Universe · entity

Clearline Capital LP

Institutional manager (13F) · CIK 1600136
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.1B
#IssuerValueShares
1CORE SCIENTIFIC INC NEW$122M8,139,316
2NVIDIA CORPORATION$52M299,664
3ROGERS CORP$50M468,423
4VISTRA CORP$43M286,959
5PRIMO BRANDS CORPORATION$43M2,283,333
6ECHOSTAR CORP$40M345,756
7MICRON TECHNOLOGY INC$40M117,328
8TALEN ENERGY CORP$36M113,196
9NOVANTA INC$34M284,220
10ADVANCED MICRO DEVICES INC$31M151,531
11MADISON SQUARE GRDN SPRT COR$31M95,134
12PARSONS CORP DEL$29M544,450
13SEMTECH CORP$29M383,189
14TIC SOLUTIONS INC$28M4,226,397
15AKAMAI TECHNOLOGIES INC$27M237,893
16GOLAR LNG LTD$25M457,556
17ROCKET COS INC$25M1,725,767
18MEDIAALPHA INC$24M2,590,670
19ELASTIC N V$22M441,247
20AMAZON COM INC$20M95,718
21KBR INC$18M480,238
22ETSY INC$17M342,003
23XPERI INC$17M2,952,995
24VAIL RESORTS INC$16M124,502
25POOL CORP$16M78,088
26NCR VOYIX CORPORATION$15M2,410,714
27JAMES HARDIE INDS PLC$15M769,535
28TERAWULF INC$14M962,755
29BLACKBAUD INC$14M350,209
30RISKIFIED LTD$12M3,106,045
31NCINO INC$12M799,322
32LIBERTY GLOBAL LTD$12M968,773
33SNOWFLAKE INC$12M76,786
34BAUSCH PLUS LOMB CORP$11M701,967
35CHURCHILL DOWNS INC$11M120,348
36VISTANCE NETWORKS INC$10M576,622
37BROADCOM INC$10M33,824
38COMPASS INC$10M1,421,749
39ORACLE CORP$10M68,791
40SIX FLAGS ENTERTAINMENT CORP$10M561,011
41HERON THERAPEUTICS INC$10M12,235,239
42COOPER COS INC$10M134,041
43BAIDU INC$9M85,250
44DAVE & BUSTERS ENTMT INC$9M829,594
45PENNYMAC FINL SVCS INC NEW$9M102,386
46AVANTOR INC$9M1,123,806
47SCHEIN HENRY INC$9M116,540
48NEBIUS GROUP N.V.$8M81,298
49MISTRAS GROUP INC$8M554,089
50RH$8M57,742
All filings on EDGAR ↗

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