Fny Investment Advisers, LLC 13F holdings, Q2 2026
Holdings as of June 30, 2026 · filings on SEC EDGAR · this is the latest filing on record
Fny Investment Advisers, LLC disclosed 758 US equity positions worth $276.5m in its Q2 2026 13F filing. The largest position was NUVALENT CL A ORD at 4.9% of the reported book, followed by NEE and CODERE ONLINE LUXEMBOURG ORD. Against the Q1 2026 filing, it opened 20 new positions, added to 17 and reduced 10 among the top 50 holdings.
What did Fny Investment Advisers, LLC own in Q2 2026? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs Q1 2026 |
|---|---|---|---|---|---|---|---|
| 1 | NUVALENT CL A ORD | 4.9% | $13.5m | 108,951 | – | new | |
| 2 | NEE NEXTERA ENERGY ORD | Utilities | 3.4% | $9.5m | 108,000 | – | new |
| 3 | CODERE ONLINE LUXEMBOURG ORD | 2.3% | $6.2m | 652,116 | -32% | reduced | |
| 4 | CNI CANADIAN NATIONAL RAILWAY ORD | Industrials | 1.9% | $5.2m | 43,300 | – | new |
| 5 | PM PHILIP MORRIS INTERNATIONAL ORD | Consumer Defensive | 1.8% | $5.0m | 27,690 | – | new |
| 6 | SA SEABRIDGE GOLD ORD | 1.8% | $5.0m | 194,285 | – | new | |
| 7 | SNDK SANDISK ORD | Technology | 1.6% | $4.3m | 1,896 | – | new |
| 8 | FUTURECREST ACQUISITION UNT | 1.4% | $3.9m | 377,530 | -0% | held | |
| 9 | NVDA NVIDIA ORD | Technology | 1.4% | $3.8m | 19,143 | 183% | added |
| 10 | ARCHIMEDES TECH SPAC PARTNERS II ORD | 1.3% | $3.5m | 327,200 | – | new | |
| 11 | FNV FRANCO NEVADA ORD | Basic Materials | 1.2% | $3.4m | 16,457 | – | new |
| 12 | SPRING VALEY ACQUISTION III CL A ORD | 1.2% | $3.3m | 325,270 | 39% | added | |
| 13 | NSC NORFOLK SOUTHERN ORD | Industrials | 1.2% | $3.2m | 10,290 | -9% | reduced |
| 14 | D BORAL ARC ACQUISITION I CL A ORD | 1.1% | $3.0m | 288,889 | 219% | added | |
| 15 | BA BOEING ORD | Industrials | 1.0% | $2.8m | 13,132 | 34% | added |
| 16 | AZN ASTRAZENECA CVR | Healthcare | 1.0% | $2.8m | 200 | 0% | held |
| 17 | COPPER PPTY CTL PASS THRU ORD | 1.0% | $2.7m | 250,000 | -3% | reduced | |
| 18 | 8HH AVANOS MEDICAL ORD | 0.9% | $2.6m | 103,500 | – | new | |
| 19 | PROCAP ACQUISITION CL A ORD | 0.8% | $2.2m | 208,930 | 40% | added | |
| 20 | KVUE KENVUE ORD | Consumer Defensive | 0.8% | $2.1m | 111,350 | -4% | reduced |
| 21 | FDRL NTNL MRTGG ASCTN SRS O PRF | 0.8% | $2.1m | 120,562 | 0% | held | |
| 22 | DELL DELL TECHNOLOGIES CL C ORD | Technology | 0.8% | $2.1m | 4,885 | 48750% | added |
| 23 | ASTS AST SPACEMOBILE CL A ORD | Technology | 0.8% | $2.1m | 23,602 | 403% | added |
| 24 | AUR AURORA INNOVATION CL A ORD | Consumer Cyclical | 0.7% | $2.0m | 298,497 | 20% | added |
| 25 | SPYI NEOS S AND P 500 HIGH INCOME ETF | 0.7% | $2.0m | 37,000 | – | new | |
| 26 | MU MICRON TECHNOLOGY ORD | Technology | 0.7% | $2.0m | 1,699 | 3298% | added |
| 27 | IMXI INTERNATIONAL MONEY EXPRESS ORD | Technology | 0.7% | $1.9m | 135,000 | – | new |
| 28 | GNSS GENASYS ORD | 0.7% | $1.9m | 1,145,726 | 70% | added | |
| 29 | BLEICHROEDER ACQUISITN II CL A ORD | 0.7% | $1.9m | 187,620 | 26703% | added | |
| 30 | WBD WARNER BROS. DISCOVERY SRS A ORD | Communication Services | 0.7% | $1.8m | 69,250 | -35% | reduced |
| 31 | PERCEPTIVE CAPITAL SOLUTION CL A ORD | 0.6% | $1.7m | 160,465 | 145% | added | |
| 32 | LRCX LAM RESEARCH ORD | Technology | 0.6% | $1.7m | 4,000 | – | new |
| 33 | KINS KINGSTONE COMPANIES ORD | Financial Services | 0.6% | $1.7m | 89,011 | -20% | reduced |
| 34 | LLY ELI LILLY ORD | Healthcare | 0.6% | $1.7m | 1,393 | -13% | reduced |
| 35 | EA ELECTRONIC ARTS ORD | Communication Services | 0.6% | $1.6m | 8,010 | 291% | added |
| 36 | ZM ZOOM COMMUNICATIONS CL A ORD | Technology | 0.6% | $1.6m | 18,603 | – | new |
| 37 | AMZN AMAZON COM ORD | Consumer Cyclical | 0.6% | $1.6m | 6,720 | 288% | added |
| 38 | FUTURECREST ACQUISITION CL A ORD | 0.6% | $1.5m | 150,045 | 1% | added | |
| 39 | AES THE AES CORPORATION | Utilities | 0.5% | $1.5m | 100,100 | 49950% | added |
| 40 | CHURCHILL CAPITAL XI CL A ORD | 0.5% | $1.5m | 83,941 | – | new | |
| 41 | SPARK I ACQUISITION CL A ORD | 0.5% | $1.5m | 116,031 | – | new | |
| 42 | AMD ADVANCED MICRO DEVICES ORD | Technology | 0.5% | $1.5m | 2,500 | -63% | reduced |
| 43 | AVGO BROADCOM ORD | Technology | 0.5% | $1.4m | 3,797 | 178% | added |
| 44 | TLT ISHARES 20 PLS YEAR TREASURY BND ETF | 0.5% | $1.4m | 16,580 | -45% | reduced | |
| 45 | SYNA SYNAPTICS ORD | Technology | 0.5% | $1.4m | 11,500 | – | new |
| 46 | JD JD.COM ADR REP 2 CL A ORD | Consumer Cyclical | 0.5% | $1.4m | 55,400 | – | new |
| 47 | SNOW SNOWFLAKE ORD | Technology | 0.5% | $1.4m | 5,500 | – | new |
| 48 | LQDA LIQUIDIA ORD | Healthcare | 0.5% | $1.4m | 17,500 | – | new |
| 49 | NFG NATL FUEL GAS ORD | Energy | 0.5% | $1.4m | 17,500 | – | new |
| 50 | SILJ AMPLIFY JUNIOR SILVER MINERS ETF | 0.5% | $1.3m | 50,300 | -1% | reduced |
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.