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SHERBROOKE PARK ADVISERS LLC
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Back to SHERBROOKE PARK ADVISERS LLC
SP
Sherbrooke Park Advisers LLC
All holdings · as of Dec 31, 2025
182 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
Alight, Inc. / Delaware
—
$27.0K
13,857
0.1%
Black Diamond Therapeutics, Inc.
BDTX
Common Stock
$29.3K
12,052
0.1%
Airship AI Holdings, Inc.
AISP
Common Stock
$30.9K
10,695
0.1%
EVOLUTION PETROLEUM CORP
EPM
Common Stock
$35.7K
10,093
0.1%
Real Brokerage Inc
—
$38.0K
10,410
0.1%
Gossamer Bio, Inc.
—
$41.4K
13,347
0.1%
Palladyne AI Corp.
PDYN
Common Stock
$42.6K
10,009
0.1%
Perspective Therapeutics, Inc.
—
$44.6K
16,232
0.1%
Ribbon Communications Inc.
RBBN
Common Stock
$45.1K
15,656
0.1%
KinderCare Learning Companies, Inc.
KLC
Common Stock
$47.5K
10,991
0.1%
indie Semiconductor, Inc.
—
$48.2K
13,641
0.1%
AGENUS INC
—
$48.3K
15,390
0.1%
FTAI Infrastructure Inc.
—
$48.7K
10,554
0.1%
Alpha Teknova, Inc.
TKNO
Common Stock
$49.2K
12,948
0.1%
ALTIMMUNE INC
—
$51.1K
14,152
0.1%
FutureFuel Corp.
FF
Common Stock
$51.4K
16,126
0.1%
Epsilon Energy Ltd.
EPSN
Common Stock
$51.7K
11,147
0.1%
LIFEMD INC
—
$52.5K
15,395
0.1%
BRANDYWINE REALTY TRUST
—
$53.4K
18,286
0.1%
fuboTV Inc
—
$53.9K
21,407
0.1%
Clarus Corp
CLAR
Common Stock
$54.9K
16,373
0.1%
ZIPRECRUITER, INC.
—
$56.6K
14,521
0.1%
Erasca, Inc.
ERAS
Common Stock
$56.9K
15,300
0.1%
RECURSION PHARMACEUTICALS, INC.
—
$57.7K
14,101
0.1%
Microvast Holdings, Inc.
MVST
Common Stock
$59.4K
21,205
0.2%
Sagimet Biosciences Inc.
SGMT
Common Stock
$60.0K
10,135
0.2%
eHealth, Inc.
—
$60.0K
13,053
0.2%
Stagwell Inc
STGW
Common Stock
$61.6K
12,588
0.2%
VTEX
—
$61.7K
16,398
0.2%
Digital Turbine, Inc.
—
$63.5K
12,692
0.2%
SIGA TECHNOLOGIES INC
SIGA
Common Stock
$64.5K
10,562
0.2%
KULR Technology Group, Inc.
KULR
Common Stock
$65.0K
21,946
0.2%
COMMUNITY HEALTH SYSTEMS INC
—
$68.7K
22,020
0.2%
MISTER CAR WASH INC
—
$70.2K
12,631
0.2%
CLARIVATE PLC
—
$71.4K
21,385
0.2%
UWM HOLDINGS CORP
—
$71.5K
16,326
0.2%
Uniti Group Inc
—
$73.0K
10,416
0.2%
Inogen Inc
—
$73.6K
10,952
0.2%
Bloomin' Brands, Inc.
—
$74.7K
12,100
0.2%
GAMBLING COM GROUP LIMITED
—
$75.3K
13,795
0.2%
Orchid Island Capital, Inc.
—
$75.4K
10,466
0.2%
AH Realty Trust, Inc.
—
$76.3K
11,528
0.2%
ABEONA THERAPEUTICS INC.
—
$82.0K
15,556
0.2%
Novavax Inc
—
$82.7K
12,306
0.2%
EVgo Inc
—
$85.4K
29,340
0.2%
Bioventus Inc.
BVS
Common Stock
$85.7K
11,522
0.2%
Evolent Health, Inc.
—
$86.8K
21,696
0.2%
Weave Communications, Inc.
—
$88.5K
11,660
0.2%
Thryv Holdings, Inc.
—
$95.0K
15,708
0.2%
Niagen Bioscience, Inc.
NAGE
Common Stock
$99.2K
15,603
0.3%
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