Universe · entity

Bridgefront Capital, LLC

Institutional manager (13F) · CIK 1725690
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $127M
#IssuerValueShares
1TAKE-TWO INTERACTIVE SOFTWAR$4M21,658
2TPG INC$4M94,752
3CONSTELLATION BRANDS INC$3M23,203
4BROADCOM INC$3M11,175
5OVINTIV INC$3M58,058
6KIMBERLY-CLARK CORP$3M35,582
7CLOROX CO DEL$3M32,222
8LAMB WESTON HLDGS INC$3M74,120
9KEYSIGHT TECHNOLOGIES INC$3M10,911
10EQT CORP$3M47,718
11CELSIUS HLDGS INC$3M81,736
12AMGEN INC$3M8,228
13MICRON TECHNOLOGY INC$3M8,485
14HOST HOTELS & RESORTS INC$3M143,651
15AGREE RLTY CORP$3M36,356
16PERMIAN RESOURCES CORP$3M126,866
17CBRE GROUP INC$3M19,751
18AMERICAN INTL GROUP INC$3M35,456
19PARKER-HANNIFIN CORP$3M2,949
20INTUITIVE SURGICAL INC$3M5,725
21LOCKHEED MARTIN CORP$3M4,366
22RUBRIK INC.$3M53,485
23LINDE PLC$3M5,163
24APPLIED MATLS INC$2M7,230
25CHENIERE ENERGY INC$2M8,672
26EXPAND ENERGY CORPORATION$2M21,888
27GENERAL MTRS CO$2M32,061
28TRANE TECHNOLOGIES PLC$2M5,674
29SIMPLY GOOD FOODS CO$2M164,282
30CROWN HLDGS INC$2M23,169
31ROYALTY PHARMA PLC$2M48,362
32DUPONT DE NEMOURS INC$2M50,055
33FIVE BELOW INC$2M9,726
34BELLRING BRANDS INC$2M133,140
35AMPHENOL CORP$2M16,768
36CITIGROUP INC$2M18,447
37LKQ CORP$2M71,120
38AMKOR TECHNOLOGY INC$2M46,167
39CONSOLIDATED EDISON INC$2M18,128
40ANALOG DEVICES INC$2M6,446
41MASTERCARD INCORPORATED$2M4,085
42IDACORP INC$2M14,175
43CAPITAL ONE FINL CORP$2M10,658
44MOLSON COORS BEVERAGE CO$2M45,131
45BOSTON SCIENTIFIC CORP$2M30,630
46TAPESTRY INC$2M13,493
47PORTLAND GEN ELEC CO$2M35,676
48NEWS CORP NEW$2M75,448
49AMERICAN TOWER CORP$2M10,790
50ELANCO ANIMAL HEALTH INC$2M76,917
All filings on EDGAR ↗

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