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Ionic Capital Management LLC

All holdings · as of Mar 31, 2026

141 positions

CompanyClassValueShares% of portfolio
ISHARES TR$4.96M20,0004.2%
INVESCO QQQ TR$4.62M8,0003.9%
AKAMAI TECHNOLOGIES INC$4.57M4,000,0003.8%
Constellium SE$4.37M177,7223.7%
ON SEMICONDUCTOR CORP$3.93M4,000,0003.3%
Travel + Leisure Co$3.57M51,5893.0%
FLEX LTD.$3.29M50,2532.8%
ARRAY TECHNOLOGIES INC$3.13M3,500,0002.6%
Akamai Technologies Inc$3.09M26,8862.6%
GXO Logistics, Inc.$2.91M56,0822.4%
STRATEGY INC$2.67M37,7722.2%
UNITY SOFTWARE INC$2.51M2,500,0002.1%
Primo Brands Corp$2.37M125,6062.0%
Nuveen S&P 500 Dynamic Overwrite Fund$2.10M130,9871.8%
ZoomInfo Technologies Inc.$2.04M341,6551.7%
JAMES HARDIE INDUSTRIES PLC$2.01M106,1271.7%
FLOWSERVE CORP$1.98M27,0001.7%
YETI Holdings, Inc.$1.92M52,5001.6%
VANECK ETF TRUST$1.89M20,6421.6%
Solstice Advanced Materials Inc.$1.87M24,5001.6%
RH$1.83M13,1001.5%
Globus Medical Inc$1.77M20,5961.5%
Nuveen NASDAQ 100 Dynamic Overwrite FundQQQXClosed-End Fund$1.76M66,1131.5%
Powerfleet, Inc.$1.70M552,6961.4%
Meta Platforms Inc$1.62M2,8391.4%
RESIDEO TECHNOLOGIES, INC.$1.55M46,0001.3%
ORACLE CORP$1.47M10,0001.2%
WESTERN ASSET INFLATION-LINKED OPPORTUNITIES & INCOME FUNDWIWClosed-End Fund$1.44M170,4641.2%
ISHARES TR$1.33M4,0481.1%
INVESCO SR INCOME TR$1.26M391,9501.1%
ORACLE CORP$1.24M27,5001.0%
NVIDIA Corp$1.20M6,8611.0%
CORNING INC /NY$1.20M8,8001.0%
Exzeo Group, Inc.XZOCommon Stock$1.16M79,0551.0%
Fidelity National Information Services Inc$1.08M23,0000.9%
LUMENTUM HLDGS INC$1.04M1,4820.9%
NUVEEN CR STRATEGIES INCOME$1.02M208,4340.9%
Warner Bros. Discovery, Inc.$961.1K35,0000.8%
Brighthouse Financial, Inc.$943.1K15,7500.8%
StandardAero, Inc.SAROCommon Stock$942.9K36,5030.8%
MICRON TECHNOLOGY INC$935.5K2,7690.8%
Apple Inc.$930.9K3,6680.8%
LISTED FDS TR$917.5K15,8350.8%
Uber Technologies, Inc$899.1K12,5000.8%
Planet Fitness, Inc.$892.6K12,0000.7%
Alibaba Group Holding LtdBABAADR$891.6K7,1070.7%
UNIFIRST CORP$880.6K3,5000.7%
Wayfair Inc.$864.9K11,5000.7%
ADVANCED MICRO DEVICES INC$779.1K3,8300.7%
Broadcom Inc.$771.9K2,4940.6%
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