Universe · entity

J. Goldman & Co LP

Institutional manager (13F) · CIK 1412741
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.1B
#IssuerValueShares
1CARRIER GLOBAL CORPORATION$45M796,738
2MADDEN STEVEN LTD$44M1,286,896
3CENTURI HOLDINGS INC$40M1,382,683
4GENERAC HLDGS INC$37M187,564
5ANDERSEN GROUP INC$33M1,200,000
6AMAZON COM INC$32M151,487
7COGENT BIOSCIENCES INC$30M779,570
8ABBOTT LABORATORIES$30M289,212
9TRACTOR SUPPLY CO$29M649,023
10ZEBRA TECHNOLOGIES CORPORATI$29M137,897
11SELECT SECTOR SPDR TR$28M561,907
12CRANE COMPANY$26M154,540
13GXO LOGISTICS INCORPORATED$24M466,028
14HILTON WORLDWIDE HLDGS INC$24M78,884
15AMERICAN EAGLE OUTFITTERS IN$23M1,388,271
16T-MOBILE US INC$23M109,360
17RESOLUTE HLDGS MGMT INC$23M140,650
18WARBY PARKER INC$23M1,081,483
19VICTORIAS SECRET AND CO$22M485,286
20SELECT SECTOR SPDR TR$22M166,160
21ALLISON TRANSMISSION HLDGS I$21M182,258
22GOLAR LNG LTD$20M372,145
23AXON ENTERPRISE INC$20M47,110
24STANDARDAERO INC$20M769,996
25WESTERN UN CO$20M2,254,146
26ELI LILLY & CO$19M21,180
27SELECT SECTOR SPDR TR$19M235,456
28OUTFRONT MEDIA INC$19M725,278
29EXPEDITORS INTL WASH INC$19M132,063
30BROADCOM INC$19M60,551
31ARDELYX INC$18M3,000,513
32GENERAL MTRS CO$18M238,446
33SONIDA SENIOR LIVING INC$18M550,676
34REGENCY CTRS CORP$18M234,473
35IONIS PHARMACEUTICALS INC$18M235,260
36NATIONAL PRESTO INDS INC$17M127,601
37ROKU INC$17M183,934
38TYSON FOODS INC$17M268,669
39UROGEN PHARMA LTD$17M938,870
40IDEX CORP$17M87,835
41CAPRICOR THERAPEUTICS INC$16M541,522
42URBAN OUTFITTERS INC$16M255,152
43GAMING & LEISURE P$16M362,757
44SPOTIFY TECHNOLOGY S A$16M32,502
45ECHOSTAR CORP$15M124,935
46RESIDEO TECHNOLOGIES INC$15M431,510
47FORGENT POWER SOLUTIONS INC$14M493,472
48META PLATFORMS INC$14M25,229
49PROCAP ACQUISITION CORP$14M1,409,073
50CROCS INC$14M171,196
All filings on EDGAR ↗

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