Crawford Fund Management, LLC - 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, Crawford Fund Management, LLC held in its portfolio 191 assets valued at $758,959,137 (i.e. $758.96M).

The most valuable assets in the portfolio included: PALANTIR TECHNOLOGIES INC ($32.16M), BOEING CO ($23.06M), and BLOOM ENERGY CORP ($19.51M).

The chart below shows the top 10 valuable assets, and the table below shows the top 191 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Crawford Fund Management, LLC Portfolio
PALANTIR TECHNOLOGIES INC
BOEING CO
BLOOM ENERGY CORP
IONQ INC
NEXSTAR MEDIA GROUP INC
UBER TECHNOLOGIES INC
XPEL INC
CHENIERE ENERGY INC
GRUPO CIBEST SA
YELP INC
Crawford Fund Management, LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
PALANTIR TECHNOLOGIES INC 180900 32154975 CL A
BOEING CO 106200 23058144 COM
BLOOM ENERGY CORP 224500 19506805 COM CL A
IONQ INC 421000 18890270 COM
NEXSTAR MEDIA GROUP INC 90593 18394909 COMMON STOCK
UBER TECHNOLOGIES INC 224564 18349124 COM
XPEL INC 364251 18179768 COM
CHENIERE ENERGY INC 85175 16557169 COM NEW
GRUPO CIBEST SA 256601 16322390 SPON ADS
YELP INC 523958 15923084 CL A
WISDOMTREE INC 1241269 15131069 COM
AFFIRM HLDGS INC 202100 15042303 COM CL A
CUSTOMERS BANCORP INC 183850 13443111 COM
BOOZ ALLEN HAMILTON HLDG COR 154611 13042984 CL A
OPTION CARE HEALTH INC 389000 12393540 COM NEW
SEABRIDGE GOLD INC 405743 12005936 COM
BOSTON BEER INC 61481 11996788 CL A
TEXAS PACIFIC LAND CORPORATI 41687 11973340 COM
SNOWFLAKE INC 52400 11494464 COM SHS
RIVIAN AUTOMOTIVE INC 550000 10840500 COM CL A
BANK OF NT BUTTERFIELD&SON L 201504 10038929 SHS NEW
HOME BANCORP INC 170448 9851895 COM
AST SPACEMOBILE INC 134000 9732420 COM CL A
UNITEDHEALTH GROUP INC 28000 9243080 COM
TOAST INC 253936 9017268 CL A
CROCS INC 100083 8559098 COM
MODERNA INC 247000 7284030 COM
UNITY SOFTWARE INC 163300 7212961 COM
TEVA PHARMACEUTICAL INDS LTD 226700 7075307 SPONSORED ADS
KASPI KZ JSC 89769 7013652 SPONSORED ADS
VIASAT INC 203200 7002272 COM
HINGHAM INSTN SVGS MASS 24566 6975761 COM
CDW CORP 50452 6871562 COM
ROKU INC 63060 6841380 COM CL A
LEMONADE INC 95700 6811926 COM
AIRBNB INC 47792 6486329 COM CL A
ALASKA AIR GROUP INC 128000 6438400 COM
WARNER BROS DISCOVERY INC 221000 6369220 COM SER A
PACS GROUP INC 165000 6334350 COM SHS
CHEMED CORP NEW 14475 6193274 COM
NELNET INC 46090 6128126 CL A
STELLANTIS N.V 556000 6054840 SHS
GREEN BRICK PARTNERS INC 93900 5883774 COM
KOHLS CORP 283000 5776030 COM
GENERAL MTRS CO 71000 5773720 COM
C3 AI INC 427000 5755960 CL A
PHILIP MORRIS INTL INC 34576 5545990 COM
NATHANS FAMOUS INC NEW 58926 5513705 COM
HARROW INC 111400 5458600 COM
COHERENT CORP 29300 5407901 COM
NEXTNAV INC 317000 5274880 COMMON STOCK
COREWEAVE INC 72500 5191725 COM CL A
BLUE OWL CAPITAL INC 328000 4900320 COM CL A
RIGETTI COMPUTING INC 220000 4873000 COMMON STOCK
MORNINGSTAR INC 20300 4411393 COM
TOPGOLF CALLAWAY BRANDS CORP 377000 4399590 COM
UNITED THERAPEUTICS CORP DEL 8993 4381839 COM
QUANTUMSCAPE CORP 418000 4355560 COM CL A
TEMPUS AI INC 69500 4103975 CL A
SOFI TECHNOLOGIES INC 153300 4013394 COM
MIND MEDICINE MINDMED INC 296200 3966118 COM NEW
NORWEGIAN CRUISE LINE HLDG L 169400 3781008 SHS
EXACT SCIENCES CORP 36500 3706940 COM
ATKORE INC 55800 3529350 COM
JOBY AVIATION INC 266000 3511200 COMMON STOCK
SPROUTS FMRS MKT INC 44044 3508985 COM
BROOKDALE SR LIVING INC 303100 3270449 COM
CERENCE INC 304000 3249760 COM
NUSCALE PWR CORP 225500 3195335 CL A COM
NATERA INC 13900 3184351 COM
BLACKSKY TECHNOLOGY INC 161000 3018750 CL A NEW
VNET GROUP INC 355000 3003300 SPONSORED ADS A
SWEETGREEN INC 439900 2973724 COM CL A
CAESARS ENTERTAINMENT INC NE 126000 2947140 COM
NVIDIA CORPORATION 15600 2909400 COM
CARVANA CO 6800 2869736 CL A
APPLIED DIGITAL CORP 113500 2783020 COM NEW
SKYWATER TECHNOLOGY INC 153000 2778480 COM
XPLR INFRASTRUCTURE LP 266000 2660000 COM UNIT PART IN
SINCLAIR INC 171000 2616300 CL A
JETBLUE AWYS CORP 574000 2611700 COM
CAPRI HOLDINGS LIMITED 102000 2488800 SHS
TAIWAN SEMICONDUCTOR MFG LTD 8000 2431120 SPONSORED ADS
CINEMARK HLDGS INC 98000 2277520 COM
AMRIZE LTD 41000 2217280 SHS
MARKETAXESS HLDGS INC 12200 2211250 COM
COGENT COMMUNICATIONS HLDGS 97900 2110724 COM NEW
FASTLY INC 206000 2097080 CL A
HIMS & HERS HEALTH INC 64500 2094315 COM CL A
HARLEY DAVIDSON INC 102000 2089980 COM
FUELCELL ENERGY INC 285000 2083350 COM NEW
FORD MTR CO 154900 2032288 COM
MOSAIC CO NEW 82000 1975380 COM
THE REALREAL INC 125000 1972500 COM
JEFFERIES FINL GROUP INC 31700 1964449 COM
WENDYS CO 230000 1915900 COM
SL GREEN RLTY CORP 41200 1889844 COM
ARCHER AVIATION INC 250000 1880000 COM CL A
JACK IN THE BOX INC 97000 1838150 COM
NANO NUCLEAR ENERGY INC 73500 1764735 COM
SNAP INC 213500 1722945 CL A
MEDICAL PPTYS TRUST INC 341500 1707500 COM
SOUNDHOUND AI INC 167500 1669975 CLASS A COM
LAUDER ESTEE COS INC 15800 1654576 CL A
ARQIT QUANTUM INC 75000 1641000 COM NEW
AMERICAN AIRLS GROUP INC 104500 1601985 COM
MAUI LD & PINEAPPLE INC 92087 1559954 COM
ALIGN TECHNOLOGY INC 9900 1545885 COM
PARK HOTELS & RESORTS INC 144000 1506240 COM
TELADOC HEALTH INC 214000 1498000 COM
BXP INC 21800 1471064 COM
QUANTUM COMPUTING INC 140000 1436400 COM
EVOLV TECHNOLOGIES HLDNGS IN 196900 1409804 COM CL A
SUNRUN INC 75700 1392880 COM
BAUSCH HEALTH COS INC 198500 1379575 COM
MARA HOLDINGS INC 147000 1320060 COM
JUMIA TECHNOLOGIES AG 105500 1317695 SPONSORED ADS
PFIZER INC 52500 1307250 COM
ASP ISOTOPES INC 244000 1305400 COM
DIGITALOCEAN HLDGS INC 27000 1299240 COM
ONDAS HLDGS INC 131000 1278560 COM NEW
CHARGEPOINT HOLDINGS INC 184000 1221760 COM SHS
EVGO INC 417500 1214925 CL A COM
COURSERA INC 161000 1184960 COM
SIX FLAGS ENTERTAINMENT CORP 77000 1181180 COM
FRONTIER GROUP HLDGS INC 250000 1177500 COM
ASANA INC 82500 1131075 CL A
TUCOWS INC 50300 1127726 COM NEW
ADVANCE AUTO PARTS INC 28500 1120050 COM
BIGBEAR AI HLDGS INC 205000 1107000 COM
ALEXANDRIA REAL ESTATE EQ IN 21900 1071786 COM
NUTANIX INC 20700 1069983 CL A
ETSY INC 18500 1025640 COM
SHAKE SHACK INC 12500 1014625 CL A
KINSALE CAP GROUP INC 2500 977800 COM
HUDSON PAC PPTYS INC 88000 953040 COM ADDED
MIDCAP FINANCIAL INVSTMNT CO 80000 915200 COM NEW
CRACKER BARREL OLD CTRY STOR 36000 914400 COM
BRIDGEBIO PHARMA INC 11500 879635 COM
CORECIVIC INC 46000 879060 COM
IVANHOE ELECTRIC INC 55000 878900 COM
PELOTON INTERACTIVE INC 140900 867944 CL A COM
ARM HOLDINGS PLC 7800 852618 SPONSORED ADS
COMMERCE.COM INC 205000 844600 COM SER 1
ICAHN ENTERPRISES LP 110000 830500 DEPOSITARY UNIT
THREDUP INC 129000 824310 CL A
ALLY FINL INC 16000 724640 COM
HERTZ GLOBAL HLDGS INC 136000 699040 COM NEW
RIOT PLATFORMS INC 54500 690515 COM
VERICEL CORP 18800 676988 COM
GLOBAL X FDS R 18000 652140 BTCS ARTFL INTE
SITIME CORP 1800 635742 COM
READY CAPITAL CORP 290000 632200 COM
CAVA GROUP INC 10500 616245 COM
SURGERY PARTNERS INC 37000 571650 COM
FTAI INFRASTRUCTURE INC 124000 571640 COMMON STOCK
CADIZ INC 99300 557073 COM NEW
PENN ENTERTAINMENT INC 37000 545750 COM
VORNADO RLTY TR 16000 532480 SH BEN INT
RED CAT HLDGS INC 64500 511485 COM
TUTOR PERINI CORP 7300 489246 COM
LUCID GROUP INC 457500 483578 COM NEW
LUMEN TECHNOLOGIES INC 60500 470085 COM
AIRJOULE TECHNOLOGIES CORP 119200 469648 CL A
CARNIVAL CORP 15300 467262 UNIT 99/99/9999
RED ROBIN GOURMET BURGERS IN 105000 425250 COM
DEFI DEVELOPMENT CORP 78000 393900 COM
STITCH FIX INC 75000 393750 COM CL A
POLARIS INC 6200 392150 COM
CANADA GOOSE HLDGS INC 30000 388500 SHS SUB VTG
FERRARI N V 1000 369560 COM
HONEST CO INC 139000 358620 COM
VIRGIN GALACTIC HOLDINGS INC 108000 346680 COM NEW
ESSENTIAL UTILS INC 9000 345240 COM
NEWELL BRANDS INC 92500 344100 COM
DAVE & BUSTERS ENTMT INC 21000 340410 COM
ALBEMARLE CORP 2400 339456 COM
HEALTH CATALYST INC 135000 322650 COM
COMCAST CORP NEW 10000 298900 CL A
10X GENOMICS INC 17600 287056 CL A COM
SIRIUSXM HOLDINGS INC 14000 280000 COMMON STOCK
MACERICH CO 15000 276900 COM
ZETA GLOBAL HOLDINGS CORP 12000 244200 CL A
NOVAVAX INC 25000 168000 COM NEW
VANECK ETF TRUST 11000 155980 BDC INCOME ETF
AMC ENTMT HLDGS INC 90000 140400 CL A NEW
HOLLEY INC 30000 123900 COM
AIRSCULPT TECHNOLOGIES INC 45100 89298 COM
BLEND LABS INC 26000 79040 CL A
3-D SYS CORP DEL 30500 53985 COM NEW
CHILDRENS PL INC NEW 11000 43780 COM