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WINTON GROUP Ltd

All holdings · as of Jun 30, 2026

1,137 positions

CompanyClassValueShares% of portfolio
ATI Inc$2.64M13,3940.1%
CLEAN HARBORS INC$2.62M8,7600.1%
Guardant Health, Inc.$2.57M17,1300.1%
BIOCRYST PHARMACEUTICALS INC$2.56M255,6000.1%
US BANCORP \DE$2.55M42,3000.1%
Invitation Homes Inc.$2.55M84,3000.1%
VSE CORP$2.55M11,1400.1%
Astera Labs, Inc.$2.54M5,2520.1%
Amneal Pharmaceuticals, Inc.$2.51M144,8160.1%
Marcus & Millichap, Inc.$2.49M79,7500.1%
Post Holdings, Inc.$2.48M28,0930.1%
Axon Enterprise Inc$2.47M4,4090.1%
SHARKNINJA INC$2.46M16,1740.1%
Wendy's Co$2.42M291,5780.1%
Brighthouse Financial, Inc.$2.38M37,6020.1%
Alnylam Pharmaceuticals Inc$2.37M7,8800.1%
Employers Holdings Inc$2.36M46,8430.1%
Customers Bancorp, Inc.$2.36M29,8480.1%
Calumet, Inc. /DE$2.35M65,3000.1%
COOPER COMPANIES, INC.$2.34M32,7000.1%
BLACK HILLS CORP$2.34M31,4800.1%
VISTEON CORP$2.33M23,4600.1%
MAGNITE, INC.$2.31M121,9000.1%
RB Global Inc$2.31M19,8000.1%
American Airlines Group Inc.$2.30M127,5000.1%
Ondas Inc.$2.29M278,3980.1%
ISHARES TR$2.23M27,8280.1%
Core & Main, Inc.$2.22M46,0610.1%
Talen Energy Corp$2.21M5,7470.1%
XPO Inc$2.20M10,7000.1%
Mizuho Financial Group, Inc.MFGADR$2.19M229,0000.1%
Ferguson Enterprises Inc. /DE$2.18M9,2000.1%
STEEL DYNAMICS INC$2.18M9,5000.1%
MOLSON COORS BEVERAGE CO$2.15M55,1000.1%
GAP INC$2.14M114,3770.1%
Cipher Digital Inc.$2.11M86,2640.1%
Forgent Power Solutions, Inc.FPSCommon Stock$2.09M37,5000.1%
National Vision Holdings, Inc.$2.07M108,7530.1%
CarMax Inc$2.05M38,7800.1%
REX AMERICAN RESOURCES Corp$2.05M45,3560.1%
KENNAMETAL INC$2.05M58,3660.1%
Cloudflare, Inc.$2.04M8,3330.1%
MICROSOFT CORP$2.04M5,4750.1%
AVNET INC$2.02M22,7000.1%
LINCOLN NATIONAL CORP$2.01M56,9980.1%
LifeStance Health Group, Inc.LFSTCommon Stock$2.00M186,5890.1%
Trevi Therapeutics, Inc.$1.99M106,8520.1%
Grindr Inc.GRNDCommon Stock$1.98M137,4730.1%
EXPEDITORS INTERNATIONAL OF WASHINGTON INC$1.94M11,9100.1%
T1 ENERGY INC$1.93M203,7670.1%
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