CORSAIR CAPITAL MANAGEMENT, L.P. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 17, 2026, for the 2025 Q4 period, CORSAIR CAPITAL MANAGEMENT, L.P. held in its portfolio 149 assets valued at $643,988,639 (i.e. $643.99M).

The most valuable assets in the portfolio included: COMPOSECURE INC ($109.03M), VERTIV HOLDINGS CO ($107.58M), and LAUREATE EDUCATION INC ($62.32M).

The chart below shows the top 10 valuable assets, and the table below shows the top 149 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in CORSAIR CAPITAL MANAGEMENT, L.P. Portfolio
COMPOSECURE INC
VERTIV HOLDINGS CO
LAUREATE EDUCATION INC
RESOLUTE HLDGS MGMT INC
API GROUP CORP
SPDR S&P 500 ETF TR
ALIGHT INC
LIMBACH HLDGS INC
MIRION TECHNOLOGIES INC
SPX TECHNOLOGIES INC
CORSAIR CAPITAL MANAGEMENT, L.P. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
COMPOSECURE INC 5654978 109027976 COM CL A
VERTIV HOLDINGS CO 664052 107583065 COM CL A
LAUREATE EDUCATION INC 1850790 62316099 COMMON STOCK
RESOLUTE HLDGS MGMT INC 207774 42890787 COM
API GROUP CORP 718630 27494784 COM STK
SPDR S&P 500 ETF TR 38507 26258693 TR UNIT
ALIGHT INC 12667098 24700841 COM CL A
LIMBACH HLDGS INC 311343 24238053 COM
MIRION TECHNOLOGIES INC 982419 23008253 COM CL A
SPX TECHNOLOGIES INC 100662 20138440 COM
AON PLC 40101 14150841 SHS CL A
ALPHABET INC 39440 12344720 CAP STK CL A
GODADDY INC 93280 11574182 CL A
MICROSOFT CORP 23444 11337987 COM
BERKSHIRE HATHAWAY INC DEL 20547 10327950 CL B NEW
INVESCO QQQ TR 13342 8196124 UNIT SER 1
IREN LIMITED 142615 5386569 ORDINARY SHARES
S&P GLOBAL INC 7999 4180197 COM
FREQUENCY ELECTRS INC 60070 3234169 COM
MICRON TECHNOLOGY INC 10001 2854385 COM
VOYA FINANCIAL INC 37337 2781233 COM
ISHARES TR 8484 2740417 RUS 2000 GRW ETF
TURNING PT BRANDS INC 23274 2522902 COM
APPLE INC 8986 2442934 COM
APOLLO GLOBAL MGMT INC 16832 2436600 COM
CHURCHILL DOWNS INC 20333 2313489 COM
COMSTOCK INC 550118 2068444 COM SHS
INTEGRA RES CORP 475000 1904750 COM
OWLET INC 104389 1690058 CL A NEW
NEBIUS GROUP N.V. 19611 1641539 SHS CLASS A
WILLIS LEASE FIN CORP 12002 1627951 COM
CINEVERSE CORP 768650 1621852 COM CL A
ALEXANDER & BALDWIN INC NEW 70000 1444800 COM
SPDR GOLD TR 3640 1442568 GOLD SHS
MORGAN STANLEY 7815 1387397 COM NEW
PITNEY BOWES INC 120495 1273632 COM
ONITY GROUP INC 27003 1236467 COM NEW
BGC GROUP INC 137738 1230000 CL A
BEL FUSE INC 7234 1227103 CL B
POWER SOLUTIONS INTL INC 21139 1207882 COM NEW
CAPITAL ONE FINL CORP 4981 1207195 COM
ST JOE CO 20004 1187637 COM
DANAOS CORPORATION 12601 1186762 SHS
AERCAP HOLDINGS NV 7951 1143036 SHS
BLUE OWL CAPITAL INC 75000 1120500 COM CL A
SUPERCOM LTD NEW 118571 1073068 ORD SHS
AMAZON COM INC 4501 1038921 COM
KKR & CO INC 7834 998678 COM
VISHAY PRECISION GROUP INC 25002 962577 COM
NVIDIA CORPORATION 5001 932687 COM
CIPHER MINING INC 60855 898220 COM
ENVIRI CORP 50000 896000 COM
GARRETT MOTION INC 50530 880738 COM
NATIONAL PRESTO INDS INC 8022 856429 COM
DLOCAL LTD 60015 848612 CLASS A COM
IOVANCE BIOTHERAPEUTICS INC 300000 819000 COM
CNX RES CORP 21932 806440 COM
DUOS TECHNOLOGIES GROUP INC 70022 787748 COM
ISHARES TR 7833 758861 S&P MC 400GR ETF
TALEN ENERGY CORP 2000 749680 COM
ANTERO MIDSTREAM CORP 42004 747251 COM
ELECTROMED INC 25574 744715 COM
HARVARD BIOSCIENCE INC 1108692 741493 COM
IQVIA HLDGS INC 3243 731005 COM
ALTO INGREDIENTS INC 250200 720576 COM
WILLOW LANE ACQUISITION CORP 55728 704402 ORD SHS CL A
INDUSTRIAL LOGISTICS PPTYS T 126549 701081 COM SHS BEN INT
LIQUIDIA CORPORATION 20000 689800 COM NEW
BROOKFIELD CORP 15001 688396 CL A LTD VT SH
ENTRAVISION COMMUNICATIONS C 221504 649007 CL A
OPPENHEIMER HLDGS INC 8941 646345 CL A NON VTG
FIVE POINT HOLDINGS LLC 115064 643208 COM CL A
CBL & ASSOC PPTYS INC 17183 635771 COMMON STOCK
SHIFT4 PMTS INC 10059 633415 CL A
ACACIA RESH CORP 166672 623353 ACACIA TCH COM
BRITISH AMERN TOB PLC 11003 622990 SPONSORED ADR
RTX CORPORATION 3396 622826 COM
HALLADOR ENERGY COMPANY 32509 618971 COM
MADISON SQUARE GRDN SPRT COR 2321 600327 CL A
MEDALLION FINL CORP 57849 595266 COM
CELESTICA INC 2000 591220 COM
OMEGA FLEX INC 20033 589772 COM
PAYPAL HLDGS INC 10000 583800 COM
IAC INC 14325 560108 COM NEW
M/I HOMES INC 4368 558886 COM
GOLAR LNG LTD 15003 558262 SHS
TEEKAY CORPORATION LTD 58715 530196 SHS
COMSTOCK HLDG COS INC 45436 527966 CL A NEW
GBANK FINL HLDGS INC 15528 526244 COM
GREENLIGHT CAPITAL RE LTD 35591 518917 CLASS A
AMPLITECH GROUP INC 171722 513449 COM NEW
UNITED NAT FOODS INC 15000 505050 COM
TECK RESOURCES LTD 10489 502318 CL B
EVOLV TECHNOLOGIES HLDNGS IN 70087 501823 COM CL A
MAREX GROUP PLC 13060 500982 ORD
NET LEASE OFFICE PROPERTIES 19317 498185 COM
PRIORITY TECHNOLOGY HLDGS IN 90432 492854 COM
FTAI AVIATION LTD 2500 492125 SHS
HARROW INC 10000 490000 COM
RAVE RESTAURANT GROUP INC 148402 489727 COM
SUNRISE RLTY TR INC 50704 478139 COM
KAZIA THERAPEUTICS LTD 70000 470246 SPONSORED ADS
EASTMAN KODAK CO 54603 461941 COM NEW
NATHANS FAMOUS INC NEW 4746 444083 COM
NEXTNAV INC 25790 429146 COMMON STOCK
MARVELL TECHNOLOGY INC 5004 425240 COM
SEADRILL LTD 12003 415304 COM
APPLOVIN CORP 600 404292 COM CL A
CHURCHILL CAP CORP X 25000 390000 SHS CL A
AQUESTIVE THERAPEUTICS INC 60000 387600 COM
GENWORTH FINL INC 42904 387423 COM SHS
EXPAND ENERGY CORPORATION 3362 371030 COM
INTEL CORP 10004 369148 COM
VERSABANK NEW 24511 367175 COM
SPDR S&P MIDCAP 400 ETF TR 597 360158 UTSER1 S&PDCRP
LIFEWAY FOODS INC 14426 349542 COM
JAKKS PAC INC 19930 336418 COM NEW
GRIFFON CORP 4549 335034 COM
CRH PLC 2644 329971 ORD
KINDER MORGAN INC DEL 11816 324822 COM
MONEYHERO LIMITED 256870 323656 ORD SHS
CARECLOUD INC 110011 321232 COM
BABCOCK & WILCOX ENTERPRISES 50000 317000 COM
ROBINHOOD MKTS INC 2800 316680 COM CL A
M-TRON INDS INC 5735 305217 COM
LEGACY ED INC 29939 305078 COM
SELECT SECTOR SPDR TR 6672 298305 STATE STREET ENE
ENCORE CAP GROUP INC 5247 285174 COM
VELO3D INC 20000 274800 COM NEW
PERMA-FIX ENVIRONMENTAL SVCS 21649 272561 COM NEW
TECOGEN INC NEW 55017 271784 COM NEW
QUICKLOGIC CORP 43930 264019 COM NEW
PERMA-PIPE INTL HLDGS INC 8377 254326 COM
SOFI TECHNOLOGIES INC 8002 209492 COM
PROFOUND MED CORP 26420 207925 COM NEW
DIGI PWR X INC 80000 204000 COM SUB VTG
DELCATH SYS INC 20000 202000 COM NEW
BROADWIND INC 50000 141500 COM NEW
CODA OCTOPUS GROUP INC 14438 134273 COM NEW
TRUMP MEDIA & TECHNOLOGY GRO 10000 132400 COM
THRYV HLDGS INC 20000 121000 COM NEW
WEBULL CORP 12000 93240 ORD SHS
SENESTECH INC 38166 81675 COM NEW
ASP ISOTOPES INC 15000 80250 COM
CLARIVATE PLC 20000 66800 ORD SHS
ZEDGE INC 13170 43198 CL B
MODULAR MED INC 100000 36410 COM NEW
YATRA ONLINE INC 20000 35600 ORD SHS
INNOVIZ TECHNOLOGIES LTD 25000 21328 SHS