Universe · entity

Olympiad Research LP

Institutional manager (13F) · CIK 1787147
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $28M
#IssuerValueShares
1INTERNATIONAL MONEY EXPRESS$2M100,469
2CSG SYS INTL INC$2M19,628
3PROASSURANCE CORP$2M62,500
4ESSENTIAL UTILS INC$2M37,813
5NORTHWESTERN ENERGY GROUP IN$2M22,848
6WEBSTER FINL CORP$1M21,029
7PENUMBRA INC$1M4,389
8QORVO INC$1M15,621
9VALARIS LTD$1M10,634
10TXNM ENERGY INC$1M17,693
11ELECTRONIC ARTS INC$1M4,983
12SELECT SECTOR SPDR TR$1M20,373
13CANTALOUPE INC$814k75,301
14IHS HOLDING LIMITED$770k93,516
15ISHARES TR$574k2,315
16SILICON LABORATORIES INC$505k2,426
17CROSS CTRY HEALTHCARE INC$500k53,201
18AES CORP$497k35,261
19WARNER BROS DISCOVERY INC$486k17,699
20UNIFIRST CORP MASS$460k1,829
21FORTREA HLDGS INC$376k39,967
22GE VERNOVA INC$370k424
23ONDAS INC$356k39,407
24GENERAL MTRS CO$350k4,700
25PAPA JOHNS INTL INC$308k9,513
26BORGWARNER INC$292k5,376
27FEDEX CORP$286k802
28CRANE COMPANY$285k1,665
29THE CIGNA GROUP$267k1,000
30HASBRO INC$266k2,844
31STRATASYS LTD$266k34,034
32TAPESTRY INC$261k1,849
33BRIGHTHOUSE FINL INC$251k4,193
34TECHNIPFMC PLC$248k3,586
35CENTENE CORP DEL$245k7,479
36QUANTUM COMPUTING INC$242k35,311
37SELECTIVE INS GROUP INC$238k3,160
38FIRST HORIZON CORPORATION$236k10,352
39LAM RESEARCH CORP$234k1,093
40CALAVO GROWERS INC$232k9,012
41ALCOA CORP$231k3,477
42LSB INDS INC$230k15,432
43CENTURY ALUM CO$230k3,915
44HUNT J B TRANS SVCS INC$228k1,075
45LAS VEGAS SANDS CORP$225k4,168
46AMERIPRISE FINL INC$219k492
47FORD MTR CO$214k18,506
48TETRA TECH INC NEW$213k7,062
49NRG ENERGY INC$209k1,427
50AMPHENOL CORP$206k1,631
All filings on EDGAR ↗

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