KRYGER CAPITAL Ltd - 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, KRYGER CAPITAL Ltd held in its portfolio 50 assets valued at $1,294,589,487 (i.e. $1.30B).

The most valuable assets in the portfolio included: NORFOLK SOUTHERN ORD ($141.77M), CONFLUENT CL A ORD ($113.40M), and EXACT SCIENCES ORD ($102.51M).

The chart below shows the top 10 valuable assets, and the table below shows the top 50 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in KRYGER CAPITAL Ltd Portfolio
NORFOLK SOUTHERN ORD
CONFLUENT CL A ORD
EXACT SCIENCES ORD
CYBER ARK SOFTWARE ORD
FRONTIER COMMUNICATIONS PARENT ORD
DAYFORCE ORD
AVIDITY BIOSCIENCES ORD
DIGITALBRIDGE GROUP CL A ORD
ELECTRONIC ARTS ORD
CHART INDUSTRIES ORD
KRYGER CAPITAL Ltd - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
NORFOLK SOUTHERN ORD 491015 141765851 COM
CONFLUENT CL A ORD 3750000 113400000 Class A
EXACT SCIENCES ORD 1009312 102505727 COM
CYBER ARK SOFTWARE ORD 203327 90696042 SHS
FRONTIER COMMUNICATIONS PARENT ORD 2187709 83286082 COM
DAYFORCE ORD 1125512 77840410 COM
AVIDITY BIOSCIENCES ORD 1045320 75398932 COM
DIGITALBRIDGE GROUP CL A ORD 4904449 75234248 Class A
ELECTRONIC ARTS ORD 302787 61868468 COM
CHART INDUSTRIES ORD 295380 60916217 COM
CLEARWATER ANALYTICS HOLDIN CL A ORD 2468400 59537808 Class A
AIR LEASE CL A ORD 860598 55276210 Class A
HOLOGIC ORD 727335 54179184 COM
AMICUS THERAPEUTICS ORD 2994400 42640256 COM
CIDARA THERAPEUTICS ORD 185313 40933789 COM
ANYWHERE REAL ESTATE ORD 1910543 27053289 COM
BRIGHTHOUSE FINANCIAL ORD 302796 19618153 COM
WARNER BROS. DISCOVERY SRS A ORD 645906 18615011 COM
ASTRIA THERAPEUTICS ORD 1025278 13420889 COM
ACTIVATE ENERGY ACQUISITION UNT 1250000 12493750 UNIT
SAPIENS INTERNATIONAL ORD 237032 10310892 SHS
KENVUE ORD 508463 8770987 COM
SILICON VALLEY ACQUISITION UNT 600000 5967000 UNIT
DAEDALUS SPECIAL ACQUISITION UNT 500000 5020000 UNIT
GENERAL PURPOSE ACQUISITION UNT 500000 5005000 UNIT
SAFEGUARD ACQUISITION UNT 400000 4034000 UNIT
LEAPFROG ACQUISITION UNT 325000 3251625 UNIT
DRUGS MADE IN AMERICA ACQUISITIO UNT 303810 3042657 UNIT
AMERICAN DRIVE ACQUISITION UNT 295000 2941150 UNIT
BLUEROCK ACQUISITION UNT 275000 2750000 UNIT
IRON HORSE ACQUISITION II UNT 274443 2729336 UNIT
SOCIAL COMMERCE PARTNERS UNT 200000 2000000 UNIT
LAUNCHPAD CADENZA ACQUISITION I UNT 200000 1996000 UNIT
RIOT PLATFORMS ORD 120777 1530245 COM
ITHAX ACQUISITION III UNT 150000 1496250 UNIT
MESHFLOW ACQUISITION UNT 125000 1250000 UNIT
PFIZER INC-CVR 246178 1206272 COM
ROCKET COMPANIES CL A ORD 53755 1040697 Class A
M3 BRIGADE ACQUISITION VI UNT 76978 779402 UNIT
UDEMY ORD 100000 585000 COM
FUTURECREST ACQUISITION UNT 50660 518758 UNIT
CANTOR EQUITY PARTNERS II CL A ORD 26179 294776 Class A
CANTOR EQUITY PARTNERS IV CL A ORD 25733 264535 Class A
TRAILBLAZER ACQUISITION UNT 25437 260729 UNIT
FIGX CAPITAL ACQUISITION UNT 25500 259590 UNIT
CANTOR EQUITY PARTNERS V CL A ORD 25232 258628 Class A
1RT ACQUISITION UNT 10134 105394 UNIT
OXLEY BRIDGE ACQUISITION UNT 10223 104428 UNIT
CANTOR EQUITY PARTNERS III CL A ORD 10210 104142 Class A
HCM III ACQUISITION UNT 3080 31678 UNIT