Universe · entity

Luxor Capital Group, LP

Institutional manager (13F) · CIK 1316580
13F holdings · as of 2026-03-31 · top 38 · reported portfolio $633M
#IssuerValueShares
1NRG ENERGY INC$87M594,225
2GOLAR LNG LTD$62M1,144,182
3TAIWAN SEMICONDUCTOR MANUFAC$52M154,565
4DOORDASH INC$43M287,397
5BROOKDALE SR LIVING INC$40M2,929,492
6HARROW INC$39M1,119,400
7BECTON DICKINSON & CO$39M247,240
8SPHERE ENTERTAINMENT CO$36M305,021
9PERFORMANCE FOOD GROUP CO$32M378,200
10FTAI AVIATION LTD$20M80,050
11A2Z CUST2MATE SOLUTIONS CORP$19M2,880,400
12AERCAP HOLDINGS NV$19M137,310
13CENTURI HOLDINGS INC$17M596,723
14NVIDIA CORPORATION$17M94,890
15TRIUMPH FINANCIAL INC$14M232,299
16AMAZON COM INC$13M61,210
17PEGASYSTEMS INC$10M245,983
18SPHERE ENTERTAINMENT CO$8M2,296,000
19LUXEXPERIENCE BV$7M920,435
20CINEMARK HLDGS INC$7M228,395
21GCI LIBERTY INC$6M170,622
22COUPANG INC$6M314,932
23NATIONAL CINEMEDIA INC$6M1,820,737
24VERSANT MEDIA GROUP INC$5M141,500
25SPDR GOLD TR$5M11,500
26GCI LIBERTY INC$4M117,435
27SIX FLAGS ENTERTAINMENT CORP$4M212,931
28XPONENTIAL FITNESS INC$4M609,275
29THRYV HLDGS INC$3M1,131,235
30ECHOSTAR CORP$3M25,000
31KLARNA GROUP PLC$2M165,470
32RESEARCH SOLUTIONS INC$1M651,959
33MARTI TECHNOLOGIES INC$712k355,990
34VERA BRADLEY INC$610k192,998
35ASTRONICS CORP$593k8,882
36META PLATFORMS INC$298k520
37SERVICETITAN INC$254k4,000
38UNITED HOMES GROUP INC$7k38,949
All filings on EDGAR ↗

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