Fifth Lane Capital, LP 13F holdings, Q1 2026
Holdings as of March 31, 2026 · filings on SEC EDGAR · latest filing →
Fifth Lane Capital, LP disclosed 58 US equity positions worth $82.3m in its Q1 2026 13F filing. The largest position was RENATUS TACTICAL ACQUIS at 13.6% of the reported book, followed by K4F and CANTOR EQUITY PARTNERS V INC.
What did Fifth Lane Capital, LP own in Q1 2026? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs prior |
|---|---|---|---|---|---|---|---|
| 1 | RENATUS TACTICAL ACQUIS | 13.6% | $11.2m | 1,089,815 | – | ||
| 2 | K4F ONESTREAM INC | 9.4% | $7.7m | 322,630 | – | ||
| 3 | CANTOR EQUITY PARTNERS V INC | 9.3% | $7.6m | 753,500 | – | ||
| 4 | HO1 HOLOGIC INC | 8.7% | $7.1m | 94,528 | – | ||
| 5 | CANTOR EQUITY PARTNERS II IN | 7.0% | $5.7m | 526,494 | – | ||
| 6 | NEW AMER ACQUISITION I CORP | 5.4% | $4.5m | 430,000 | – | ||
| 7 | EA ELECTRONIC ARTS INC | Communication Services | 4.3% | $3.6m | 17,500 | – | |
| 8 | ACLXGBX ARCELLX INC | 4.3% | $3.6m | 31,044 | – | ||
| 9 | FUTURECREST ACQUISITION CORP | 3.4% | $2.8m | 278,704 | – | ||
| 10 | MAGS LISTED FDS TR | 2.8% | $2.3m | 40,000 | – | ||
| 11 | NEW AMER ACQUISITION I CORP | 2.4% | $2.0m | 200,000 | – | ||
| 12 | FUTURECREST ACQUISITION CORP | 2.4% | $1.9m | 190,200 | – | ||
| 13 | UNH UNITEDHEALTH GROUP INC | Healthcare | 2.3% | $1.9m | 7,000 | – | |
| 14 | ABVX ABIVAX SA | Healthcare | 2.1% | $1.8m | 15,858 | – | |
| 15 | CORZ CORE SCIENTIFIC INC NEW | Technology | 1.8% | $1.5m | 99,752 | – | |
| 16 | NVDA NVIDIA CORPORATION | Technology | 1.6% | $1.3m | 7,500 | – | |
| 17 | C1 FD INC | 1.5% | $1.3m | 329,760 | – | ||
| 18 | VISN VISTANCE NETWORKS INC | Technology | 1.4% | $1.2m | 64,552 | – | |
| 19 | NKTR NEKTAR THERAPEUTICS | Healthcare | 1.0% | $863.4k | 12,000 | – | |
| 20 | AMD ADVANCED MICRO DEVICES INC | Technology | 1.0% | $813.7k | 4,000 | – | |
| 21 | ORCL ORACLE CORP | Technology | 0.9% | $735.5k | 5,000 | – | |
| 22 | TSM TAIWAN SEMICONDUCTOR MANUFAC | Technology | 0.8% | $675.9k | 2,000 | – | |
| 23 | TDAY USA TODAY CO INC | Communication Services | 0.7% | $571.9k | 81,123 | – | |
| 24 | AIV APARTMENT INVT & MGMT CO | Real Estate | 0.7% | $569.8k | 140,000 | – | |
| 25 | TSLA TESLA INC | Consumer Cyclical | 0.7% | $557.6k | 1,500 | – | |
| 26 | CALAVO GROWERS INC | 0.6% | $533.9k | 20,700 | – | ||
| 27 | ARM ARM HOLDINGS PLC | Technology | 0.6% | $529.5k | 3,500 | – | |
| 28 | RNA ATRIUM THERAPEUTICS INC | 0.6% | $481.3k | 35,999 | – | ||
| 29 | AAL AMERICAN AIRLINES GROUP INC | Industrials | 0.5% | $429.6k | 40,000 | – | |
| 30 | 430 TERNS PHARMACEUTICALS INC | 0.5% | $421.8k | 8,000 | – | ||
| 31 | IGV ISHARES TR | 0.5% | $400.2k | 5,000 | – | ||
| 32 | SIMO SILICON MOTION TECHNOLOGY CO | Technology | 0.5% | $393.0k | 3,500 | – | |
| 33 | SMH VANECK ETF TRUST | 0.5% | $383.4k | 1,000 | – | ||
| 34 | PLTR PALANTIR TECHNOLOGIES INC | Technology | 0.4% | $365.7k | 2,500 | – | |
| 35 | CRWV COREWEAVE INC | Technology | 0.4% | $348.6k | 4,500 | – | |
| 36 | GLD SPDR GOLD TR | 0.4% | $344.2k | 800 | – | ||
| 37 | ASTS AST SPACEMOBILE INC | Technology | 0.4% | $331.5k | 4,000 | – | |
| 38 | INTC INTEL CORP | Technology | 0.4% | $331.0k | 7,500 | – | |
| 39 | SBNY 5.0 31 DEC 2049 A - PFD | 0.4% | $316.3k | 97,336 | – | ||
| 40 | RLMD RELMADA THERAPEUTICS INC | Healthcare | 0.4% | $313.2k | 45,000 | – | |
| 41 | APLSUSD APELLIS PHARMACEUTICALS INC | 0.4% | $301.7k | 7,500 | – | ||
| 42 | PPL CORP | 0.4% | $298.4k | 5,817 | – | ||
| 43 | BE BLOOM ENERGY CORP | Industrials | 0.3% | $271.0k | 2,000 | – | |
| 44 | AVR ANTERIS TECHNOLOGIES GLOBAL | 0.3% | $263.6k | 47,500 | – | ||
| 45 | CRNXGBP CRINETICS PHARMACEUTICALS IN | 0.3% | $260.1k | 7,161 | – | ||
| 46 | RKLB ROCKET LAB CORP | Industrials | 0.3% | $224.8k | 3,500 | – | |
| 47 | SABS SAB BIOTHERAPEUTICS INC | 0.2% | $178.1k | 46,500 | – | ||
| 48 | RPID RAPID MICRO BIOSYSTEMS INC | 0.2% | $161.2k | 71,000 | – | ||
| 49 | RKT ROCKET COS INC | Financial Services | 0.2% | $142.5k | 10,000 | – | |
| 50 | CNTB CONNECT BIOPHARMA HLDGS LTD | 0.1% | $117.9k | 45,000 | – |
Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.