Universe · entity

One68 Global Capital, LLC

Institutional manager (13F) · CIK 1755535
13F holdings · as of 2026-03-31 · top 40 · reported portfolio $31M
#IssuerValueShares
1CHART INDS INC$4M21,626
2SEALED AIR CORP NEW$4M98,500
3WARNER BROS DISCOVERY INC$4M142,069
4APELLIS PHARMACEUTICALS INC$2M55,347
5ELECTRONIC ARTS INC$2M7,875
6AMAZON COM INC$2M7,227
7TRI POINTE HOMES INC$1M27,750
8VERIS RESIDENTIAL INC$1M60,000
9SKYWATER TECHNOLOGY INC$1M40,000
10HOLOGIC INC$690k9,127
11QIAGEN NV$607k15,172
12ROCKET COS INC$584k41,000
13TERNS PHARMACEUTICALS INC$580k11,000
14SURGERY PARTNERS INC$536k45,000
15DISNEY WALT CO$482k5,000
16BOSTON SCIENTIFIC CORP$408k6,500
17ALASKA AIR GROUP INC$405k11,000
18AIRBNB INC$380k3,000
19COEUR MNG INC$375k20,000
20CAPITAL ONE FINL CORP$365k2,000
21ROCKWELL AUTOMATION INC$359k1,000
22SHOPIFY INC$356k3,000
23TXNM ENERGY INC$348k6,000
24ZIM INTEGRATED SHIPPING SERV$313k11,882
25WILLSCOT HLDGS CORP$302k17,409
26QXO INC$291k15,000
27GOLAR LNG LTD$271k5,000
28COMCAST CORP NEW$227k8,000
29APOLLO GLOBAL MGMT INC$223k2,000
30BAIDU INC$223k2,000
31ANTERIS TECHNOLOGIES GLOBAL$221k39,780
32STREAMEX CORP$218k192,924
33NIKE INC$211k4,000
34UIPATH INC$167k15,000
35BANCO SANTANDER SA$111k10,000
36ADVISORSHARES TR$71k20,000
37BIMERGEN ENERGY CORP$62k29,300
38PRIORITY TECHNOLOGY HLDGS IN$52k11,000
39EVOLENT HEALTH INC$49k21,514
40ALPHATON CAPITAL CORP$35k112,000
All filings on EDGAR ↗

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