Universe · entity

PRELUDE CAPITAL MANAGEMENT, LLC

Institutional manager (13F) · CIK 1387508
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $445M
#IssuerValueShares
1SPDR GOLD TR$19M44,591
2BRIGHTHOUSE FINL INC$18M305,482
3NVIDIA CORPORATION$17M96,108
4PENUMBRA INC$16M47,958
5MICRON TECHNOLOGY INC$15M45,796
6META PLATFORMS INC$15M26,775
7CLEARWATER ANALYTICS HLDGS I$15M623,487
8NORFOLK SOUTHN CORP$15M51,082
9WARNER BROS DISCOVERY INC$14M528,029
10AMAZON COM INC$14M66,042
11CHART INDS INC$12M57,986
12TXNM ENERGY INC$12M200,990
13SEAGATE TECHNOLOGY HLDNGS PL$11M29,162
14ARCELLX INC$11M98,849
15VERSANT MEDIA GROUP INC$10M278,123
16CORE NATURAL RESOURCES INC$10M98,206
17HOLOGIC INC$10M126,508
18APPIAN CORP$9M390,321
19FLUOR CORP$9M198,966
20AMICUS THERAPEUTIC$9M639,885
21ZOOMINFO TECHNOLOGIES INC$9M1,486,893
22ALPHABET INC$8M27,938
23WEBSTER FINL CORP$8M114,311
24ALLIED GOLD CORP$8M252,523
25ELECTRONIC ARTS INC$7M36,516
26TAIWAN SEMICONDUCTOR MANUFAC$7M21,667
27WORKDAY INC$7M56,020
28COHERENT CORP$7M28,799
29CORNING INC$6M46,887
30SEALED AIR CORP NEW$6M146,476
31MONDAY COM LTD$6M86,258
32PG&E CORP$6M336,656
33NICE LTD$6M53,569
34ACADIA HEALTHCARE COMPANY IN$6M241,970
35KENVUE INC$6M326,774
36VICTORIAS SECRET AND CO$6M121,067
37VALARIS LTD$6M57,045
38AIR LEASE CORP$5M84,233
39EQUINIX INC$5M5,566
40DIGITALBRIDGE GROUP INC$5M347,442
41AES CORP$5M378,027
42MICROSOFT CORP$5M14,269
43TRI POINTE HOMES INC$5M112,253
44IHS HOLDING LIMITED$5M632,256
45CENTENE CORP DEL$5M158,812
46NCR ATLEOS CORPORATION$5M118,919
47SELECT SECTOR SPDR TR$5M84,423
48TARGET CORP$5M42,132
49ISHARES TR$5M49,800
50AXT INC$5M87,092
All filings on EDGAR ↗

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