Universe · entity

Sciencast Management LP

Institutional manager (13F) · CIK 1653169
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $317M
#IssuerValueShares
1TPG INC$6M159,323
2CLOUDFLARE INC - CLASS A$6M31,044
3WILLIAMS COS INC$6M87,906
4CAPITAL ONE FINANCIAL CORP$6M35,057
5LAM RESEARCH CORP$6M29,931
6LULULEMON ATHLETICA INC$6M41,681
7WELLS FARGO & CO$6M80,036
8INTERNATIONAL PAPER CO$6M178,366
9MORGAN STANLEY$6M38,646
10TRACTOR SUPPLY COMPANY$6M140,377
11VERIZON COMMUNICATIONS INC$6M126,643
12P G & E CORP$6M361,475
13CONSOLIDATED EDISON INC$6M56,110
14PAN AMERICAN SILVER CORP$6M116,239
15COSTCO WHOLESALE CORP$6M6,371
16CHEVRON CORP$6M30,671
17DUKE ENERGY CORP$6M48,421
18SEMPRA$6M65,224
19WASTE CONNECTIONS INC$6M39,014
20DANAHER CORP$6M33,407
21ALTRIA GROUP INC$6M95,982
22SHOPIFY INC - CLASS A$6M53,395
23PARKER HANNIFIN CORP$6M7,073
24METLIFE INC$6M89,515
25CENCORA INC$6M20,150
26COLGATE-PALMOLIVE CO$6M74,265
27TESLA INC$6M17,026
28BROWN & BROWN INC$6M97,049
29CASEY'S GENERAL STORES INC$6M8,693
30ADOBE INC$6M26,029
31MCKESSON CORP$6M7,311
32HOWMET AEROSPACE INC$6M27,448
33REPUBLIC SERVICES INC$6M28,879
34PALANTIR TECHNOLOGIES INC-A$6M43,239
35SNOWFLAKE INC$6M41,937
36WR BERKLEY CORP$6M95,406
37TYSON FOODS INC-CL A$6M98,686
38ILLINOIS TOOL WORKS$6M24,287
39CANADIAN NATL RAILWAY CO$6M61,454
40DELL TECHNOLOGIES -C$6M38,479
41BROOKFIELD CORP$6M156,035
42M & T BANK CORP$6M30,538
43GENERAL ELECTRIC$6M22,225
44ABBOTT LABORATORIES$6M61,349
45SERVICENOW INC$6M60,242
46CITIZENS FINANCIAL GROUP$6M104,942
47BROADCOM INC$6M20,310
48MASTERCARD INC - A$6M12,553
49HALLIBURTON CO$6M160,835
50DIAMONDBACK ENERGY INC$6M31,685
All filings on EDGAR ↗

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