Fund HoldingsFIRST MANHATTAN CO. LLC.

Total Portfolio Value
$36.06B
Total Bought
$2.61B
Total Sold
$3.41B
Net Transaction
-$799.42M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
TEXAS PACIFIC LAND CORPORATI(TPL)01,062,769+1,062,7690504,3471.40%+504,347
AMAZON COM INC(AMZN)2,133,1453,255,105+1,121,960492,373677,9411.88%+185,568
BOOKING HOLDINGS INC(BKNG)041,171+41,1710173,3430.48%+173,343
ASML HLDG NV
N Y REGISTRY SHS
792,284754,352-37,932847,633996,3712.76%+148,738
LANDBRIDGE COMPANY LLC(LB)6,861,9397,057,228+195,289338,714487,3021.35%+148,588
INTEL CORP(INTC)2,943,4845,691,060+2,747,576108,615251,1460.70%+142,532
BOSTON SCIENTIFIC CORP(BSX)1,881,9374,911,217+3,029,280179,443308,1790.85%+128,736
S&P GLOBAL INC(SPGI)634,8371,046,651+411,814331,759445,1821.23%+113,423
HONEYWELL INTL INC(HON)01,980,789+1,980,7890447,7181.24%+447,718
NVIDIA CORPORATION(NVDA)2,032,6462,542,978+510,332379,088443,5171.23%+64,428
GE VERNOVA INC(GEV)276,244273,360-2,884180,545238,7440.66%+58,199
LINDE PLC(LIN)0712,599+712,5990353,2780.98%+353,278
JOHNSON & JOHNSON(JNJ)686,473709,890+23,417142,066173,5260.48%+31,460
APPLIED MATLS INC1,885,4591,505,425-380,034484,544514,5391.43%+29,995
VERTIV HOLDINGS CO(VRT)678,179552,093-126,086109,872138,3430.38%+28,472
ISHARES TR40,23068,461+28,23127,55544,7190.12%+17,164
VISA INC(V)1,299,4511,548,816+249,365455,730468,1141.30%+12,384
BALL CORP2,033,0122,020,895-12,117107,689119,4550.33%+11,766
MASTERCARD INCORPORATED(MA)0100,323+100,323050,1270.14%+50,127
FRANCO NEV CORP(FNV)044,596+44,596011,0170.03%+11,017
DOLLAR GEN CORP(DG)092,623+92,623010,9970.03%+10,997
MESABI TR0310,060+310,06009,7670.03%+9,767
WHEATON PRECIOUS METALS CORP(WPM)069,783+69,78309,1560.03%+9,156
CANADIAN NAT RES LTD MED TER(CNQ)01,158,981+1,158,981056,9910.16%+56,991
CONOCOPHILLIPS(COP)0167,679+167,679022,1340.06%+22,134
POOL CORP(POOL)0285,024+285,024057,6690.16%+57,669
AUTOLIV INC(ALV)079,283+79,28308,3370.02%+8,337
MARRIOTT INTL INC NEW(MAR)540,248537,617-2,631167,607175,8380.49%+8,232
SL GREEN RLTY CORP(SLG)0218,785+218,78508,2170.02%+8,217
CARLISLE COS INC(CSL)438,491444,266+5,775140,256148,2160.41%+7,960
EXXON MOBIL CORP0171,263+171,263029,0570.08%+29,057
CHENIERE ENERGY INC(LNG)025,770+25,77007,3120.02%+7,312
COTERRA ENERGY INC0229,162+229,16208,0530.02%+8,053
CHORD ENERGY CORPORATION(CHRD)044,286+44,28606,2970.02%+6,297
ISHARES TR077,608+77,60806,2130.02%+6,213
ISHARES TR058,705+58,70505,9090.02%+5,909
DIAMONDBACK ENERGY INC(FANG)029,675+29,67505,8690.02%+5,869
UBER TECHNOLOGIES INC(UBER)483,364630,380+147,01639,49645,3430.13%+5,848
ORGANON & CO(OGN)0950,172+950,17205,6920.02%+5,692
ISHARES TR
TRS FLT RT BD
0109,835+109,83505,5610.02%+5,561
J P MORGAN EXCHANGE TRADED F
ULTRA SHRT ETF
0109,284+109,28405,5310.02%+5,531
WATERBRIDGE INFRASTRUCTURE L(WBI)0803,720+803,720021,5320.06%+21,532
INVESCO EXCHANGE TRADED FD T
S&P500 EQL WGT
0407,463+407,463078,2000.22%+78,200
ISHARES TR
CORE MSCI EAFE
130,366183,577+53,21111,66316,6190.05%+4,957
DOUGLAS EMMETT INC(DEI)02,254,274+2,254,274021,6630.06%+21,663
VANGUARD INDEX FDS138,832156,396+17,56440,29244,9140.12%+4,622
SHELL PLC(SHEL)057,667+57,66705,3630.01%+5,363
TARGET CORP(TGT)193,973193,628-34518,96123,4680.07%+4,507
PHILLIPS 66(PSX)55,49463,700+8,2067,16111,6050.03%+4,444
GMO ETF TRUST
US QUALITY ETF
200,937326,565+125,6287,72811,8350.03%+4,107
RANGE RES CORP(RRC)0402,557+402,557018,1880.05%+18,188
TAIWAN SEMICONDUCTOR MANUFAC(TSM)53,06158,232+5,17116,16219,7340.05%+3,572
FORRESTER RESH INC0750,000+750,00004,2450.01%+4,245
EOG RES INC(EOG)036,708+36,70805,3070.01%+5,307
SERVICE CORP INTL(SCI)01,162,964+1,162,964095,9560.27%+95,956
LOAR HOLDINGS INC(LOAR)072,160+72,16004,1340.01%+4,134
COSTCO WHOLESALE CORPORATION(COST)020,846+20,846020,7720.06%+20,772
METTLER TOLEDO INTERNATIONAL(MTD)02,291+2,29102,8890.01%+2,889
HCA HEALTHCARE INC(HCA)28,78334,498+5,71513,43816,3260.05%+2,888
ZOETIS INC(ZTS)041,100+41,10004,8580.01%+4,858
ISHARES TR101,086101,272+18630,44233,2840.09%+2,842
BRISTOL-MYERS SQUIBB CO(BMY)0124,970+124,97007,5790.02%+7,579
CHEVRON CORPORATION(CVX)051,892+51,892010,7360.03%+10,736
LYFT INC(LYFT)0200,000+200,00002,6600.01%+2,660
AMALGAMATED FINANCIAL CORP407,025402,775-4,25013,03715,6560.04%+2,619
NEXTERA ENERGY INC(NEE)0274,207+274,207025,4680.07%+25,468
SPDR INDEX SHS FDS
ST STR PO EX ETF
055,113+55,11302,5160.01%+2,516
VANGUARD SCOTTSDALE FDS
INT-TERM CORP
080,497+80,49706,6610.02%+6,661
MID PENN BANCORP INC(MPB)076,806+76,80602,4700.01%+2,470
PHILIP MORRIS INTL INC(PM)1,814,6411,775,569-39,072293,261295,7080.82%+2,447
VANGUARD TAX-MANAGED FDS0294,591+294,591018,8770.05%+18,877
CIENA CORP(CIEN)46,14133,819-12,32210,79113,1300.04%+2,339
AMRIZE LTD(AMRZ)4,036,7043,937,879-98,825218,305220,6000.61%+2,295
MOBILEYE GLOBAL INC(MBLY)0326,324+326,32402,2420.01%+2,242
ENTERPRISE PRODS PARTNERS L(EPD)0397,204+397,204015,0300.04%+15,030
MERCK & CO INC(MRK)156,577154,467-2,11016,61318,7110.05%+2,099
VANGUARD INDEX FDS089,427+89,427023,4230.06%+23,423
ALAMOS GOLD INC0182,625+182,62508,1000.02%+8,100
ISHARES TR
IBDS DEC28 ETF
081,462+81,46202,0630.01%+2,063
CATERPILLAR INC(CAT)05,968+5,96804,2280.01%+4,228
ROSS STORES INC(ROST)25,98928,900+2,9114,6826,2610.02%+1,579
AMGEN INC(AMGN)92,93390,909-2,02430,41831,9860.09%+1,568
NEWMONT CORP(NEM)123,342128,053+4,71112,31613,8620.04%+1,546
ISHARES TR018,485+18,48501,5260.00%+1,526
TJX COS INC NEW(TJX)46,55154,140+7,5897,1518,6460.02%+1,496
QXO INC(QXO)1,578,0551,644,067+66,01230,44131,9280.09%+1,487
PETROLEO BRASILEIRO S A(PBR)0168,618+168,61803,4990.01%+3,499
ALLSTATE CORP(ALL)014,124+14,12402,9440.01%+2,944
NOVARTIS AG(NVS)050,553+50,55307,7220.02%+7,722
WILLIAMS COS INC(WMB)093,939+93,93906,8370.02%+6,837
BRIDGER AEROSPACE GRP HLDGS5,513,5555,763,555+250,00010,09011,4120.03%+1,322
MARATHON PETE CORP(MPC)017,483+17,48304,2690.01%+4,269
VANGUARD WHITEHALL FDS0184,342+184,342027,3010.08%+27,301
KLA CORP(KLAC)04,383+4,38306,4540.02%+6,454
ICON PLC(ICLR)010,055+10,05501,1130.00%+1,113
SUNBELT RENTALS HOLDINGS INC(SUNB)016,400+16,40001,0670.00%+1,067
VANGUARD INTL EQUITY INDEX F073,727+73,72707,2050.02%+7,205
MICRON TECHNOLOGY INC(MU)011,876+11,87604,0140.01%+4,014
NN INC03,336,800+3,336,80004,8380.01%+4,838
SNAP ON INC(SNA)076,461+76,461027,7720.08%+27,772
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