Universe · entity

CastleKnight Management LP

Institutional manager (13F) · CIK 1835751
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.2B
#IssuerValueShares
1CELESTICA INC$52M185,415
2NVIDIA CORPORATION$51M290,700
3MARVELL TECHNOLOGY INC$49M499,700
4PBF ENERGY INC$49M1,038,306
5MICRON TECHNOLOGY INC$49M144,721
6COMMUNITY HEALTH SYS INC NEW$37M12,667,586
7SILICON MOTION TECHNOLOGY CO$36M323,475
8SANMINA CORP$34M259,100
9CVR ENERGY INC$32M948,431
10TSAKOS ENERGY NAVIGATION LTD$32M799,391
11NORDIC AMERICAN TANKERS LIMI$31M5,263,646
12MADISON SQUARE GRDN SPRT COR$29M89,839
13TEEKAY TANKERS LTD$29M390,336
14IREN LIMITED$28M806,175
15HUT 8 CORP$27M570,300
16ALPHABET INC$25M88,300
17PROSHARES TR$24M684,449
18SANDISK CORP$24M37,600
19BITDEER TECHNOLOGIES GROUP$23M2,703,516
20AMAZON COM INC$23M112,190
21CARLYLE GROUP INC$23M472,976
22LSB INDS INC$23M1,513,316
23HUDBAY MINERALS INC$23M1,078,000
24BITFARMS LTD$21M10,894,969
25INTERNATIONAL SEAWAYS INC$21M286,801
26COREWEAVE INC$21M266,100
27DHT HOLDINGS INC$20M1,108,516
28TAIWAN SEMICONDUCTOR MANUFAC$20M59,500
29BROADCOM INC$19M60,600
30NETFLIX INC.$19M194,820
31CF INDUSTRIES HOLD$18M139,300
32ZIFF DAVIS INC$18M422,474
33FRONTLINE PLC$17M502,000
34TITAN AMER SA$17M1,122,431
35ADVANTAGE SOLUTIONS INC$16M748,323
36ADVANSIX INC$15M631,781
37ADVANCED MICRO DEVICES INC$15M74,920
38APOLLO GLOBAL MGMT INC$14M129,200
39FS KKR CAP CORP$14M1,393,200
40TALEN ENERGY CORP$14M44,100
41PEDIATRIX MEDICAL GROUP INC$14M642,036
42SALESFORCE INC$13M69,900
43CHARTER COMMUNICATIONS INC$13M60,300
44CAPITAL ONE FINL CORP$12M66,652
45TORM PLC$12M432,296
46AMKOR TECHNOLOGY INC$11M251,200
47INDUSTRIAL LOGISTICS PPTYS T$11M1,888,199
48SCORPIO TANKERS INC$11M142,200
49MATTEL INC$10M715,376
50PELOTON INTERACTIVE INC$10M2,405,200
All filings on EDGAR ↗

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