HUSSMAN STRATEGIC ADVISORS, INC. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 2, 2026, for the 2025 Q4 period, HUSSMAN STRATEGIC ADVISORS, INC. held in its portfolio 252 assets valued at $413,734,549 (i.e. $413.74M).

The most valuable assets in the portfolio included: QUALCOMM INC ($4.67M), ETSY INC ($4.66M), and UBIQUITI INC ($4.65M).

The chart below shows the top 10 valuable assets, and the table below shows the top 252 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in HUSSMAN STRATEGIC ADVISORS, INC. Portfolio
QUALCOMM INC
ETSY INC
UBIQUITI INC
UNITED NAT FOODS INC
CHARTER COMMUNICATIONS INC N
GENPACT LIMITED
ACADIA PHARMACEUTICALS INC
CHECK POINT SOFTWARE TECH LT
EXELIXIS INC
HALOZYME THERAPEUTICS INC
HUSSMAN STRATEGIC ADVISORS, INC. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
QUALCOMM INC 27300 4669665 COM
ETSY INC 84000 4656960 COM
UBIQUITI INC 8400 4648140 COM
UNITED NAT FOODS INC 126000 4242420 COM
CHARTER COMMUNICATIONS INC N 18900 3945375 CL A
GENPACT LIMITED 84000 3929520 SHS
ACADIA PHARMACEUTICALS INC 147000 3926370 COM
CHECK POINT SOFTWARE TECH LT 21000 3896760 ORD
EXELIXIS INC 84000 3681720 COM
HALOZYME THERAPEUTICS INC 52500 3533250 COM
CONCENTRIX CORP 84000 3492720 COM
NUTEX HEALTH INC 21000 3457020 COM
CVS HEALTH CORP 42000 3333120 COM
SEZZLE INC 52500 3332438 COM
COLGATE PALMOLIVE CO 42000 3318840 COM
PACIRA BIOSCIENCES INC 126000 3260880 COM
PROGYNY INC 126000 3235680 COM
URBAN OUTFITTERS INC 42000 3160920 COM
TOOTSIE ROLL INDS INC 84000 3076920 COM
NEWMONT CORP 30500 3045425 COM
PEPSICO INC 21000 3013920 COM
CANADIAN SOLAR INC 126000 2995020 COM
VERIZON COMMUNICATIONS INC 73500 2993655 COM
NEUROCRINE BIOSCIENCES INC 21000 2978430 COM
DLOCAL LTD 210000 2969400 CLASS A COM
ALKERMES PLC 105000 2937900 SHS
COCA COLA CO 42000 2936220 COM
GENERAL MLS INC 63000 2929500 COM
THE CAMPBELLS COMPANY 105000 2926350 COM
VIASAT INC 84000 2894640 COM
APTIV PLC 37800 2876202 COM SHS
AIRBNB INC 21000 2850120 COM CL A
PALOMAR HLDGS INC 21000 2829960 COM
DEXCOM INC 42000 2787540 COM
FIVE BELOW INC 14700 2768892 COM
AMGEN INC 8400 2749404 COM
MATCH GROUP INC NEW 84000 2712360 COM
ROYAL GOLD INC 12200 2711938 COM
NATIONAL VISION HLDGS INC 105000 2711100 COM
HUMANA INC 10500 2689365 COM
VITAL FARMS INC 84000 2682960 COM
PAYCOM SOFTWARE INC 16800 2677248 COM
BARRICK MNG CORP 61000 2656550 COM SHS
STARBUCKS CORP 31500 2652615 COM
IRHYTHM TECHNOLOGIES INC 14700 2608368 COM
UBER TECHNOLOGIES INC 31500 2573865 COM
APA CORPORATION 105000 2568300 COM
NEXTPOWER INC 29400 2561034 CLASS A COM
ALNYLAM PHARMACEUTICALS INC 6300 2505195 COM
INCYTE CORP 25200 2489004 COM
ANI PHARMACEUTICALS INC 31500 2486610 COM
ACM RESH INC 63000 2485350 COM CL A
UL SOLUTIONS INC 31500 2484090 CLASS A COM SHS
TEMPUS AI INC 42000 2480100 CL A
TASKUS INC 210000 2475900 CLASS A COM
PRAXIS PRECISION MEDICINES I 8400 2475816 COM NEW
CATALYST PHARMACEUTICALS INC 105000 2450700 COM
CORMEDIX INC 210000 2442300 COM
PHATHOM PHARMACEUTICALS INC 147000 2438730 COM
ROYALTY PHARMA PLC 63000 2434320 SHS CLASS A
SLB LIMITED 63000 2417940 COM STK
BANK OZK LITTLE ROCK ARK 52500 2416050 COM
EURONET WORLDWIDE INC 31500 2397465 COM
HARMONY BIOSCIENCES HLDGS IN 63000 2357460 COM
ALAMOS GOLD INC NEW 61000 2353380 COM CL A
ALLEGION PLC 14700 2340534 ORD SHS
BREAD FINANCIAL HOLDINGS INC 31500 2331945 COM
ARRAY TECHNOLOGIES INC 252000 2323440 COM SHS
GRAHAM HLDGS CO 2100 2307060 COM CL B
RIGEL PHARMACEUTICALS INC 52500 2248575 COM
CHENIERE ENERGY PARTNERS LP 42000 2246160 COM UNIT
QUALYS INC 16800 2232720 COM
CLEAR SECURE INC 63000 2210040 COM CL A
DOLE PLC 147000 2203530 ORD SHS
SS&C TECHNOLOGIES HLDGS INC 25200 2202984 COM
SHOALS TECHNOLOGIES GROUP IN 252000 2142000 CL A
SOLAREDGE TECHNOLOGIES INC 73500 2120475 COM
NOMAD FOODS LTD 168000 2101680 USD ORD SHS
VIRTU FINL INC 63000 2099160 CL A
INNOVIVA INC 105000 2098950 COM
CHEWY INC 63000 2082150 CL A
AGNICO EAGLE MINES LTD 12200 2068266 COM
GIGACLOUD TECHNOLOGY INC 52500 2062200 CLASS A ORD
PAGSEGURO DIGITAL LTD 210000 2024400 COM CL A
MOSAIC CO NEW 84000 2023560 COM
MEDTRONIC PLC 21000 2017260 SHS
NORTHERN TR CORP 14700 2007873 COM
HEALTHCARE SVCS GROUP INC 105000 2007600 COM
INTERDIGITAL INC 6300 2005794 COM
STOKE THERAPEUTICS INC 63000 1999620 COM
PAYMENTUS HOLDINGS INC 63000 1990170 COM CL A
PARAMOUNT SKYDANCE CORP 147000 1969800 COM CL B
BIOCRYST PHARMACEUTICALS INC 252000 1965600 COM
UNIVERSAL DISPLAY CORP 16800 1961904 COM
JOBY AVIATION INC 147000 1940400 COMMON STOCK
REYNOLDS CONSUMER PRODS INC 84000 1925280 COM
PTC THERAPEUTICS INC 25200 1914192 COM
HERSHEY CO 10500 1910790 COM
BIOMARIN PHARMACEUTICAL INC 31500 1872045 COM
LINCOLN NATL CORP IND 42000 1870260 COM
SNOWFLAKE INC 8400 1842624 COM SHS
LYFT INC 94500 1830465 CL A COM
EBAY INC. 21000 1829100 COM
FLOWERS FOODS INC 168000 1827840 COM
EVOLV TECHNOLOGIES HLDNGS IN 252000 1804320 COM CL A
GILEAD SCIENCES INC 14700 1804278 COM
ALBERTSONS COS INC 105000 1802850 COMMON STOCK
POWER SOLUTIONS INTL INC 31500 1799910 COM NEW
TRANSMEDICS GROUP INC 14700 1788255 COM
COGNIZANT TECHNOLOGY SOLUTIO 21000 1743000 CL A
AURINIA PHARMACEUTICALS INC 105000 1674750 COM
AMPRIUS TECHNOLOGIES INC 210000 1656900 COMMON STOCK
SI-BONE INC 84000 1656480 COM
HERTZ GLOBAL HLDGS INC 315000 1619100 COM NEW
GAP INC 63000 1612800 COM
BROOKFIELD RENEWABLE CORP 42000 1610280 CL A EX SUB VTG
CRACKER BARREL OLD CTRY STOR 63000 1600200 COM
TALEN ENERGY CORP 4200 1574328 COM
PHIBRO ANIMAL HEALTH CORP 42000 1569120 CL A COM
ASTRANA HEALTH INC 63000 1563030 COM NEW
ANGLOGOLD ASHANTI PLC 18300 1560624 COM SHS
DEVON ENERGY CORP NEW 42000 1538460 COM
VERISIGN INC 6300 1530585 COM
TRIPADVISOR INC 105000 1528800 COM
WINGSTOP INC 6300 1502487 COM
FRESH DEL MONTE PRODUCE INC 42000 1496460 ORD
ZOOMINFO TECHNOLOGIES INC 147000 1494990 COMMON STOCK
PAR PAC HOLDINGS INC 42000 1475880 COM NEW
TELADOC HEALTH INC 210000 1470000 COM
GLOBE LIFE INC 10500 1468530 COM
IMMUNOCORE HLDGS PLC 42000 1457820 ADS
IONQ INC 31500 1413405 COM
BANKUNITED INC 31500 1403955 COM
STONEX GROUP INC 14700 1398411 COM
DOLLAR GEN CORP NEW 10500 1394085 COM
TARSUS PHARMACEUTICALS INC 16800 1375584 COM
XP INC 84000 1375080 CL A
GENEDX HOLDINGS CORP 10500 1365630 COM CL A
SAREPTA THERAPEUTICS INC 63000 1355760 COM
STATE STR CORP 10500 1354605 COM
B2GOLD CORP 300000 1353000 COM
SSR MINING IN 61000 1337120 COM
CAL MAINE FOODS INC 16800 1336776 COM NEW
SOLVENTUM CORP 16800 1331232 COM SHS
OSHKOSH CORP 10500 1319115 COM
PENUMBRA INC 4200 1305822 COM
AURA MINERALS INC 25500 1285583 SHS NEW
ADTRAN HOLDINGS INC 147000 1277430 COM
GOGO INC 273000 1272180 COM
COPA HOLDINGS SA 10500 1266405 CL A
PAN AMERN SILVER CORP 24400 1264164 COM
WYNN RESORTS LTD 10500 1263465 COM
BOX INC 42000 1256220 CL A
ARVINAS INC 105000 1245300 COM
CIRRUS LOGIC INC 10500 1244250 COM
CONCENTRA GROUP HOLDINGS PAR 63000 1239840 COMMON STOCK
SUPER MICRO COMPUTER INC 42000 1229340 COM NEW
PAYPAL HLDGS INC 21000 1225980 COM
CITIGROUP INC 10500 1225245 COM NEW
EVERTEC INC 42000 1221780 COM
ARCHER DANIELS MIDLAND CO 21000 1207290 COM
TRAVERE THERAPEUTICS INC 31500 1203615 COM
SALLY BEAUTY HLDGS INC 84000 1197840 COM
NOBLE CORP PLC 42000 1186080 ORD SHS A
ARHAUS INC 105000 1177050 COM CL A
HECLA MNG CO 61000 1170590 COM
CIVITAS RESOURCES INC 42000 1137780 COM NEW
COTERRA ENERGY INC 42000 1105440 COM
PROTAGONIST THERAPEUTICS INC 12600 1100484 COM
CORCEPT THERAPEUTICS INC 31500 1096200 COM
PINTEREST INC 42000 1087380 CL A
CVR ENERGY INC 42000 1068480 COM
NEWEGG COMMERCE INC 21000 1065960 SHS NEW
CLOROX CO DEL 10500 1058715 COM
VALARIS LTD 21000 1058400 CL A
FLEX LNG LTD 42000 1047900 SHS
PFIZER INC 42000 1045800 COM
MONTROSE ENVIRONMENTAL GROUP 42000 1042860 COM
LEGALZOOM COM INC 105000 1042650 COM
SMUCKER J M CO 10500 1027005 COM NEW
MARATHON PETE CORP 6300 1024569 COM
KRAFT HEINZ CO 42000 1018500 COM
TOPGOLF CALLAWAY BRANDS CORP 84000 980280 COM
WESTERN UN CO 105000 977550 COM
TEEKAY CORPORATION LTD 105000 948150 SHS
HILTON GRAND VACATIONS INC 21000 939750 COM
DOXIMITY INC 21000 929880 CL A
INNOVEX INTERNATIONAL INC 42000 918540 COM
ZOOM COMMUNICATIONS INC 10500 906045 CL A
INGRAM MICRO HLDG CORP 42000 896280 COM
INTER & CO INC 105000 890400 CLASS A COM
KINROSS GOLD CORP 30500 858880 COM
KEROS THERAPEUTICS INC 42000 855120 COM
YEXT INC 105000 846300 COM
ODDITY TECH LTD 21000 843780 SHS CL A
UPWORK INC 42000 832440 COM
FIVERR INTL LTD 42000 829920 ORD SHS
ADVANCE AUTO PARTS INC 21000 825300 COM
COMPASS MINERALS INTL INC 42000 824880 COM
INVESCO CURRENCYSHARES EURO 7500 813413 EURO SHS
CF INDS HLDGS INC 10500 812070 COM
HERBALIFE LTD 63000 812070 COM SHS
IHS HOLDING LIMITED 105000 783300 ORD SHS
COURSERA INC 105000 772800 COM
ARCOS DORADOS HOLDINGS INC 105000 770700 SHS CLASS -A -
CUSTOMERS BANCORP INC 10500 767760 COM
ROOT INC 10500 758415 CL A NEW
ANTERO MIDSTREAM CORP 42000 747180 COM
DUOLINGO INC 4200 737100 CL A COM
INVESCO CURRENCYSHARES JAPAN 12500 733375 JAPANESE YEN
QUEST DIAGNOSTICS INC 4200 728826 COM
PVH CORPORATION 10500 703710 COM
UNIVEST FINANCIAL CORPORATIO 21000 687540 COM
NIAGEN BIOSCIENCE INC 105000 667800 COM NEW
PATRIA INVESTMENTS LIMITED 42000 667380 COM CL A
INVESCO CURRENCYSHARES BRIT 5000 648750 BRIT POUN STRL
KIMBERLY-CLARK CORP 6300 635607 COM
LKQ CORP 21000 634200 COM
SYMBOTIC INC 10500 624750 CLASS A COM
POST HLDGS INC 6300 624015 COM
ICL GROUP LTD 105000 599550 SHS
RENEW ENERGY GLOBAL PLC 105000 593250 CL A SHS
RPC INC 105000 571200 COM
CLARITEV CORPORATION 10500 448875 CL A NEW
AUTONATION INC 2100 433608 COM
SIBANYE STILLWATER LTD 20000 285000 SPONSORED ADR
NRG ENERGY INC 1000 159240 COM NEW
CONSOLIDATED EDISON INC 1000 99320 COM
ENTERGY CORP NEW 1000 92430 COM
PINNACLE WEST CAP CORP 1000 88700 COM
OTTER TAIL CORP 1000 80810 COM
NORTHWESTERN ENERGY GROUP IN 1000 64540 COM NEW
DT MIDSTREAM INC 500 59840 COMMON STOCK
DUKE ENERGY CORP NEW 500 58605 COM NEW
PORTLAND GEN ELEC CO 1000 47990 COM NEW
FIRSTENERGY CORP 1000 44770 COM
CALIFORNIA RES CORP 1000 44710 COM STOCK
SOUTHERN CO 500 43600 COM
EXELON CORP 1000 43590 COM
PUBLIC SVC ENTERPRISE GRP IN 500 40150 COM
AVISTA CORP 1000 38540 COM
PPL CORP 1000 35020 COM
BLACK HILLS CORP 500 34710 COM
EDISON INTL 500 30010 COM
DOMINION ENERGY INC 500 29295 COM
CRESCENT ENERGY COMPANY 1906 15993 CL A COM
AES CORP 1000 14340 COM
DTE ENERGY CO 100 12898 COM
HAWAIIAN ELEC INDUSTRIES 1000 12300 COM
AMERICAN ELEC PWR CO INC 100 11531 COM
AMEREN CORP 100 9986 COM
GLOBAL WTR RES INC 1000 8450 COM