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Ghisallo Capital Management LLC Top Holdings and 13F Report (2025)

About Ghisallo Capital Management LLC

Investment Activity

  • Ghisallo Capital Management LLC has $3.74 billion in total holdings as of June 30, 2025.
  • Ghisallo Capital Management LLC owns shares of 185 different stocks, but just 50 companies or ETFs make up 80% of its holdings.
  • Approximately 82.47% of the portfolio was purchased this quarter.
  • About 13.71% of the portfolio was sold this quarter.
  • This quarter, Ghisallo Capital Management LLC has purchased 109 new stocks and bought additional shares in 14 stocks.
  • Ghisallo Capital Management LLC sold shares of 27 stocks and completely divested from 38 stocks this quarter.

Largest Holdings

T-Mobile US
$536,085,000
Brown & Brown
$232,827,000
Dell Technologies
$183,900,000
PINGA 06/11/30 CVT PUT
$174,340,150
ADT
$130,807,072

Largest New Holdings this Quarter

872590104 - T-Mobile US
$536,085,000 Holding
115236101 - Brown & Brown
$232,827,000 Holding
24703L202 - Dell Technologies
$183,900,000 Holding
YN1128530 - PINGA 06/11/30 CVT PUT
$174,340,150 Holding
874054109 - Take-Two Interactive Software
$97,140,000 Holding

Largest Purchases this Quarter

T-Mobile US
2,250,000 shares (about $536.09M)
Brown & Brown
2,100,000 shares (about $232.83M)
Dell Technologies
1,500,000 shares (about $183.90M)
PINGA 06/11/30 CVT PUT
1,296,000,000 shares (about $174.34M)
ADT
14,943,574 shares (about $126.57M)

Largest Sales this Quarter

American Electric Power
1,155,000 shares (about $119.84M)
UL SOLUTIONS INC
450,000 shares (about $32.79M)
LINEAGE INC
500,000 shares (about $21.76M)
GFL Environmental
300,000 shares (about $15.14M)
WUXIA 10/19/25 CVT
11,500,000 shares (about $12.42M)

Sector Allocation Over Time

Map of 500 Largest Holdings ofGhisallo Capital Management LLC

 
 
Selling
 
 
Neutral
 
 
Buying
Issuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSector
T-Mobile US, Inc. stock logo
TMUS
T-Mobile US
$536,085,000$536,085,000 New Holding2,250,00014.3%Computer and Technology
Brown & Brown, Inc. stock logo
BRO
Brown & Brown
$232,827,000$232,827,000 New Holding2,100,0006.2%Finance
Dell Technologies Inc. stock logo
DELL
Dell Technologies
$183,900,000$183,900,000 New Holding1,500,0004.9%Computer and Technology
PINGA 06/11/30 CVT PUT
$174,340,150$174,340,150 New Holding1,296,000,0004.7%CONVERTIBLE BOND
ADT Inc. stock logo
ADT
ADT
$130,807,072$126,572,072 2,988.7%15,443,5743.5%Industrials
LOAR HOLDINGS INC
$101,249,750$84,015,750 487.5%1,175,0002.7%COM SHS
Take-Two Interactive Software, Inc. stock logo
TTWO
Take-Two Interactive Software
$97,140,000$97,140,000 New Holding400,0002.6%Consumer Discretionary
Nasdaq, Inc. stock logo
NDAQ
Nasdaq
$89,420,000$80,478,000 900.0%1,000,0002.4%Finance
PRIMO BRANDS CORPORATION
$88,860,000$28,369,977 46.9%3,000,0002.4%CLASS A COM SHS
Chewy stock logo
CHWY
Chewy
$85,240,000$85,240,000 New Holding2,000,0002.3%Retail/Wholesale
MakeMyTrip Limited stock logo
MMYT
MakeMyTrip
$73,515,000$73,515,000 New Holding750,0002.0%Computer and Technology
MMYT 07/01/30 CVT PUT
$69,129,467$69,129,467 New Holding65,000,0001.8%CONVERTIBLE BOND
STANDARDAERO INC
$68,454,804$25,727,304 60.2%2,162,8691.8%COM
LPL Financial Holdings Inc. stock logo
LPLA
LPL Financial
$65,057,295$65,057,295 New Holding173,5001.7%Finance
GRAB 06/15/30 CVT PUT
$50,510,716$50,510,716 New Holding47,500,0001.3%CONVERTIBLE BOND
Elbit Systems Ltd. stock logo
ESLT
Elbit Systems
$44,950,000$44,950,000 New Holding100,0001.2%Aerospace
QXO INC
$43,080,000$43,080,000 New Holding2,000,0001.2%COM NEW
ALIBABA GROUP HLDG LTD
$41,437,399$41,437,399 New Holding32,500,0001.1%NOTE 0.500% 6/0
SANDISK CORP
$41,041,750$41,041,750 New Holding905,0001.1%COM
AMER SPORTS INC
$38,760,000$969,000 2.6%1,000,0001.0%COM SHS
GALAXY DIGITAL INC.
$38,325,000$38,325,000 New Holding1,750,0001.0%CL A
CenterPoint Energy, Inc. stock logo
CNP
CenterPoint Energy
$36,740,000$36,740,000 New Holding1,000,0001.0%Utilities
UL SOLUTIONS INC
$36,430,000$32,787,000 -47.4%500,0001.0%CLASS A COM SHS
AltC Acquisition Corp. stock logo
ALCC
AltC Acquisition
$36,393,500$36,393,500 New Holding650,0001.0%Energy
SERVICETITAN INC
$36,059,899$9,317,435 34.8%341,5411.0%SHS CL A
Blue Owl Capital Inc. stock logo
OWL
Blue Owl Capital
$36,018,750$36,018,750 New Holding1,875,0001.0%Finance
DASH 05/15/30 CVT
$35,152,469$35,152,469 New Holding32,500,0000.9%CONVERTIBLE BOND
CHTFK 0.375 06/30/30 CVT PUT
$30,010,780$30,010,780 New Holding234,000,0000.8%CONVERTIBLE BOND
PINGA 0.875 07/22/29
$29,274,251$5,091,174 -14.8%23,000,0000.8%CONVERTIBLE BOND
WAYSTAR HLDG CORP
$28,609,000$2,043,500 7.7%700,0000.8%COM
CARIS LIFE SCIENCES INC
$28,006,915$28,006,915 New Holding1,048,1630.7%COM
Kratos Defense & Security Solutions, Inc. stock logo
KTOS
Kratos Defense & Security Solutions
$27,870,000$27,870,000 New Holding600,0000.7%Aerospace
American Electric Power Company, Inc. stock logo
AEP
American Electric Power
$25,940,000$119,842,800 -82.2%250,0000.7%Utilities
WUXIA 10/19/25 CVT
$25,917,985$12,419,034 -32.4%24,000,0000.7%CONVERTIBLE BOND
BIRKENSTOCK HOLDING PLC
$24,590,000$24,590,000 New Holding500,0000.7%COM SHS
Essential Utilities Inc. stock logo
WTRG
Essential Utilities
$23,844,994$23,844,994 New Holding642,0300.6%Utilities
Intel Corporation stock logo
INTC
Intel
$22,400,000$22,400,000 New Holding1,000,0000.6%Computer and Technology
LINEAGE INC
$21,764,352$21,760,000 -50.0%500,1000.6%COM
JPM 0.100 05/20/30 MTN
$19,437,415$19,437,415 New Holding17,000,0000.5%CONVERTIBLE BOND
GDS Holdings stock logo
GDS
GDS
$18,342,000$18,342,000 New Holding600,0000.5%Business Services
Agree Realty Corporation stock logo
ADC
Agree Realty
$18,265,000$18,265,000 New Holding250,0000.5%Finance
WEC 3.375 06/01/28 CVT
$17,530,962$17,530,962 New Holding17,500,0000.5%CONVERTIBLE BOND
Kodiak Gas Services, Inc. stock logo
KGS
Kodiak Gas Services
$17,135,000$1,028,100 6.4%500,0000.5%Energy
CPETR 0.750 05/20/32 CVT PUT
$17,025,511$17,025,511 New Holding131,000,0000.5%CONVERTIBLE BOND
KLAVIYO INC
$16,790,000$16,790,000 New Holding500,0000.4%COM SER A
EOSE 6.750 06/15/30 CVT
$16,785,004$16,785,004 New Holding15,000,0000.4%CONVERTIBLE BOND
SiTime Corporation stock logo
SITM
SiTime
$16,538,843$16,538,843 New Holding77,6180.4%Computer and Technology
VSE Corporation stock logo
VSEC
VSE
$16,372,500$13,098,000 400.0%125,0000.4%Construction
CABLG 1.500 12/01/30 CVT
$15,302,651$15,302,651 New Holding13,000,0000.4%CONVERTIBLE BOND
FE 3.875 06/15/31 CVT
$15,195,837$15,195,837 New Holding15,000,0000.4%CONVERTIBLE BOND
FORD MTR CO
$14,802,297$14,802,297 New Holding15,000,0000.4%NOTE 3/1
Ryman Hospitality Properties, Inc. stock logo
RHP
Ryman Hospitality Properties
$14,800,500$14,800,500 New Holding150,0000.4%Finance
SFLDI 07/08/26 CVT
$14,699,887$14,699,887 New Holding112,000,0000.4%CONVERTIBLE BOND
Hudson Pacific Properties, Inc. stock logo
HPP
Hudson Pacific Properties
$14,385,000$14,385,000 New Holding5,250,0000.4%Finance
Sportradar Group AG stock logo
SRAD
Sportradar Group
$14,040,000$14,040,000 New Holding500,0000.4%Consumer Discretionary
Diamondback Energy, Inc. stock logo
FANG
Diamondback Energy
$13,740,0000.0%100,0000.4%Energy
CIRCLE INTERNET GROUP INC
$13,596,750$13,596,750 New Holding75,0000.4%COM CL A
VIKING HOLDINGS LTD
$13,322,5000.0%250,0000.4%ORD SHS
GFL Environmental Inc. stock logo
GFL
GFL Environmental
$12,615,000$15,138,000 -54.5%250,0000.3%Business Services
UBER TECHNOLOGIES INC
$11,968,239$2,992,060 33.3%10,000,0000.3%NOTE 12/1
Life Time Group Holdings, Inc. stock logo
LTH
Life Time Group
$11,818,812$11,818,812 New Holding389,6740.3%Consumer Discretionary
IDACORP, Inc. stock logo
IDA
IDACORP
$11,545,000$11,545,000 New Holding100,0000.3%Utilities
KARMAN HLDGS INC
$11,333,2500.0%225,0000.3%COMMON STOCK
LCID 5.000 04/01/30 CVT
$11,327,920$11,327,920 New Holding12,500,0000.3%CONVERTIBLE BOND
ODDITY TECH LTD
$11,320,500$11,320,500 New Holding150,0000.3%SHS CL A
Hesai Group Sponsored ADR stock logo
HSAI
Hesai Group
$10,975,000$10,975,000 New Holding500,0000.3%Auto/Tires/Trucks
SMARTSTOP SELF STORAG REIT I
$10,869,000$10,869,000 New Holding300,0000.3%COMMON STOCK
Li Auto Inc. Sponsored ADR stock logo
LI
Li Auto
$10,844,000$10,844,000 New Holding400,0000.3%Auto/Tires/Trucks
EQV VENTURES ACQUISITION COR
$10,510,0000.0%1,000,0000.3%CL A ORD SHS
SAILPOINT INC
$10,287,0000.0%450,0000.3%COM
NEW PROVIDENCE ACQUISITION C
$10,160,000$10,160,000 New Holding1,000,0000.3%USD CL A ORD SHS
CENTURI HOLDINGS INC
$10,098,000$10,098,000 New Holding450,0000.3%COM SHS
TITAN ACQUISITION CORP
$10,065,000$10,065,000 New Holding1,000,0000.3%CL A
QFUTG 0.500 04/01/30 CVT PUT
$9,830,861$1,966,172 -16.7%10,000,0000.3%CONVERTIBLE BOND
NEWBURY STR II ACQUISITION C
$9,775,5000.0%950,0000.3%ORD SHS CL A
AMERICAN HEALTHCARE REIT INC
$9,644,250$9,644,250 -50.0%262,5000.3%COM SHS
Ameren Corporation stock logo
AEE
Ameren
$9,604,000$9,604,000 New Holding100,0000.3%Utilities
VIPER ENERGY INC
$9,532,5000.0%250,0000.3%CL A
LNT 3.250 05/30/28 CVT
$9,458,539$9,458,539 New Holding9,500,0000.3%CONVERTIBLE BOND
ALDEL FINL II INC
$9,441,0000.0%900,0000.3%CL A
ANICB 12/05/29 CVT PUT
$9,415,273$3,138,424 -25.0%7,500,0000.3%CONVERTIBLE BOND
CorMedix Inc stock logo
CRMD
CorMedix
$9,240,000$9,240,000 New Holding750,0000.2%Medical
XPeng Inc. Sponsored ADR stock logo
XPEV
XPeng
$8,940,000$8,940,000 New Holding500,0000.2%Auto/Tires/Trucks
IQX 4.625 03/15/30 CVT PUT
$8,887,573$4,443,787 -33.3%10,000,0000.2%CONVERTIBLE BOND
HIMS 05/15/30 CVT
$8,884,981$8,884,981 New Holding8,500,0000.2%CONVERTIBLE BOND
LANDBRIDGE COMPANY LLC
$8,848,655$8,046,345 -47.6%130,9360.2%CL A
MAREX GROUP PLC
$8,707,082$7,720,332 782.4%220,6000.2%ORD
Kingsoft Cloud Holdings Limited Sponsored ADR stock logo
KC
Kingsoft Cloud
$8,701,400$8,701,400 New Holding695,0000.2%Computer and Technology
SLIDE INS HLDGS INC
$8,664,000$8,664,000 New Holding400,0000.2%COM
ONESTREAM INC
$8,229,000$8,229,000 New Holding300,0000.2%CL A
ARCHIMEDES TECH SPAC PARTNER
$8,184,000$8,184,000 New Holding800,0000.2%ORD SHS
CHIME FINL INC
$7,764,750$7,764,750 New Holding225,0000.2%COM SHS CL A
XTEPI 1.500 02/18/26 CVT
$7,355,3630.0%56,000,0000.2%CONVERTIBLE BOND
American Superconductor Corporation stock logo
AMSC
American Superconductor
$7,338,000$7,338,000 New Holding200,0000.2%Computer and Technology
Novagold Resources Inc. stock logo
NG
Novagold Resources
$7,122,776$7,122,776 New Holding1,741,5100.2%Basic Materials
BBB FOODS INC
$6,940,000$6,940,000 -50.0%250,0000.2%CL A COM
ETORO GROUP LTD
$6,659,000$6,659,000 New Holding100,0000.2%SHS CL A
NABORS ENERGY TRANSITION COR
$6,657,7800.0%599,8000.2%CL A
AGRICULTURE & NAT SOL ACQ CO
$6,510,0000.0%600,0000.2%SHS CL A
COINCHECK GROUP NV
$6,423,1040.0%1,174,2420.2%SHS

Showing largest 100 holdings. View all holdings.
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