SEVEN GRAND MANAGERS, LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 10, 2026, for the 2025 Q4 period, SEVEN GRAND MANAGERS, LLC held in its portfolio 138 assets valued at $1,313,183,572 (i.e. $1.31B).

The most valuable assets in the portfolio included: MICROSOFT CORP ($63.35M), NASDAQ INC ($48.57M), and MEDLINE INC ($48.30M).

The chart below shows the top 10 valuable assets, and the table below shows the top 138 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in SEVEN GRAND MANAGERS, LLC Portfolio
MICROSOFT CORP
NASDAQ INC
MEDLINE INC
SANDISK CORP
ITT INC
T-MOBILE US INC
SOFI TECHNOLOGIES INC
MEDTRONIC PLC
COHERENT CORP
UL SOLUTIONS INC
SEVEN GRAND MANAGERS, LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
MICROSOFT CORP 131000 63354220 COM
NASDAQ INC 500000 48565000 COM
MEDLINE INC 1150000 48300000 COM CL A
SANDISK CORP 200000 47476000 COM
ITT INC 250000 43377500 COM
T-MOBILE US INC 200000 40608000 COM
SOFI TECHNOLOGIES INC 1500000 39270000 COM
MEDTRONIC PLC 400000 38424000 SHS
COHERENT CORP 200000 36914000 COM
UL SOLUTIONS INC 400000 31544000 CLASS A COM SHS
HONEYWELL INTL INC 161000 31409490 COM
GALAXY DIGITAL INC. 1250000 27950000 CL A
LEGENCE CORP 600000 25824000 CL A
KARMAN HLDGS INC 350000 25609500 COMMON STOCK
RESTAURANT BRANDS INTL INC 350000 23880500 COM
APPLE INC 87000 23651820 COM
ARCHER AVIATION INC 3000000 22560000 COM CL A
TESLA INC 50000 22486000 COM
ECHOSTAR CORP 200000 21740000 CL A
KRATOS DEFENSE & SEC SOLUTIO 250000 18977500 COM NEW
KODIAK GAS SVCS INC 500000 18700000 COM
MIAMI INTL HLDGS INC 400000 17752000 COM
SERVICETITAN INC 150000 15975000 SHS CL A
VERISIGN INC 62500 15184375 COM
COREBRIDGE FINL INC 500000 15085000 COM
BROWN & BROWN INC 187500 14943750 COM
AEROVIRONMENT INC 60000 14513400 COM
CARIS LIFE SCIENCES INC 495095 13357663 COM
JOBY AVIATION INC 1000000 13200000 COMMON STOCK
ANDERSEN GROUP INC 500000 12965000 CL A
PALANTIR TECHNOLOGIES INC 71000 12620250 CL A
ROLLINS INC 200000 12004000 COM
LUMEXA IMAGING HOLDINGS INC 645500 11941750 COM
BRIGHTSPRING HEALTH SVCS INC 300000 11235000 COM
STANDARDAERO INC 375000 10755000 COM
LAUDER ESTEE COS INC 100000 10472000 CL A
SAILPOINT INC 500000 10115000 COM
CENTURI HOLDINGS INC 400000 10100000 COM SHS
CIRCLE INTERNET GROUP INC 125000 9912500 COM CL A
WAYSTAR HLDG CORP 300000 9825000 COM
MAREX GROUP PLC 250000 9590000 ORD
FIGMA INC 250000 9342500 CLASS A COM STK
HINGE HEALTH INC 200000 9290000 CL A
STARWOOD PPTY TR INC 500000 9005000 COM
LPL FINL HLDGS INC 25000 8929250 COM
BETA TECHNOLOGIES INC 298557 8422293 COM SHS CL A
NEBIUS GROUP N.V. 100000 8370500 SHS CLASS A
NETSKOPE INC 475000 8331500 CL A
OREILLY AUTOMOTIVE INC 90000 8208900 COM
FIGURE TECHNOLOGY SOLUTIO 200000 8168000 COM CL A
CCC INTELLIGENT SOLUTIONS HL 1000000 7950000 COM
VIPER ENERGY INC 200000 7726000 CL A
AST SPACEMOBILE INC 100000 7263000 COM CL A
SMITHFIELD FOODS INC 325000 7257250 COM
LINEAGE INC 200000 7000000 COM
LOAR HOLDINGS INC 100000 6800000 COM SHS
GFL ENVIRONMENTAL INC 150000 6442500 SUB VTG SHS
OGE ENERGY CORP 150000 6405000 COM
ALLIANCE LAUNDRY HLDGS INC 300000 6105000 COM
ESSENTIAL PPTYS RLTY TR INC 200000 5932000 COM
BULLISH 150000 5680500 ORD SHS
V2X INC 100000 5455000 COM
LATAM AIRLINES GROUP SA 100000 5401000 SPONSORED ADR
VOYAGER TECHNOLOGIES INC 199169 5206278 COM CL A
VSE CORP 30000 5183100 COM
WATERBRIDGE INFRASTRUCTURE L 250000 5002500 CL A SHS REPSTG
MCGRAW HILL INC 300000 4950000 COM
NIQ GLOBAL INTELLIGENCE PLC 300000 4947000 ORDINARY SHARES
LANDBRIDGE COMPANY LLC 100000 4899000 CL A
AMERICAN HEALTHCARE REIT INC 100000 4706000 COM SHS
ONESTREAM INC 250000 4595000 CL A
SYMBOTIC INC 75000 4462500 CLASS A COM
SOTERA HEALTH CO 250000 4410000 COM
GUARDANT HEALTH INC 40000 4085600 COM
ADT INC DEL 500000 4035000 COM
BRIGHT MINDS BIOSCIENCES INC 50000 3902000 COM NEW
BRIDGEBIO PHARMA INC 50000 3824500 COM
CHIME FINL INC 150000 3775500 COM SHS CL A
APOGEE THERAPEUTICS INC 50000 3774000 COM
SYNOPSYS INC 7817 3671801 COM
EXZEO GROUP INC 150000 3637500 COM SHS
OKLO INC 50000 3588000 COM CL A
VIKING HOLDINGS LTD 50000 3570500 ORD SHS
ETORO GROUP LTD 100000 3513000 SHS CL A
STRUCTURE THERAPEUTICS INC 50000 3477500 SPONSORED ADS
HILTON GRAND VACATIONS INC 75000 3356250 COM
FIREFLY AEROSPACE INC 150000 3355500 COM
GRUPO AEROMEXICO SAB DE CV 150000 3294000 SPONSORED ADS
SPYRE THERAPEUTICS INC 100000 3276000 COM NEW
ACCELERANT HOLDINGS 200000 3270000 CL A
BOYD GROUP SERVICES INC 20000 3186000 COM
VIRIDIAN THERAPEUTICS INC 100000 3112000 COM
MIND MEDICINE MINDMED INC 225000 3012750 COM NEW
GUARDIAN PHARMACY SVCS INC 100000 3009000 CL A
MDU RES GROUP INC 150000 2928000 COM
HEARTFLOW INC 100000 2915000 COM
CAPRICOR THERAPEUTICS INC 100000 2886000 COM NEW
DLOCAL LTD 200000 2828000 CLASS A COM
DISC MEDICINE INC 35000 2779350 COM
KESTRA MED TECHNOLOGIES LTD 100000 2652000 SHS
IDACORP INC 20000 2531200 COM
NUVALENT INC 25000 2514750 COM
CENTRAL BANCOMPANY 100000 2412000 COM CL A
KYMERA THERAPEUTICS INC 30000 2334300 COM
IONQ INC 50000 2243500 COM
BLACK ROCK COFFEE BAR INC 100000 2225000 CL A
MAZE THERAPEUTICS INC 50000 2071500 COM
SIONNA THERAPEUTICS INC 50000 2057000 COM
BILLIONTOONE INC 25000 2046000 CL A
WEALTHFRONT CORP 150000 2038500 COM
ACTIVATE ENERGY ACQUISITION 199693 1995932 UNIT 11/10/2030
NUSCALE PWR CORP 125000 1771250 CL A COM
MAPLIGHT THERAPEUTICS INC 100000 1756500 COM
STEWART INFORMATION SVCS COR 25000 1756500 COM
PATTERN GROUP INC 150000 1731000 COM SER A
NAVAN INC 100000 1708000 CL A
WAVE LIFE SCIENCES LTD 100000 1700000 SHS
REDWIRE CORPORATION 200000 1520000 COM
PHOENIX ED PARTNERS INC 50000 1515000 COM
KLARNA GROUP PLC 50000 1445500 SHS
AMBIQ MICRO INC 50000 1425000 COMMON STOCK
SOCIAL COMM PARTNERS CORP 137300 1373000 UNIT 11/24/2030
BKV CORP 50000 1357500 COM
UPSTREAM BIO INC 50000 1357500 COM
FLOWCO HLDGS INC 70000 1311800 COM CL A
D-WAVE QUANTUM INC 50000 1307500 COM
EVOMMUNE INC 75000 1284000 COM SHS
CENTESSA PHARMACEUTICALS PLC 50000 1250500 SPONSORED ADS
COGENT BIOSCIENCES INC 35000 1243200 COM
RIGETTI COMPUTING INC 50000 1107500 COMMON STOCK
BOWHEAD SPECIALTY HLDGS INC 37500 1070250 COM SHS
URANIUM ENERGY CORP 75000 876000 COM
TERNS PHARMACEUTICALS INC 20000 808000 COM
INFINITY NAT RES INC 50000 736500 COM CL A
VIA TRANSN INC 25000 725250 COM CL A
DYNE THERAPEUTICS INC 35000 684600 COM
MNTN INC 50000 597000 CL A
FULCRUM THERAPEUTICS INC 50000 565500 COM