投资组合差异对比
Starboard Value
Q1 2026 ⇄ Q2 2026
+2已添加
−4清仓
13已调整规模
5未变动
已添加 (Q2 2026)
| 证券 | 价值 | 股份 |
|---|---|---|
| DT DYNATRACE INC | $389.34M | 8.87M |
| FLS FLOWSERVE CORP | $106.91M | 1.44M |
清仓 (曾持有于 Q1 2026)
| 证券 | 彼时价值 | 彼时股份数 |
|---|---|---|
| GEN GEN DIGITAL INC | $147.00M | 7.81M |
| CWAN CLEARWATER ANALYTICS… | $129.11M | 5.46M |
| BDX BECTON DICKINSON & CO | $100.08M | 636.49K |
| ROG ROGERS CORP | $62.72M | 584.33K |
已调整规模的持仓
| 证券 | Q1 2026 股份 | Q2 2026 股份 | 变动 |
|---|---|---|---|
| HR HEALTHCARE RLTY TR | 6.82M | 1.94M | -71.6% |
| NWSA NEWS CORP NEW | 5.61M | 2.04M | -63.6% |
| TRIP TRIPADVISOR INC | 10.77M | 5.10M | -52.7% |
| IJH ISHARES TR | 5.83M | 8.88M | +52.3% |
| KMX CARMAX INC | 6.20M | 3.21M | -48.3% |
| BLMN BLOOMIN BRANDS INC | 7.98M | 4.18M | -47.6% |
| FLR FLUOR CORP | 2.89M | 1.59M | -45.0% |
| RIOT RIOT PLATFORMS INC | 15.54M | 10.11M | -34.9% |
| MTCH MATCH GROUP INC NEW | 11.40M | 7.78M | -31.8% |
| QRVO QORVO INC | 7.51M | 5.61M | -25.3% |
| LW LAMB WESTON HLDGS INC | 6.11M | 5.73M | -6.2% |
| NWS NEWS CORP NEW | 2.59M | 2.43M | -6.1% |
| BILL BILL HOLDINGS INC | 7.02M | 7.03M | 0.0% |
所选两个季度的原始持股数量对比(按申报原文;相隔较远季度之间的股票拆分未在此处调整——管理人页面的季度变动标签已进行拆分调整)。仅含已映射股票代码的普通股持仓。
数据来源: 两份快照均来源于该管理人已解析的 13F 信息表(最新已接受版本)。
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