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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.

← Q1 2026

What did Fny Investment Advisers, LLC own in Q2 2026? Top 50 positions

#StockSectorWeightValueSharesΔ sharesvs Q1 2026
1 NUVALENT CL A ORD 4.9%$13.5m108,951 new
2 NEE NEXTERA ENERGY ORD Utilities 3.4%$9.5m108,000 new
3 CODERE ONLINE LUXEMBOURG ORD 2.3%$6.2m652,116 -32% reduced
4 CNI CANADIAN NATIONAL RAILWAY ORD Industrials 1.9%$5.2m43,300 new
5 PM PHILIP MORRIS INTERNATIONAL ORD Consumer Defensive 1.8%$5.0m27,690 new
6 SA SEABRIDGE GOLD ORD 1.8%$5.0m194,285 new
7 SNDK SANDISK ORD Technology 1.6%$4.3m1,896 new
8 FUTURECREST ACQUISITION UNT 1.4%$3.9m377,530 -0% held
9 NVDA NVIDIA ORD Technology 1.4%$3.8m19,143 183% added
10 ARCHIMEDES TECH SPAC PARTNERS II ORD 1.3%$3.5m327,200 new
11 FNV FRANCO NEVADA ORD Basic Materials 1.2%$3.4m16,457 new
12 SPRING VALEY ACQUISTION III CL A ORD 1.2%$3.3m325,270 39% added
13 NSC NORFOLK SOUTHERN ORD Industrials 1.2%$3.2m10,290 -9% reduced
14 D BORAL ARC ACQUISITION I CL A ORD 1.1%$3.0m288,889 219% added
15 BA BOEING ORD Industrials 1.0%$2.8m13,132 34% added
16 AZN ASTRAZENECA CVR Healthcare 1.0%$2.8m200 0% held
17 COPPER PPTY CTL PASS THRU ORD 1.0%$2.7m250,000 -3% reduced
18 8HH AVANOS MEDICAL ORD 0.9%$2.6m103,500 new
19 PROCAP ACQUISITION CL A ORD 0.8%$2.2m208,930 40% added
20 KVUE KENVUE ORD Consumer Defensive 0.8%$2.1m111,350 -4% reduced
21 FDRL NTNL MRTGG ASCTN SRS O PRF 0.8%$2.1m120,562 0% held
22 DELL DELL TECHNOLOGIES CL C ORD Technology 0.8%$2.1m4,885 48750% added
23 ASTS AST SPACEMOBILE CL A ORD Technology 0.8%$2.1m23,602 403% added
24 AUR AURORA INNOVATION CL A ORD Consumer Cyclical 0.7%$2.0m298,497 20% added
25 SPYI NEOS S AND P 500 HIGH INCOME ETF 0.7%$2.0m37,000 new
26 MU MICRON TECHNOLOGY ORD Technology 0.7%$2.0m1,699 3298% added
27 IMXI INTERNATIONAL MONEY EXPRESS ORD Technology 0.7%$1.9m135,000 new
28 GNSS GENASYS ORD 0.7%$1.9m1,145,726 70% added
29 BLEICHROEDER ACQUISITN II CL A ORD 0.7%$1.9m187,620 26703% added
30 WBD WARNER BROS. DISCOVERY SRS A ORD Communication Services 0.7%$1.8m69,250 -35% reduced
31 PERCEPTIVE CAPITAL SOLUTION CL A ORD 0.6%$1.7m160,465 145% added
32 LRCX LAM RESEARCH ORD Technology 0.6%$1.7m4,000 new
33 KINS KINGSTONE COMPANIES ORD Financial Services 0.6%$1.7m89,011 -20% reduced
34 LLY ELI LILLY ORD Healthcare 0.6%$1.7m1,393 -13% reduced
35 EA ELECTRONIC ARTS ORD Communication Services 0.6%$1.6m8,010 291% added
36 ZM ZOOM COMMUNICATIONS CL A ORD Technology 0.6%$1.6m18,603 new
37 AMZN AMAZON COM ORD Consumer Cyclical 0.6%$1.6m6,720 288% added
38 FUTURECREST ACQUISITION CL A ORD 0.6%$1.5m150,045 1% added
39 AES THE AES CORPORATION Utilities 0.5%$1.5m100,100 49950% added
40 CHURCHILL CAPITAL XI CL A ORD 0.5%$1.5m83,941 new
41 SPARK I ACQUISITION CL A ORD 0.5%$1.5m116,031 new
42 AMD ADVANCED MICRO DEVICES ORD Technology 0.5%$1.5m2,500 -63% reduced
43 AVGO BROADCOM ORD Technology 0.5%$1.4m3,797 178% added
44 TLT ISHARES 20 PLS YEAR TREASURY BND ETF 0.5%$1.4m16,580 -45% reduced
45 SYNA SYNAPTICS ORD Technology 0.5%$1.4m11,500 new
46 JD JD.COM ADR REP 2 CL A ORD Consumer Cyclical 0.5%$1.4m55,400 new
47 SNOW SNOWFLAKE ORD Technology 0.5%$1.4m5,500 new
48 LQDA LIQUIDIA ORD Healthcare 0.5%$1.4m17,500 new
49 NFG NATL FUEL GAS ORD Energy 0.5%$1.4m17,500 new
50 SILJ AMPLIFY JUNIOR SILVER MINERS ETF 0.5%$1.3m50,300 -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.