Universe · entity

KINGDON CAPITAL MANAGEMENT, L.L.C.

Institutional manager (13F) · CIK 1000097
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $596M
#IssuerValueShares
1SYNDAX PHARMACEUTICALS INC$58M2,500,000
2NVIDIA CORPORATION$35M200,000
3NEXGEN ENERGY LTD$29M2,500,000
4KEYSIGHT TECHNOLOGIES INC$23M80,000
5WARBY PARKER INC$22M1,053,644
6SOLENO THERAPEUTICS INC$19M575,000
7API GROUP CORP$18M450,000
8MAPLEBEAR INC$18M470,000
9HOWMET AEROSPACE INC$16M70,000
10TAIWAN SEMICONDUCTOR MANUFAC$15M45,000
11EVERUS CONSTR GROUP$15M125,000
12AMERICAN HEALTHCARE REIT INC$14M300,000
13ISHARES TR$13M700,000
14OLEMA PHARMACEUTICALS INC$13M855,000
15GARRETT MOTION INC$13M700,000
16AERCAP HOLDINGS NV$12M90,000
17DARLING INGREDIENTS INC$12M190,000
18ICON PLC$12M105,300
19BROOKDALE SR LIVING INC$12M850,000
20FLEXTRONICS INTL LTD$11M175,000
21ALIBABA GROUP HLDG LTD$11M90,000
22SPORTRADAR GROUP AG$11M674,000
23VSE CORP$11M60,000
24HEICO CORP NEW$11M40,000
25AAR CORP$11M100,000
26TELEDYNE TECHNOLOGIES INC$11M17,500
27WAYSTAR HLDG CORP$11M438,000
28RALLIANT CORP$10M250,000
29CRANE COMPANY$10M60,000
30WELLTOWER INC$10M50,000
31ACADIA HEALTHCARE COMPANY IN$9M396,192
32ISHARES INC$9M75,000
33COGNEX CORP$9M185,000
34COLLECTIVE MINING LTD$7M425,000
35ZEVRA THERAPEUTICS INC$7M775,000
36WOLVERINE WORLD WIDE INC$7M436,000
37GENESCO INC$7M244,000
38GXO LOGISTICS INCORPORATED$6M125,000
39AXON ENTERPRISE INC$6M14,500
40CREDO TECHNOLOGY GROUP HOLDI$6M65,000
41FORGENT POWER SOLUTIONS INC$6M200,000
42LOWES COS INC$5M21,250
43ALDEYRA THERAPEUTICS INC$4M2,152,315
44THE REALREAL INC$4M400,000
45VICOR CORP$3M20,000
46ELEDON PHARMACEUTICALS INC$3M1,039,275
47TETRA TECH INC NEW$3M100,000
48ITRON INC$2M25,000
49NIOCORP DEVS LTD$2M450,000
50SCYNEXIS INC$2M1,982,491
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.