Hussman Strategic Advisors, Inc.

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$462.5M
Q ending 2026-03-31
Prior quarter
$413.7M
Q ending 2025-12-31
Change
+11.8% QoQ · +12.1% YoY
Positions
268
reported holdings

Largest positions

Top 100 of 268 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Corcept Therapeutics IncCORTShares$5.1M126K
United Nat Foods IncUNFIShares$4.7M105K
The Campbells CompanyCPBShares$4.7M210K
Apa CorporationAPAShares$4.5M105K
Etsy IncETSYShares$4.2M84K
Ani Pharmaceuticals IncANIPShares$4.0M53K
Concentrix CorpCNXCShares$4.0M147K
Sezzle IncSEZLShares$4.0M63K
Ulta Beauty IncULTAShares$3.8M7K
Power Solutions Intl IncPSIXShares$3.8M63K
Dollar Gen CorpDGShares$3.7M32K
Acadia Pharmaceuticals IncACADShares$3.7M168K
Qualys IncQLYSShares$3.7M42K
Progyny IncPGNYShares$3.6M210K
American Eagle Outfitters InAEOShares$3.5M210K
Collegium Pharmaceutical IncCOLLShares$3.5M105K
Irhythm Holdings IncIRTCShares$3.5M29K
Innoviva IncINVAShares$3.4M147K
Halozyme Therapeutics IncHALOShares$3.4M53K
Viasat IncVSATShares$3.4M74K
Qiagen NvShares$3.4M84K
Talen Energy CorpTLNShares$3.4M11K
Ubiquiti IncUIShares$3.3M4K
Solaredge Technologies IncSEDGShares$3.2M63K
Ameresco IncAMRCShares$3.2M126K
Transmedics Group IncTMDXShares$3.1M32K
Healthcare Svcs Group IncHCSGShares$3.1M168K
Restaurant Brands Intl IncQSRShares$3.1M42K
Archer Daniels Midland CoADMShares$3.1M42K
Fastly IncFSLYShares$3.1M105K
Allegion PlcShares$3.1M21K
Cirrus Logic IncCRUSShares$3.0M21K
Brookfield Infrastructure PaShares$3.0M84K
Medpace Hldgs IncMEDPShares$3.0M6K
Cvs Health CorpCVSShares$3.0M42K
Check Point Software Tech LtShares$3.0M21K
Proto Labs IncPRLBShares$3.0M53K
Incyte CorpINCYShares$3.0M32K
Sally Beauty Hldgs IncSBHShares$2.9M210K
Fluence Energy IncFLNCShares$2.9M210K
Five Below IncFIVEShares$2.9M13K
Visteon CorpVCShares$2.9M32K
Madden Steven LtdSHOOShares$2.8M84K
Epam Sys IncEPAMShares$2.8M21K
Lyft IncLYFTShares$2.8M210K
Tootsie Roll Inds IncTRShares$2.8M65K
Neurocrine Biosciences IncNBIXShares$2.8M21K
Shoals Technologies Group InSHLSShares$2.8M420K
Stoke Therapeutics IncSTOKShares$2.7M84K
Dlocal LtdShares$2.7M210K
National Vision Hldgs IncEYEShares$2.7M105K
Cheniere Energy Partners L PCQPShares$2.7M42K
Kohls CorpKSSShares$2.7M210K
Ul Solutions IncULSShares$2.7M32K
Maximus IncMMSShares$2.7M42K
Signet Jewelers LimitedShares$2.7M32K
Urban Outfitters IncURBNShares$2.7M42K
Verizon Communications IncVZShares$2.6M53K
Par Pac Holdings IncPARRShares$2.6M42K
Aptiv PlcShares$2.6M38K
Wingstop IncWINGShares$2.6M17K
Mongodb IncMDBShares$2.6M11K
Adobe IncADBEShares$2.6M11K
Clear Secure IncYOUShares$2.5M53K
Gap IncGAPShares$2.5M105K
Essential Utils IncWTRGShares$2.5M63K
Septerna IncSEPNShares$2.5M105K
Cal Maine Foods IncCALMShares$2.5M32K
Acm Resh IncACMRShares$2.5M63K
Amprius Technologies IncAMPXShares$2.5M147K
Ingram Micro Hldg CorpINGMShares$2.4M105K
Flywire CorporationFLYWShares$2.4M210K
Bread Financial Holdings IncBFHShares$2.4M32K
Harmony Biosciences Hldgs InHRMYShares$2.4M84K
General Mills IncGISShares$2.3M63K
Savers Value Vlg IncSVVShares$2.3M315K
Uipath IncPATHShares$2.3M210K
Canadian Solar IncCSIQShares$2.3M168K
Phibro Animal Health CorpPAHCShares$2.3M42K
Yeti Hldgs IncYETIShares$2.3M63K
Upwork IncUPWKShares$2.3M210K
Acadian Asset Management IncAAMIShares$2.3M42K
Dominos Pizza IncDPZShares$2.3M6K
American Airlines Group IncAALShares$2.3M210K
Sysco CorpSYYShares$2.2M32K
Advance Auto Parts IncAAPShares$2.2M42K
Ziff Davis IncZDShares$2.2M53K
Slb LimitedSLBShares$2.2M42K
Synchrony FinancialSYFShares$2.1M32K
Mosaic CoMOSShares$2.1M84K
Wynn Resorts LtdWYNNShares$2.1M21K
Buckle IncBKEShares$2.1M42K
Devon Energy Corp NewDVNShares$2.1M42K
Pagseguro Digital LtdShares$2.1M210K
Dole PlcShares$2.1M147K
Brookfield Renewable CorpBEPCShares$2.1M53K
Catalyst Pharmaceuticals IncShares$2.1M84K
Diamondback Energy IncFANGShares$2.1M11K
First Solar IncFSLRShares$2.1M11K
Noble Corp PlcShares$2.1M42K

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.