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Twin Tree Management, LP

All holdings · as of Dec 31, 2025

350 positions

CompanyClassValueShares% of portfolio
DARLING INGREDIENTS INC.$1.50M41,6140.2%
Rocket Lab CorpRKLBCommon Stock$1.47M21,0320.2%
Interactive Brokers Group Inc$1.47M22,7810.2%
Alnylam Pharmaceuticals Inc$1.45M3,6410.1%
ServiceNow Inc$1.45M9,4480.1%
Liberty Media Corp-Liberty Formula One$1.40M14,2100.1%
Upstart Holdings, INC.$1.39M31,8170.1%
Hilton Worldwide Holdings Inc.$1.39M4,8260.1%
FOX CORP$1.37M18,7660.1%
L3HARRIS TECHNOLOGIES, INC. /DE$1.37M4,6550.1%
OLD DOMINION FREIGHT LINE, INC.$1.35M8,5790.1%
VANGUARD INDEX FDS$1.31M2,0860.1%
NVIDIA Corp$1.31M7,0030.1%
Apollo Global Management, Inc.$1.29M8,9120.1%
FRANCO NEV CORP$1.29M6,2070.1%
Elevance Health Inc$1.28M3,6650.1%
Flutter Entertainment plc$1.28M5,9700.1%
3M CO$1.26M7,8600.1%
Zoetis Inc.$1.24M9,8500.1%
Invesco Ltd.$1.23M46,7580.1%
APPFOLIO INC$1.22M5,2440.1%
Chipotle Mexican Grill Inc$1.20M32,4230.1%
NEWMARKET CORP$1.20M1,7450.1%
CANADIAN NATL RY CO$1.20M12,0970.1%
ZILLOW GROUP, INC.$1.16M17,0500.1%
Merck & Co., Inc.$1.13M10,7380.1%
Applied Digital Corp$1.12M45,7670.1%
CLEVELAND-CLIFFS INC.$1.11M83,3290.1%
SELECT SECTOR SPDR TR$1.10M25,7360.1%
Everpure, Inc.$1.09M16,2410.1%
Akamai Technologies Inc$1.08M12,4220.1%
Avantor, Inc.$1.07M93,3410.1%
EASTMAN CHEMICAL CO$1.06M16,5620.1%
Five Below Inc$1.03M5,4840.1%
Intuitive Surgical Inc$1.02M1,8070.1%
DOW INC.$1.01M43,0350.1%
GLOBALFOUNDRIES INC$970.8K27,8020.1%
Sirius XM Holdings Inc$963.1K48,1660.1%
UL Solutions Inc.$946.8K12,0060.1%
InterDigital, Inc.$924.9K2,9050.1%
NEUROCRINE BIOSCIENCES INC$899.3K6,3410.1%
GE Vernova Inc.$890.2K1,3620.1%
ORACLE CORP$880.6K4,5180.1%
EQT Corp$821.9K15,3340.1%
UNIVERSAL HEALTH SERVICES INC$820.8K3,7650.1%
Caesars Entertainment, Inc.$795.8K34,0250.1%
Cencora Inc$784.6K2,3230.1%
STELLANTIS N.V$782.6K71,8670.1%
THOMSON REUTERS CORP$763.2K5,7870.1%
NOVA LTD$711.3K2,1660.1%
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