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Fny Investment Advisers, LLC 13F holdings, Q1 2026

Holdings as of March 31, 2026 · filings on SEC EDGAR · latest filing →

Fny Investment Advisers, LLC disclosed 676 US equity positions worth $228.1m in its Q1 2026 13F filing. The largest position was COPX at 4.0% of the reported book, followed by CODERE ONLINE LUXEMBOURG ORD and SEALED AIR ORD.

· Q2 2026 →

What did Fny Investment Advisers, LLC own in Q1 2026? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs prior
1 COPX GLOBAL X COPPER MINERS ETF 4.0%$9.1m119,446
2 CODERE ONLINE LUXEMBOURG ORD 3.6%$8.2m962,426
3 SEALED AIR ORD 2.8%$6.4m151,884
4 CWAN CLEARWATER ANALYTICS HOLDIN CL A ORD Technology 2.2%$5.0m213,500
5 FOA FONAR ORD 2.1%$4.7m252,806
6 WIX WIX.COM ORD Technology 2.0%$4.5m49,791
7 DE DEERE ORD Industrials 1.9%$4.3m7,600
8 AM6 AMICUS THERAPEUTICS ORD 1.8%$4.0m278,670
9 FUTURECREST ACQUISITION UNT 1.7%$3.8m377,670
10 CME CME GROUP CL A ORD Financial Services 1.6%$3.7m12,600
11 SA SEABRIDGE GOLD ORD 1.6%$3.7m129,885
12 NSC NORFOLK SOUTHERN ORD Industrials 1.4%$3.2m11,290
13 WILLOW LANE ACQUISITION CL A ORD 1.3%$3.1m287,002
14 430 TERNS PHARMACEUTICALS ORD 1.3%$3.0m56,720
15 AZN ASTRAZENECA CVR Healthcare 1.3%$2.9m200
16 WBD WARNER BROS. DISCOVERY SRS A ORD Communication Services 1.3%$2.9m105,950
17 COPPER PPTY CTL PASS THRU ORD 1.2%$2.8m257,704
18 SKYWATER TECHNOLOGY ORD 1.2%$2.7m100,000
19 TLT ISHARES 20 PLS YEAR TREASURY BND ETF 1.1%$2.6m29,880
20 APLSUSD APELLIS PHARMACEUTICALS INC 1.1%$2.5m63,092
21 SPRING VALEY ACQUISTION III CL A ORD 1.0%$2.4m233,330
22 FDRL NTNL MRTGG ASCTN SRS O PRF 1.0%$2.3m120,137
23 ASML ASML HOLDING ADR REP ORD Technology 0.9%$2.0m1,550
24 KVUE KENVUE ORD Consumer Defensive 0.9%$2.0m115,871
25 RF ACQUISITION III UNT 0.9%$2.0m200,999
26 BA BOEING ORD Industrials 0.9%$2.0m9,835
27 CANTOR EQUITY PARTNERS II CL A ORD 0.8%$1.9m175,271
28 RACE FERRARI ORD Consumer Cyclical 0.7%$1.7m5,000
29 MCD MCDONALD'S ORD Consumer Cyclical 0.7%$1.6m5,300
30 KINS KINGSTONE COMPANIES ORD Financial Services 0.7%$1.6m111,031
31 PANW PALO ALTO NETWORKS ORD Technology 0.7%$1.6m10,066
32 BTI BRITISH AMERICAN TOBACCO ADR REP ORD Consumer Defensive 0.7%$1.6m27,400
33 ELME ELME ORD Real Estate 0.7%$1.6m775,200
34 PROCAP ACQUISITION CL A ORD 0.7%$1.5m149,030
35 SILJ AMPLIFY JUNIOR SILVER MINERS ETF 0.7%$1.5m50,800
36 B BARRICK MINING ORD Basic Materials 0.7%$1.5m36,749
37 FUTURECREST ACQUISITION CL A ORD 0.7%$1.5m148,400
38 LLY ELI LILLY ORD Healthcare 0.6%$1.5m1,602
39 SNPS SYNOPSYS ORD Technology 0.6%$1.4m3,632
40 AZN ASTRAZENECA ORD Healthcare 0.6%$1.4m7,250
41 TTEN TOTALENERGIES ORD 0.6%$1.4m15,700
42 AIR LEASE CL A ORD 0.6%$1.4m21,885
43 KMB KIMBERLY CLARK ORD Consumer Defensive 0.6%$1.4m14,490
44 PYPL PAYPAL HOLDINGS ORD Financial Services 0.6%$1.4m30,800
45 AMD ADVANCED MICRO DEVICES ORD Technology 0.6%$1.4m6,717
46 TSM TAIWAN SEMICONDUCTOR MNFTG ADR 5 ORD Technology 0.6%$1.4m4,007
47 META META PLATFORMS CL A ORD Communication Services 0.6%$1.3m2,263
48 XLV STATE STRT HLTH CRE SLT SEC SPDR ETF 0.6%$1.3m8,799
49 GNSS GENASYS ORD 0.5%$1.2m675,552
50 ECHO ECHOSTAR CL A ORD Communication Services 0.5%$1.2m10,110

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.