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Elequin Capital, Lp Top Holdings and 13F Report (2026)

About Elequin Capital, Lp

Investment Activity

  • Elequin Capital, Lp has $1.19 billion in total holdings as of March 31, 2026.
  • Elequin Capital, Lp owns shares of 618 different stocks, but just 10 companies or ETFs make up 80% of its holdings.
  • Approximately 80.50% of the portfolio was purchased this quarter.
  • About 78.77% of the portfolio was sold this quarter.
  • This quarter, Elequin Capital, Lp has purchased 394 new stocks and bought additional shares in 59 stocks.
  • Elequin Capital, Lp sold shares of 213 stocks and completely divested from 113 stocks this quarter.

Largest Holdings

DUKE ENERGY CORP NEW
$510,927,517
NVIDIA
$143,500,506
H WORLD GROUP LTD
$93,603,919
VENTAS RLTY LTD PARTNERSHIP
$50,192,780
FIRSTENERGY CORP
$50,150,735

Largest New Holdings this Quarter

26441CBY0 - DUKE ENERGY CORP NEW
$510,927,517 Holding
44332NAB2 - H WORLD GROUP LTD
$93,603,919 Holding
92277GAZ0 - VENTAS RLTY LTD PARTNERSHIP
$50,192,780 Holding
337932AR8 - FIRSTENERGY CORP
$50,150,735 Holding
12653CAG3 - CNX RES CORP
$24,791,390 Holding

Largest Purchases this Quarter

DUKE ENERGY CORP NEW
463,249,085 shares (about $510.93M)
H WORLD GROUP LTD
69,562,164 shares (about $93.60M)
VENTAS RLTY LTD PARTNERSHIP
33,700,000 shares (about $50.19M)
FIRSTENERGY CORP
45,877,368 shares (about $50.15M)
CNX RES CORP
8,106,000 shares (about $24.79M)

Largest Sales this Quarter

Tesla
618,371 shares (about $229.88M)
Microsoft
500,005 shares (about $185.00M)
NVIDIA
697,856 shares (about $121.71M)
Amazon.com
299,876 shares (about $62.45M)
Advanced Micro Devices
209,940 shares (about $42.71M)

Sector Allocation Over Time

Map of 500 Largest Holdings ofElequin Capital, Lp

 
 
Selling
 
 
Neutral
 
 
Buying
Issuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSector
DUKE ENERGY CORP NEW
$510,927,517$510,927,517 â–²New Holding463,249,08542.9%NOTE 4.125% 4/1
NVIDIA Corporation stock logo
NVDA
NVIDIA
$143,500,506$121,706,087 â–¼-45.9%822,82412.1%Computer and Technology
H WORLD GROUP LTD
$93,603,919$93,603,919 â–²New Holding69,562,1647.9%NOTE 3.000% 5/0
VENTAS RLTY LTD PARTNERSHIP
$50,192,780$50,192,780 â–²New Holding33,700,0004.2%NOTE 3.750% 6/0
FIRSTENERGY CORP
$50,150,735$50,150,735 â–²New Holding45,877,3684.2%NOTE 4.000% 5/0
SPDR S&P 500 ETF Trust stock logo
SPY
SPDR S&P 500 ETF Trust
$28,796,405$481,252 â–¼-1.6%44,2792.4%Finance
CNX RES CORP
$24,791,390$24,791,390 â–²New Holding8,106,0002.1%NOTE 2.250% 5/0
Invesco BulletShares 2029 Municipal Bond ETF stock logo
BSMT
Invesco BulletShares 2029 Municipal Bond ETF
$22,141,147$20,311,980 â–²1,110.4%943,3761.9%ETF
iShares 20+ Year Treasury Bond ETF stock logo
TLT
iShares 20+ Year Treasury Bond ETF
$20,337,072$20,337,072 â–²New Holding395,3801.7%ETF
ISHARES BITCOIN TRUST ETF
$14,763,423$8,694,792 â–²143.3%384,2641.2%SHS BEN INT
iShares AAA CLO Active ETF stock logo
CLOA
iShares AAA CLO Active ETF
$12,574,507$12,566,538 â–²157,687.1%317,1521.1%ETF
NEXTERA ENERGY INC
$12,243,207$11,427,976 â–²1,401.8%235,9041.0%UNIT 06/01/2027
SPDR Gold Shares stock logo
GLD
SPDR Gold Shares
$11,617,830$10,972,395 â–²1,700.0%27,0001.0%Finance
BITWISE SOLANA STAKING ETF
$9,281,481$34,206,901 â–¼-78.7%839,9530.8%COM SHS OF BENEF
BITWISE BITCOIN ETF TR
$8,469,245$2,579,645 â–²43.8%230,0800.7%SHS BEN INT
GOLDMAN SACHS ETF TR
$8,162,015$8,162,015 â–²New Holding160,5960.7%DYNAMIC CAL MUNI
LUMENTUM HLDGS INC
$8,146,717$8,146,717 â–²New Holding779,3700.7%NOTE 1.500%12/1
Schwab International Dividend Equity ETF stock logo
SCHY
Schwab International Dividend Equity ETF
$7,947,822$7,947,822 â–²New Holding292,6580.7%ETF
Capital Group Municipal Income ETF stock logo
CGMU
Capital Group Municipal Income ETF
$7,224,412$6,801,667 â–²1,608.9%274,2830.6%ETF
First Trust Emerging Markets Local Currency Bond ETF stock logo
FEMB
First Trust Emerging Markets Local Currency Bond ETF
$6,706,742$6,441,071 â–²2,424.4%153,6380.6%Manufacturing
FIDELITY WISE ORIGIN BITCOIN
$5,531,111$5,058,871 â–²1,071.3%93,7000.5%SHS
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund stock logo
GRID
First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund
$5,315,453$5,315,453 â–²New Holding216,0610.4%ETF
GRAYSCALE SOLANA STAKING ETF
$5,094,447$5,636,762 â–¼-52.5%831,0680.4%SHS
Coinbase Global, Inc. stock logo
COIN
Coinbase Global
$4,233,419$848,430 â–²25.1%24,2450.4%Finance
HEWLETT PACKARD ENTERPRISE C
$4,162,580$4,162,580 â–²New Holding63,9590.3%7.625 MAND CONV
Strategy Inc stock logo
MSTR
Strategy
$4,135,997$397,363 â–²10.6%33,1410.3%Computer and Technology
JPMorgan Ultra-Short Municipal ETF stock logo
JMST
JPMorgan Ultra-Short Municipal ETF
$4,096,803$2,949,590 â–¼-41.9%81,9030.3%ETF
ORACLE CORP
$4,052,601$4,052,601 â–²New Holding88,4080.3%6.5 DEP CUM SR D
MICROCHIP TECHNOLOGY INC.
$3,665,372$2,611,239 â–²247.7%63,3640.3%DEP SHS REPSTG
DIMENSIONAL ETF TRUST
$3,567,179$3,567,179 â–²New Holding73,0870.3%DIMENSIONAL INTE
Putnam Focused Large Cap Value ETF stock logo
PVAL
Putnam Focused Large Cap Value ETF
$3,546,565$3,546,565 â–²New Holding401,0860.3%ETF
RBB FUND TRUST
$3,262,552$3,262,552 â–²New Holding69,4160.3%FIRST EAGLE GBL
NYLI MacKay Municipal Insured ETF stock logo
MMIN
NYLI MacKay Municipal Insured ETF
$3,171,505$1,993,030 â–²169.1%132,8670.3%ETF
LONZ
PIMCO Senior Loan Active Exchange-Traded Fund
$3,138,842$3,135,527 â–²94,600.0%75,7600.3%ETF
ALBEMARLE CORP
$3,071,038$3,071,038 â–²New Holding39,2280.3%7.25% DEP SHS A
Capital Group Dividend Value ETF stock logo
CGDV
Capital Group Dividend Value ETF
$3,065,390$3,065,390 â–²New Holding72,0590.3%ETF
Tesla, Inc. stock logo
TSLA
Tesla
$2,876,602$229,879,459 â–¼-98.8%7,7380.2%Auto/Tires/Trucks
MORGAN STANLEY ETF TRUST
$2,824,366$2,824,366 â–²New Holding56,3150.2%EATON VANCE SHRT
The Boeing Company stock logo
BA
Boeing
$2,704,221$2,383,783 â–²743.9%13,5870.2%Aerospace
SUPER MICRO COMPUTER INC
$2,518,408$1,693,474 â–²205.3%110,6020.2%COM NEW
Franklin Income Focus ETF stock logo
INCM
Franklin Income Focus ETF
$2,414,266$2,388,558 â–²9,291.2%84,3330.2%ETF
PALANTIR TECHNOLOGIES INC
$2,394,457$438,840 â–¼-15.5%16,3690.2%CL A
Invesco Variable Rate Investment Grade ETF stock logo
VRIG
Invesco Variable Rate Investment Grade ETF
$2,290,741$2,283,675 â–²32,320.4%46,0370.2%ETF
Hims & Hers Health, Inc. stock logo
HIMS
Hims & Hers Health
$2,270,168$2,265,061 â–²44,352.4%109,3530.2%Medical
VanEck Gold Miners ETF stock logo
GDX
VanEck Gold Miners ETF
$2,099,047$1,738,770 â–²482.6%60,1730.2%ETF
ARK 21SHARES BITCOIN ETF
$2,089,681$2,051,763 â–²5,411.0%92,9160.2%SHS BEN INT
GDMN
WisdomTree Efficient Gold Plus Gold Miners Strategy Fund
$2,015,206$2,015,206 â–²New Holding24,1230.2%Finance
iShares Interest Rate Hedged High Yield Bond ETF stock logo
HYGH
iShares Interest Rate Hedged High Yield Bond ETF
$1,800,633$1,800,633 â–²New Holding21,1990.2%ETF
BITMINE IMMERSION TECNOLOGIE
$1,745,249$1,745,249 â–²New Holding88,2330.1%COM NEW
PG&E CORP
$1,736,835$960,034 â–²123.6%40,5410.1%PFD CONV SER A
TAFI
AB Tax-Aware Short Duration Municipal ETF
$1,625,790$1,625,790 â–²New Holding64,4290.1%ETF
ARES MANAGEMENT CORPORATION
$1,568,329$1,150,926 â–²275.7%42,9540.1%6.75 SE B PFD
Invesco National AMT-Free Municipal Bond ETF stock logo
PZA
Invesco National AMT-Free Municipal Bond ETF
$1,509,866$1,509,866 â–²New Holding65,7000.1%ETF
VANECK SOLANA TR
$1,496,454$78,531 â–²5.5%137,2000.1%COM SHS BEN INT
BRIGHTSPRING HEALTH SVCS INC
$1,378,755$1,360,156 â–²7,313.0%9,7110.1%UNIT 02/01/2027
GLOBAL X FDS
$1,263,006$1,263,006 â–²New Holding17,8290.1%DEFENSE TECH ETF
American Century Diversified Municipal Bond ETF stock logo
TAXF
American Century Diversified Municipal Bond ETF
$1,209,909$1,209,909 â–²New Holding24,1740.1%ETF
VANGUARD MUN BD FDS
$1,052,804$144,877 â–¼-12.1%12,3610.1%INTERMEDIATE TRM
VANGUARD CALIF TAX FREE FDS
$962,661$962,364 â–²323,766.7%9,7160.1%TAX EXEMPT BD FD
WHIRLPOOL CORP
$950,145$950,145 â–²New Holding23,1220.1%8.5 DEP SR A CNV
ETF OPPORTUNITIES TRUST
$936,624$928,239 â–²11,070.4%41,1070.1%T REX 2X INVERSE
SPDR Nuveen ICE Short Term Municipal Bond ETF stock logo
SHM
SPDR Nuveen ICE Short Term Municipal Bond ETF
$920,601$920,601 â–²New Holding31,2140.1%Finance
VSE Corporation stock logo
VSEC
VSE
$878,850$878,850 â–²New Holding4,7660.1%Construction
Southern Copper Corporation stock logo
SCCO
Southern Copper
$813,500$813,500 â–²New Holding4,7280.1%Basic Materials
JPMorgan Chase & Co. stock logo
JPM
JPMorgan Chase & Co.
$797,468$797,468 â–²New Holding2,7110.1%Finance
COINSHARES BITCOIN ETF
$787,544$738,782 â–²1,515.1%41,1680.1%COM
iShares MSCI France ETF stock logo
EWQ
iShares MSCI France ETF
$786,098$786,098 â–²New Holding12,2920.1%ETF
TIDAL TRUST III
$777,933$777,933 â–²New Holding18,5620.1%VISTASHARES ARTI
Credicorp Ltd. stock logo
BAP
Credicorp
$768,243$768,243 â–²New Holding2,2650.1%Finance
SPROTT ASSET MANAGEMENT LP
$731,700$731,700 â–²New Holding30,0000.1%PHYSICAL SILVER
ISHARES STAKED ETHEREUM TR E
$629,021$629,021 â–²New Holding23,3230.1%SHARES OF FRACTI
Rigetti Computing, Inc. stock logo
RGTI
Rigetti Computing
$583,516$583,516 â–²New Holding41,5610.0%Computer and Technology
LATAM AIRLINES GROUP SA
$557,485$557,485 â–²New Holding11,2760.0%SPONSORED ADR
Compania Cervecerias Unidas, S.A. stock logo
CCU
Compania Cervecerias Unidas
$531,305$531,305 â–²New Holding46,8110.0%Consumer Staples
KKR & Co. Inc. stock logo
KKR
KKR & Co. Inc.
$513,098$499,778 â–²3,752.1%5,5470.0%Finance
Taiwan Semiconductor Manufacturing Company Ltd. stock logo
TSM
Taiwan Semiconductor Manufacturing
$511,656$1,178,093 â–¼-69.7%1,5140.0%Computer and Technology
QXO INC
$490,976$486,509 â–²10,892.2%25,2820.0%COM NEW
APOLLO GLOBAL MGMT INC
$480,676$480,676 â–²New Holding7,2080.0%SER A MAND CNV
Advanced Micro Devices, Inc. stock logo
AMD
Advanced Micro Devices
$456,700$42,708,061 â–¼-98.9%2,2450.0%Computer and Technology
Broadcom Inc. stock logo
AVGO
Broadcom
$455,599$30,495,420 â–¼-98.5%1,4720.0%Computer and Technology
ROCKET LAB CORP
$445,815$445,815 â–²New Holding6,9420.0%COM
FIDELITY SOLANA FD
$424,778$3,160,470 â–¼-88.2%43,5670.0%BENEFICIAL INT
Vanguard Short-Term Tax-Exempt Bond ETF stock logo
VTES
Vanguard Short-Term Tax-Exempt Bond ETF
$393,030$393,030 â–²New Holding3,8860.0%ETF
AstraZeneca PLC stock logo
AZNCF
AstraZeneca
$345,727$345,727 â–²New Holding1,7530.0%Medical
CALAMOS ETF TR
$308,601$590,645 â–¼-65.7%11,3300.0%AUTOCALLABLE INC
Columbia Multi-Sector Municipal Income ETF stock logo
MUST
Columbia Multi-Sector Municipal Income ETF
$303,958$303,958 â–²New Holding14,8200.0%ETF
BRUKER CORP
$302,539$279,875 â–²1,234.9%1,1480.0%6.375 PREF SER A
HMOP
Hartford Municipal Opportunities ETF
$285,243$285,243 â–²New Holding7,3630.0%ETF
Fidelity International Value Factor ETF stock logo
FIVA
Fidelity International Value Factor ETF
$283,075$283,075 â–²New Holding8,1320.0%ETF
TIDAL TRUST II
$273,520$198,887 â–¼-42.1%8,9240.0%YIELDMAX ULTRA O
Hubbell Inc stock logo
HUBB
Hubbell
$257,148$257,148 â–²New Holding5240.0%Industrials
National Grid Transco, PLC stock logo
NGG
National Grid Transco
$255,577$255,577 â–²New Holding3,0210.0%Utilities
PPL CORP
$251,592$251,592 â–²New Holding5,0610.0%UNIT 02/15/2029
Kratos Defense & Security Solutions, Inc. stock logo
KTOS
Kratos Defense & Security Solutions
$238,394$238,394 â–²New Holding3,3810.0%Aerospace
FORTUNA MNG CORP
$228,350$228,350 â–²New Holding22,9960.0%COM NEW
Novanta Inc. stock logo
NOVT
Novanta
$223,818$178,700 â–²396.1%1,8950.0%Computer and Technology
Eaton Corporation, PLC stock logo
ETN
Eaton
$213,529$213,529 â–²New Holding5970.0%Industrials
RTX Corporation stock logo
RTX
RTX
$211,033$211,033 â–²New Holding1,0940.0%Aerospace
TOTALENERGIES SE
$210,437$210,437 â–²New Holding2,3130.0%ACT
Micron Technology, Inc. stock logo
MU
Micron Technology
$194,596$194,596 â–²New Holding5760.0%Computer and Technology

Showing largest 100 holdings. View all holdings.
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