Creek Drive Management Group LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 18, 2026, for the 2025 Q4 period, Creek Drive Management Group LLC held in its portfolio 41 assets valued at $134,381,507 (i.e. $134.38M).

The most valuable assets in the portfolio included: GAMESTOP CORP NEW ($19.12M), ABIVAX SA ($13.96M), and NEKTAR THERAPEUTICS ($7.84M).

The chart below shows the top 10 valuable assets, and the table below shows the top 41 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Creek Drive Management Group LLC Portfolio
GAMESTOP CORP NEW
ABIVAX SA
NEKTAR THERAPEUTICS
SPHERE ENTERTAINMENT CO
ALPHABET INC
AST SPACEMOBILE INC
PELOTON INTERACTIVE INC
SIX FLAGS ENTERTAINMENT CORP
SERVE ROBOTICS INC
CERIBELL INC
Creek Drive Management Group LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
GAMESTOP CORP NEW 1615000 19117902 CL A
ABIVAX SA 103500 13957492 SPONSORED ADS
NEKTAR THERAPEUTICS 185500 7842940 COM NEW
SPHERE ENTERTAINMENT CO 79500 7558860 CL A
ALPHABET INC 22450 7044810 CAP STK CL C
AST SPACEMOBILE INC 87600 6362388 COM CL A
PELOTON INTERACTIVE INC 902000 5556320 CL A COM
SIX FLAGS ENTERTAINMENT CORP 338000 5184920 COM
SERVE ROBOTICS INC 473200 4911816 COM
CERIBELL INC 193955 4253433 COM
VODAFONE GROUP PLC NEW 2600000 3900000 SPONSORED ADR
HIMS & HERS HEALTH INC 116000 3766520 COM CL A
ARS PHARMACEUTICALS INC 295863 3446804 COM
TRUMP MEDIA & TECHNOLOGY GRO 250000 3310000 COM
CBL & ASSOC PPTYS INC 88500 3274500 COMMON STOCK
STRATA CRITICAL MEDICAL INC 610000 2934100 CL A COM
NEBIUS GROUP N.V. 33800 2829229 SHS CLASS A
NEXTDOOR HOLDINGS INC 1250000 2625000 COM CL A
NEW AMER ACQUISITION I CORP 200000 2082000 UNIT 99/99/9999
REMITLY GLOBAL INC 147500 2035500 COM
BITFARMS LTD 850000 1997500 COM
DOMINARI HOLDINGS INC 376000 1861200 COM NEW
LENDINGCLUB CORP 91000 1723540 COM NEW
CORE SCIENTIFIC INC NEW 112500 1638000 COM
ISHARES TR 970000 1565000 RUSSELL 2000 ETF
COMFORT SYS USA INC 1650 1539929 COM
SILVERBOX CORP IV 140000 1481200 SHS CL A
EVOLV TECHNOLOGIES HLDNGS IN 200000 1432000 COM CL A
SERITAGE GROWTH PPTYS 437200 1420900 CL A
GEN DIGITAL INC 301011 1360570 RIGHT 99/99/9999
AMPLITECH GROUP INC 400000 1196000 COM NEW
CAPRICOR THERAPEUTICS INC 36000 1038960 COM NEW
T1 ENERGY INC 118000 788240 COM NEW
UNIQURE NV 300000 779715 SHS
PALISADE BIO INC 307500 722625 COM
CYTOKINETICS INC 10000 635400 COM NEW
CIPHER MINING INC 31187 460320 COM
CPI CARD GROUP INC 30000 440400 COM NEW
SOLSTICE ADVANCED MATLS INC 6200 301196 COM SHS
AMPLITECH GROUP INC 34658 2776 *W EXP 02/26/202
STARDUST PWR INC 15037 1502 *W EXP 06/21/202