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CAXTON ASSOCIATES LLP
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Back to CAXTON ASSOCIATES LLP
CA
Caxton Associates LLP
All holdings · as of Dec 31, 2025
750 positions
All types
Company
Class
Value
↑
Shares
% of portfolio
KRONOS WORLDWIDE INC
KRO
Common Stock
$66.3K
14,989
0.0%
Organon & Co.
—
$79.8K
11,128
0.0%
LEXICON PHARMACEUTICALS, INC.
LXRX
Common Stock
$81.7K
71,027
0.0%
ARKO Corp.
—
$82.7K
18,226
0.0%
Coursera, Inc.
—
$84.1K
11,431
0.0%
Enovix Corp
—
$84.5K
11,557
0.0%
ThredUp Inc.
—
$85.8K
13,434
0.0%
ADT Inc.
—
$89.0K
11,031
0.0%
Stitch Fix, Inc.
—
$99.6K
18,980
0.0%
DiamondRock Hospitality Co
—
$110.3K
12,311
0.0%
Tuya Inc.
TUYA
ADR
$119.5K
56,641
0.0%
Douglas Emmett Inc
—
$125.6K
11,432
0.0%
Compass Diversified Holdings
—
$127.1K
26,475
0.0%
Kearny Financial Corp.
—
$128.1K
17,288
0.0%
Opendoor Technologies Inc.
—
$129.8K
22,268
0.0%
HARMONIC INC.
—
$130.0K
13,148
0.0%
Sprinklr, Inc.
—
$140.7K
18,085
0.0%
Petco Health & Wellness Company, Inc.
WOOF
Common Stock
$141.6K
50,407
0.0%
Archer Aviation Inc.
—
$145.7K
19,372
0.0%
Freshworks Inc.
—
$147.8K
12,064
0.0%
LINDBLAD EXPEDITIONS HOLDINGS, INC.
LIND
Common Stock
$156.0K
10,815
0.0%
MANITOWOC CO INC
—
$156.1K
13,023
0.0%
Cryoport, Inc.
—
$160.0K
16,665
0.0%
RAYONIER ADVANCED MATERIALS INC.
—
$160.1K
27,178
0.0%
AMICUS THERAPEUTICS INC
—
$162.3K
11,396
0.0%
Remitly Global, Inc.
—
$163.1K
11,816
0.0%
SHENANDOAH TELECOMMUNICATIONS CO/VA
—
$168.2K
14,553
0.0%
American Airlines Group Inc.
—
$173.8K
11,336
0.0%
FLAGSTAR BANK, NATIONAL ASSOCIATION
—
$174.1K
13,826
0.0%
CONDUENT Inc
—
$177.1K
92,262
0.0%
Driven Brands Holdings Inc.
DRVN
Common Stock
$179.1K
12,085
0.0%
MediaAlpha, Inc.
MAX
Common Stock
$180.3K
13,922
0.0%
Camping World Holdings, Inc.
—
$187.7K
19,293
0.0%
Fastly, Inc.
—
$188.1K
18,479
0.0%
Great Lakes Dredge & Dock Corp
—
$191.1K
14,568
0.0%
10x Genomics, Inc.
—
$196.4K
12,044
0.0%
NETSTREIT Corp.
—
$198.8K
11,272
0.0%
Ryerson Holding Corp
—
$200.4K
7,967
0.0%
SHERWIN WILLIAMS CO
—
$200.6K
619
0.0%
Merchants Bancorp
MBIN
Common Stock
$201.2K
5,908
0.0%
DREAM FINDERS HOMES, INC.
—
$201.4K
11,777
0.0%
MOLSON COORS BEVERAGE CO
—
$201.9K
4,325
0.0%
BlackRock, Inc.
—
$203.4K
190
0.0%
ADAMAS TRUST, INC.
—
$204.5K
28,012
0.0%
Vericel Corp
—
$205.3K
5,700
0.0%
Privia Health Group, Inc.
—
$206.9K
8,726
0.0%
Sun Communities, Inc.
—
$207.7K
1,676
0.0%
NATIONAL PRESTO INDUSTRIES INC
—
$208.9K
1,957
0.0%
TARGET CORP
—
$209.4K
2,142
0.0%
IDEAYA BIOSCIENCES, INC.
—
$209.8K
6,070
0.0%
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