29%-352
DKNG 01/16/2026 CALL 35(DKNG)500,0000-500,0004500-450
SYNOPSYS INC(SNPS)10,00010,00004,6973,9650.50%-732
BENITEC BIOPHARMA INC898,871923,006+24,13512,1089,8301.23%-2,278
NVIDIA CORPORATION(NVDA)200,000200,000037,30034,8804.36%-2,420
ARCHER AVIATION INC(ACHR)1,112,1871,112,18708,3645,7500.72%-2,614
AMAZON COM INC(AMZN)125,000125,000028,85326,0343.26%-2,819
GITLAB INC(GTLB)1,400,0002,250,000+850,00052,54248,6906.09%-3,852
TripAdvisor Inc(TRIP)380,5000-380,5005,5400-5,540
ALPHABET INC(GOOG)100,00085,010-14,99031,38024,3863.05%-6,994
FIGURE TECHNOLOGY SOLUTIO(FGRS)1,325,0001,250,000-75,00054,11342,4385.31%-11,675
BIOHAVEN LTD(BHVN)6,250,0006,250,000070,56352,8756.62%-17,687
Confluent Inc1,250,0000-1,250,00037,8000-37,800
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