Seven Grand Managers, Llc

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

Reported value
$1.50B
Q ending 2026-03-31
Prior quarter
$1.31B
Q ending 2025-12-31
Change
+14.0% QoQ · +249.4% YoY
Positions
168
reported holdings

Largest positions

Top 100 of 168 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
Medline IncMDLNShares$111.3M2.5M
L3Harris Technologies IncLHXShares$94.9M275K
Echostar CorpECHOShares$81.9M700K
Tesla IncTSLAShares$66.9M180K
Diamondback Energy IncFANGShares$59.3M300K
Lam Research CorpLRCXShares$56.4M264K
Applied Matls IncAMATShares$51.3M150K
Itt IncITTShares$47.6M250K
Viper Energy IncVNOMShares$37.6M800K
Legence CorpLGNShares$33.9M600K
Sandisk CorpSNDKShares$31.8M50K
Microsoft CorpMSFTShares$26.3M71K
Nrg Energy IncNRGShares$25.6M175K
Brightspring Health Svcs IncBTSGShares$25.6M600K
Galaxy Digital Inc.GLXYShares$23.1M1.3M
Miami Intl Hldgs IncMIAXShares$21.4M550K
Nasdaq IncNDAQShares$21.2M250K
Ul Solutions IncULSShares$17.1M200K
Vse CorpVSECShares$16.6M90K
Standardaero IncSAROShares$16.5M638K
Kodiak Gas Svcs IncKGSShares$14.6M250K
Joby Aviation IncShares$14.5M1.8M
Aerovironment IncAVAVShares$13.7M75K
Andersen Group IncANDGShares$13.6M500K
Amer Sports IncShares$13.2M400K
Restaurant Brands Intl IncQSRShares$12.9M175K
Circle Internet Group IncCRCLShares$11.9M125K
Vista Energy S.A.B. De C.V.VISTShares$11.3M150K
Amkor Technology IncAMKRShares$11.3M250K
Globalfoundries IncShares$11.1M250K
Palantir Technologies IncPLTRShares$10.4M71K
V2X IncVVXShares$10.3M150K
Wp Carey IncWPCShares$10.2M150K
Latam Airlines Group SaLTMShares$9.9M200K
Nektar TherapeuticsNKTRShares$9.0M125K
Forgent Power Solutions IncFPSShares$8.8M300K
Bright Minds Biosciences IncDRUGShares$8.8M120K
Apogee Therapeutics IncAPGEShares$8.4M100K
Dianthus Therapeutics IncDNTHShares$8.4M100K
Oreilly Automotive IncORLYShares$8.3M90K
Ast Spacemobile IncASTSShares$8.3M100K
Whirlpool CorpWHRShares$8.1M150K
Archer Aviation IncACHRShares$7.8M1.5M
Essential Pptys Rlty Tr IncEPRTShares$7.6M250K
Guardian Pharmacy Svcs IncGRDNShares$7.5M200K
Palvella Therapeutics Inc NePVLAShares$7.5M60K
Northern Oil & Gas IncNOGShares$7.3M250K
Air Products And Chemicals IAPDShares$7.3M25K
Waystar Hldg CorpWAYShares$7.2M300K
Kratos Defense & Sec SolutioKTOSShares$7.1M100K
Landbridge Company LlcLBShares$6.9M100K
Figure Technology SolutioFIGRShares$6.8M200K
Waterbridge Infrastructure LWBIShares$6.7M250K
Sailpoint IncSAILShares$6.6M500K
Lineage IncLINEShares$6.6M200K
Mda Space LtdMDAShares$6.3M250K
Paypay CorpPAYPShares$6.2M292K
Alliance Laundry Hldgs IncALHShares$6.2M300K
Equipmentshare Com IncEQPTShares$6.1M300K
Corebridge Finl IncCRBGShares$6.0M250K
Voyager Technologies IncVOYGShares$5.8M250K
Centuri Holdings IncCTRIShares$5.8M200K
Loar Holdings IncLOARShares$5.7M100K
Bkv CorpBKVShares$5.7M200K
Marex Group PlcShares$5.6M125K
Abivax SaABVXShares$5.6M50K
Remitly Global IncRELYShares$5.5M350K
BullishShares$5.4M150K
Permian Resources CorpPRShares$5.3M250K
Figma IncFIGShares$5.3M250K
Portland Gen Elec CoPORShares$5.3M100K
Banc Of California IncBANCShares$5.3M300K
Spyre Therapeutics IncSYREShares$5.0M100K
Qxo IncQXOShares$4.9M250K
Magnolia Oil & Gas CorpMGYShares$4.7M150K
Veradermics IncMANEShares$4.7M75K
Ingram Micro Hldg CorpINGMShares$4.7M200K
Solv Energy IncMWHShares$4.5M150K
Beta Technologies IncBETAShares$4.4M299K
Xenon Pharmaceuticals IncXENEShares$4.4M75K
Firefly Aerospace IncFLYShares$4.3M150K
Definium Therapeutics IncDFTXShares$4.3M225K
Mcgraw Hill IncMHShares$4.1M300K
Kyivstar Group LtdShares$4.0M400K
Usa Rare Earth IncUSARShares$4.0M263K
Select Water Solutions IncWTTRShares$3.8M250K
Evommune IncEVMNShares$3.8M165K
Guardant Health IncGHShares$3.7M40K
Oge Energy CorpOGEShares$3.6M75K
Ellington Financial IncEFCShares$3.6M300K
Niq Global Intelligence PlcShares$3.4M300K
Redwire CorporationRDWShares$3.4M400K
Metropolitan Bk Hldg CorpMCBShares$3.3M40K
York Space Systems IncYSSShares$3.3M150K
Adt Inc DelADTShares$3.3M500K
Capricor Therapeutics IncCAPRShares$3.0M100K
Etoro Group LtdShares$3.0M100K
Minimed Group IncMMEDShares$3.0M200K
Chime Finl IncCHYMShares$2.8M150K
Accelerant HoldingsShares$2.7M200K

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.