CIK 2010235
GAMMA Investing LLC
Institutional 13F holdings & portfolio
Holdings
4,094
Portfolio Value
$1.99B
Latest Report
Dec 31, 2025
Report Periods
5
Holdings
13F filings as of Dec 31, 2025 · Showing 1451–1500 of 4,094
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| DUOL | DUOLINGO INC CL A COM | 677 | $119K | SH |
| — | PORSCHE AUTOMOBIL HLDG SE UNSPONSORD ADR | 26K | $119K | SH |
| ARES | ARES MANAGEMENT CORPORATION CL A COM STK | 735 | $119K | SH |
| LGND | LIGAND PHARMACEUTICALS INC COM NEW | 627 | $119K | SH |
| — | HENKEL AG CO KGAA SPONSORED ADR | 6K | $118K | SH |
| CVBF | CVB FINL CORP COM | 6K | $118K | SH |
| — | AIRBUS SE SHS | 506 | $118K | SH |
| REXR | REXFORD INDL RLTY INC COM | 3K | $118K | SH |
| DOCS | DOXIMITY INC CL A | 3K | $118K | SH |
| PSO | PEARSON PLC SPONSORED ADR | 8K | $118K | SH |
| DCOM | DIME CMNTY BANCSHARES INC COM | 4K | $118K | SH |
| IBDT | ISHARES TR IBDS DEC28 ETF | 5K | $118K | SH |
| FCPT | FOUR CORNERS PPTY TR INC COM | 5K | $118K | SH |
| FR | FIRST INDL RLTY TR INC COM | 2K | $118K | SH |
| SAFT | SAFETY INS GROUP INC COM | 2K | $118K | SH |
| WAFD | WAFD INC COM | 4K | $117K | SH |
| AHR | AMERICAN HEALTHCARE REIT INC COM SHS | 2K | $117K | SH |
| NWBI | NORTHWEST BANCSHARES INC MD COM | 10K | $117K | SH |
| — | BOLIDEN AB ADR | 1K | $117K | SH |
| FNX | FIRST TR EXCHANGE TRADED ALPHA COM SHS | 927 | $117K | SH |
| CIVI | CIVITAS RESOURCES INC COM NEW | 4K | $117K | SH |
| — | ASICS CORP UNSPONSORD ADR | 5K | $117K | SH |
| INVA | INNOVIVA INC COM | 6K | $116K | SH |
| IBDS | ISHARES TR IBONDS 27 ETF | 5K | $116K | SH |
| DAR | DARLING INGREDIENTS INC COM | 3K | $116K | SH |
| TBBK | BANCORP INC DEL COM | 2K | $116K | SH |
| NWN | NORTHWEST NAT HLDG CO COM | 2K | $116K | SH |
| TPC | TUTOR PERINI CORP COM | 2K | $116K | SH |
| ATMU | ATMUS FILTRATION TECHNOLOGIES COM | 2K | $115K | SH |
| — | TELENOR ASA SPONSORED ADR | 8K | $115K | SH |
| LCII | LCI INDS COM | 947 | $115K | SH |
| PEB | PEBBLEBROOK HOTEL TR COM | 10K | $115K | SH |
| — | BAE SYSTEMS PLC ORD | 5K | $115K | SH |
| PECO | PHILLIPS EDISON CO INC COMMON STOCK | 3K | $114K | SH |
| HRB | BLOCK H R INC COM | 3K | $114K | SH |
| VMI | VALMONT INDS INC COM | 283 | $114K | SH |
| FDL | FIRST TR EXCHANGE TRADED FD SHS | 3K | $114K | SH |
| BMI | BADGER METER INC COM | 652 | $114K | SH |
| SON | SONOCO PRODS CO COM | 3K | $114K | SH |
| — | PAN PAC INTL HLDGS CORP UNSPONSORED ADS | 10K | $113K | SH |
| — | REDEIA CORPORACION S A UNSPONSORED ADR | 12K | $113K | SH |
| AVT | AVNET INC COM | 2K | $112K | SH |
| PGY | PAGAYA TECHNOLOGIES LTD CL A NEW | 5K | $112K | SH |
| ANIP | ANI PHARMACEUTICALS INC COM | 1K | $112K | SH |
| AKR | ACADIA RLTY TR COM SH BEN INT | 5K | $112K | SH |
| TKR | TIMKEN CO COM | 1K | $112K | SH |
| IJT | ISHARES TR S P SML 600 GWT | 786 | $111K | SH |
| DOC | HEALTHPEAK PROPERTIES INC COM | 7K | $111K | SH |
| — | QBE INS GROUP LTD SPONSORED ADR | 8K | $111K | SH |
| GBCI | GLACIER BANCORP INC NEW COM | 3K | $111K | SH |